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INDICATIVE · SAMPLE DATA
WARW56

Wardwizard Innovations & Mobility Ltd

Recreational ProductsVerified

Wardwizard Innovations & Mobility Ltd has a debt-to-equity ratio of 0.84, indicating a moderate reliance on debt financing, and a current ratio of 1.23, suggesting limited short-term liquidity cushion. The company's operating cash flow is negative at -627.69 million INR, and its capital expenditure is -75.45 million INR, reflecting ongoing investment in operations. The return on equity is 3.92%, and the return on assets is 1.39%, both below the typical thresholds for strong profitability in the recreational products industry. The company's profitability metrics, including a gross margin of 24.83% and an operating margin of 6.40%, are in line with the industry's median performance, but the net margin of 3.10% is relatively low, indicating potential inefficiencies in cost management or pricing power. The company's operating income of 81.92 million INR and net income of 39.74 million INR suggest a modest but positive earnings trajectory. Wardwizard Innovations & Mobility Ltd's revenue is concentrated in a single business segment, with no disclosed geographic diversification, which increases exposure to regional economic fluctuations. The company's revenue of 1.28 billion INR is derived from a single product line, with no material diversification across customer bases or product categories. The company's revenue is projected to grow in the current fiscal year, with a positive outlook for the next fiscal year, although the exact growth rate is not specified. The company's capital expenditure of -75.45 million INR indicates ongoing investment in operations, which may support future growth. The company's operating cash flow of -627.69 million INR suggests a need for external financing to fund operations. The company's risk assessment indicates a medium liquidity risk and a low dilution risk, with key flags including negative net cash after subtracting total debt. The company's debt-to-equity ratio of 0.84 and total liabilities of 1.84 billion INR suggest a moderate level of financial leverage. The company's cash and equivalents of 50.95 million INR are insufficient to cover its total debt of 845.73 million INR, indicating a potential liquidity constraint. Recent events, including filings and transcripts, have not been disclosed in the available data, limiting the ability to assess the company's recent strategic or operational developments. The company's financial performance and risk profile suggest a need for continued monitoring of its liquidity and profitability metrics.

30-day price · WARW+1.47 (+26.3%)
Low$5.20High$9.55Close$7.05As of17 May, 00:00 UTC
Profile
CompanyWardwizard Innovations & Mobility Ltd
TickerWARW.BO
SectorConsumer Cyclicals
BusinessCyclical Consumer Products
Industry groupCyclical Consumer Products
IndustryRecreational Products
AI analysis

Business. Wardwizard Innovations & Mobility Ltd designs, develops, and sells recreational products, primarily operating in the consumer cyclicals sector.

Classification. The company is classified under the industry "Recreational Products" within the business sector "Cyclical Consumer Products" with a confidence level of 0.92.

Wardwizard Innovations & Mobility Ltd has a debt-to-equity ratio of 0.84, indicating a moderate reliance on debt financing, and a current ratio of 1.23, suggesting limited short-term liquidity cushion. The company's operating cash flow is negative at -627.69 million INR, and its capital expenditure is -75.45 million INR, reflecting ongoing investment in operations. The return on equity is 3.92%, and the return on assets is 1.39%, both below the typical thresholds for strong profitability in the recreational products industry. The company's profitability metrics, including a gross margin of 24.83% and an operating margin of 6.40%, are in line with the industry's median performance, but the net margin of 3.10% is relatively low, indicating potential inefficiencies in cost management or pricing power. The company's operating income of 81.92 million INR and net income of 39.74 million INR suggest a modest but positive earnings trajectory. Wardwizard Innovations & Mobility Ltd's revenue is concentrated in a single business segment, with no disclosed geographic diversification, which increases exposure to regional economic fluctuations. The company's revenue of 1.28 billion INR is derived from a single product line, with no material diversification across customer bases or product categories. The company's revenue is projected to grow in the current fiscal year, with a positive outlook for the next fiscal year, although the exact growth rate is not specified. The company's capital expenditure of -75.45 million INR indicates ongoing investment in operations, which may support future growth. The company's operating cash flow of -627.69 million INR suggests a need for external financing to fund operations. The company's risk assessment indicates a medium liquidity risk and a low dilution risk, with key flags including negative net cash after subtracting total debt. The company's debt-to-equity ratio of 0.84 and total liabilities of 1.84 billion INR suggest a moderate level of financial leverage. The company's cash and equivalents of 50.95 million INR are insufficient to cover its total debt of 845.73 million INR, indicating a potential liquidity constraint. Recent events, including filings and transcripts, have not been disclosed in the available data, limiting the ability to assess the company's recent strategic or operational developments. The company's financial performance and risk profile suggest a need for continued monitoring of its liquidity and profitability metrics.
Key takeaways
  • Wardwizard Innovations & Mobility Ltd has a moderate debt-to-equity ratio of 0.84, indicating a balanced capital structure.
  • The company's return on equity of 3.92% and return on assets of 1.39% suggest limited profitability relative to its asset base.
  • The company's operating cash flow is negative, indicating a need for external financing to fund operations.
  • The company's revenue is concentrated in a single business segment, increasing exposure to market fluctuations.
  • The company's liquidity risk is medium, with a current ratio of 1.23 and insufficient cash to cover total debt.
  • # RATIONALES
  • **rd_outlook_rationale**: No specific R&D expenditures or innovation initiatives are disclosed in the available data, limiting the ability to assess the company's R&D outlook.
Financial snapshot
PeriodHA-latest
CurrencyINR
Revenue$1.28B
Gross profit$318.2M
Operating income$81.9M
Net income$39.7M
R&D
SG&A
D&A
SBC
Operating cash flow-$627.7M
CapEx-$75.5M
Free cash flow
Total assets$2.85B
Total liabilities$1.84B
Total equity$1.01B
Cash & equivalents$50.9M
Long-term debt$845.7M
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$393.2M$24.3M$18.7M-$131.7M
FY-3$1.85B$115.6M$84.8M-$126.0M
FY-2$2.39B$139.0M$88.5M-$92.9M
FY-1$3.21B$249.2M$134.4M$117.9M
FY0$3.05B$301.2M$63.6M-$93.3M
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$380.6M$281.1M$22.8M
FY-3$1.79B$622.4M$170.8M
FY-2$2.23B$881.8M$255.0k
FY-1$2.85B$1.01B$1.5M
FY0$4.13B$1.05B$0.00
PeriodOCFCapExFCFSBC
FY-4$405.7k-$156.7M-$131.7M
FY-3$108.4M-$230.4M-$126.0M
FY-2-$183.3M-$225.2M-$92.9M
FY-1-$627.7M-$75.5M$117.9M
FY0-$689.9M-$206.4M-$93.3M
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$1.28B$81.9M$39.7M
FQ-6$514.1M$59.7M$23.0M
FQ-5$581.8M-$33.0M-$62.2M
FQ-4$862.7M$105.0M$38.2M
FQ-3$1.09B$166.8M$64.5M
FQ-2$322.7M$25.1M$11.2M
FQ-1$334.3M$35.1M$1.4M
FQ0$627.2M$34.2M$316.0k
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$2.85B$1.01B$50.9M
FQ-6
FQ-5$3.35B$972.8M$295.3M
FQ-4
FQ-3$4.13B$1.05B$94.0M
FQ-2
FQ-1$3.57B$1.06B$25.7M
FQ0
PeriodOCFCapExFCFSBC
FQ-7-$627.7M-$75.5M
FQ-6
FQ-5-$466.9M-$142.7M
FQ-4
FQ-3-$689.9M-$206.4M
FQ-2
FQ-1$382.4M-$3.7M
FQ0
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$1.01B
Net cash-$794.8M
Current ratio1.2
Debt/Equity0.8
ROA1.4%
ROE3.9%
Cash conversion-15.8%
CapEx/Revenue-5.9%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Recreational Products · cohort 92 companies
MetricWARWActivity
Op margin6.4%3.0% medp25 -6.3% · p75 8.6%above median
Net margin3.1%2.5% medp25 -5.8% · p75 7.8%above median
Gross margin24.8%29.7% medp25 17.8% · p75 41.9%below median
R&D / revenue3.1% medp25 3.1% · p75 3.1%
CapEx / revenue-5.9%-3.2% medp25 -7.8% · p75 -1.6%below median
Debt / equity84.0%31.6% medp25 9.2% · p75 56.1%top quartile
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-08 02:13 UTC#b91286c6
Source: analysis-pipeline (hybrid)Generated: 2026-05-30 00:09 UTCJob: 568d94a8