Signpost India Intrinsic Value

SIGNPOST • Media
Current Stock Price
₹230.20
Primary Intrinsic Value
₹176.40
Market Cap
₹253.2 Cr
+0.6% Upside
Median Value
₹231.61
Value Range
₹75 - ₹460
Assessment
Trading Near Calculated Value
Safety Margin
0.6%

SIGNPOST Valuation Methods Summary

Method Type Intrinsic Value Range Upside/Downside Details
P/E Based Valuation earnings ₹176.40 ₹141.12 - ₹211.68 -23.4% EPS: ₹11.76, Sector P/E: 15x
Book Value Method asset ₹202.73 ₹182.46 - ₹223.00 -11.9% Book Value/Share: ₹202.73, P/B: 1.0x
Revenue Multiple Method revenue ₹460.40 ₹414.36 - ₹506.44 +100.0% Revenue/Share: ₹490.91, P/S: 1.0x
EBITDA Multiple Method earnings ₹460.40 ₹414.36 - ₹506.44 +100.0% EBITDA: ₹144.00Cr, EV/EBITDA: 6x
Simple DCF (5Y) dcf ₹382.80 ₹306.24 - ₹459.36 +66.3% CF Growth: 15.0%, Discount: 15%
PEG Ratio Method growth ₹75.26 ₹67.73 - ₹82.79 -67.3% EPS Growth: 8.0%, Fair P/E: 6.4x
Growth Adjusted P/E growth ₹121.13 ₹109.02 - ₹133.24 -47.4% Revenue Growth: 6.0%, Adj P/E: 10.3x
ROE Based Valuation profitability ₹460.40 ₹414.36 - ₹506.44 +100.0% ROE: 28.7%, P/E Multiple: 16x
Graham Defensive Method conservative ₹231.61 ₹208.45 - ₹254.77 +0.6% EPS: ₹11.76, BVPS: ₹202.73
Method Types: Earnings Asset DCF Growth Dividend Conservative

Valuation Comparison Chart

SIGNPOST Intrinsic Value Analysis

What is the intrinsic value of SIGNPOST?

Based on our comprehensive analysis using 9 different valuation methods, the estimated intrinsic value of Signpost India (SIGNPOST) is ₹231.61 (median value). With the current market price of ₹230.20, this represents a +0.6% variance from our estimated fair value.

The valuation range spans from ₹75.26 to ₹460.40, indicating ₹75.26 - ₹460.40.

Is SIGNPOST undervalued or overvalued?

Based on our multi-method analysis, Signpost India (SIGNPOST) appears to be trading near calculated value by approximately 0.6%.

Financial Health Analysis

Financial Metric Current Value Industry Benchmark Assessment Impact on Valuation
Current Ratio 2.71 Industry Standard: 2.0+ Above 2.0 Measures short-term liquidity capacity
Return on Equity 28.7% Industry Standard: 15%+ Above 15% Measures shareholder return efficiency
Operating Margin 26.0% Industry Standard: 20%+ Above 20% Indicates operational efficiency level
Asset Turnover Ratio 0.97x Industry Standard: 1.0x+ Above 0.5x Measures asset utilization efficiency

Cash Flow Quality Analysis

Period Operating Cash Flow Free Cash Flow Cash Flow Quality Sustainability Score
March 2025 ₹31 Cr ₹12 Cr Positive Free Cash Flow 7/10
March 2024 ₹64 Cr ₹14 Cr Positive Free Cash Flow 7/10
March 2023 ₹8 Cr ₹-14 Cr Positive Operating Cash Flow 6/10