Signify Innovations India Limited

Company Overview

Signify is the new company name of Philips Lighting. We are the world leader in lighting and provide our customers with high-quality, energy-efficient lighting products, systems and services. We turn light sources into points of data to connect more devices, places and people through light, contributing to a safer, more productive and smarter world.
The choice of our new company name originates from the fact that light becomes an intelligent language, which connects and conveys meaning.

id company_master_id company shareholder sharesNo shareHolding dateOfUpdate
9 44 Signify Innovations India Limited Signify Holding B.V. (Formerly Philips Lighting Holding B.V.) 55290242 0 2020-03-31
10 44 Signify Innovations India Limited Public Shareholding 2227000 0 2020-03-31
id company_master_id company shareholder sharesNo shareHolding dateOfUpdate

Revenue Segment

Share Holding

Revenue & Margins

% Margins

Company Financials

Profit and Loss Account (₹ in Crores) 2018 2019 2020
Revenue from Operations 3512.8 3574.7 2898.4
Other Income 18.2 18 21.1
Total Income 3531 3592.7 2919.5
Cost of Operations 2073.1 2180.7 1705.8
EBITDA 386.7 331.3 343.7
EBITDA % 10.95 % 9.22 % 11.77 %
EBIT 348.6 303.5 282.9
EBIT % 9.87 % 8.45 % 9.69 %
PBT 343.2 301.2 276.6
PBT % 9.72 % 8.38 % 9.47 %
TAX 91.8 98.4 94.3
NPAT 251.4 202.8 182.3
NPAT % 7.12 % 5.64 % 6.24 %
EPS (Basic) in ₹ 33.18 34.34 31.59
EPS (Diluted) in ₹ 33.18 34.34 31.59
Dividend Per Share (in ₹) 20 30 8

Sources of funds

Application of funds

Balance Sheet (₹ in Crores) 2018 2019 2020
Share Capital 57.5 57.5 57.5
Reserves 424.4 482.5 442.3
Networth 481.9 540 499.8
Long Term Borrowings 5.9 4.8 50.4
Short Term Borrowings 0 5.4 29.7
Current Liabilities 959.08 1011.4 721.8
Non-Current Assets 291.8 236.6 330.7
Current Assets 123.72 1368.6 980.2
Total Assets 415.52 1605.2 133.17
Cash Bank Balance 394.9 537 276.8
Trade Receivables 457.1 451.9 250.2
Trade Payables 673.48 759.3 479.6
Inventory 256.5 257.1 297.9
Cash Flow Statement (₹ in Crores) 2018 2019 2020
Cash flow from operating Activities 187.7 253.5 41.8
Cash flow from Investing Activities -8.5 2.5 -100.7
Cash flow from Financing Activities -142.4 -115.6 -203.8
Net Cash-Flow 36.8 140.4 -262.7

KEL %

2020
2019

SHEELA %

2020
2019
Price Multiples as on 2021-05-08
Face Value Per Share (in ₹) 10
Price Per Share (in ₹) 600
P/E 18.99
P/B 6.9
Dividend Yield 1.33 %
Price / Sales 1.19
Interesting Quote / Trivial Information about the company's unlisted shares
Source Name
Additional details

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