Viaan Industries - Redmax Footwears Share Price

Viaan Industries - Redmax Footwears Share Price

  • 0.97
BSE
  • Closed
  • As On: 28 May, 2024, 12:00 PM IST
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VWAP(₹)-

Key Metrics

PE Ratio(x)-63.05
EPS - TTM(₹)-0.02
MCap(₹ Cr.)10.69
MCap Rank-
PB Ratio(x)-
Div Yield(%)-
Face Value(₹)-
52W High(₹)7.94
52W Low(₹)0.49
MCap/Sales-
Beta(1 Month)-
BV/Share(₹)-

Viaan Industries share price insights

We don’t have any Insights for this stock currently.

Viaan Industries Share Price Returns

1 Day0.0%
1 MonthN.A.
3 MonthsN.A.
1 YearN.A.
3 Years53.97%
5 Years-27.07%

Viaan Industries Share Recommendations

No Recommendations details available for this stock.
Check out other stock recos.

Financials

  • Sep 2020Jun 2020Mar 2020Dec 2019Sep 2019
    Total Income2.032.131.323.069.97
    Total Income Growth (%)-4.5861.13-56.74-69.30-50.67
    Total Expenses2.132.0970.9119.569.95
    Total Expenses Growth (%)2.28-97.06262.5296.61-47.80
    EBIT-0.100.05-69.58-16.500.02
    EBIT Growth (%)-316.25---0.01-98.28
    Profit after Tax (PAT)-0.110.04-69.59-16.510.00
    PAT Growth (%)-384.18---0.09-99.84
    EBIT Margin (%)-4.882.150.00-539.240.20
    Net Profit Margin (%)-5.191.740.00-539.740.02
    Basic EPS (₹)-0.010.00-6.35-1.510.00
    Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025
    Total Income0.000.000.000.000.00
    Total Income Growth (%)-----100.00
    Total Expenses0.040.030.050.060.09
    Total Expenses Growth (%)27.05-40.72-16.11-34.5377.57
    EBIT-0.04-0.03-0.05-0.06-0.09
    EBIT Growth (%)-----
    Profit after Tax (PAT)-0.04-0.03-0.05-0.06-0.09
    PAT Growth (%)-----
    EBIT Margin (%)-----
    Net Profit Margin (%)-----
    Basic EPS (₹)-0.04-0.030.00-0.06-0.09
    FY 2020FY 2019FY 2018FY 2017
    Total Revenue34.56196.70269.49135.73
    Total Revenue Growth (%)-82.43-27.0198.56311.77
    Total Expenses119.54181.56241.33124.99
    Total Expenses Growth (%)-34.16-24.7793.09279.43
    Profit after Tax (PAT)-84.9815.1127.8310.70
    PAT Growth (%)-662.56-45.73160.020.01
    Operating Profit Margin (%)-247.647.7510.498.01
    Net Profit Margin (%)-247.837.6810.367.94
    Basic EPS (₹)-7.751.392.601.00
    FY 2026FY 2025FY 2024FY 2023FY 2021
    Total Revenue0.000.020.000.003.78
    Total Revenue Growth (%)-100.00388.448.94-99.89-68.14
    Total Expenses0.170.240.280.275.34
    Total Expenses Growth (%)-30.85-13.524.46-94.96-85.51
    Profit after Tax (PAT)-0.17-0.32-0.28-0.65-1.66
    PAT Growth (%)-----
    Operating Profit Margin (%)0.00-1,005.900.000.00-42.97
    Net Profit Margin (%)0.00-1,460.900.000.00-46.49
    Basic EPS (₹)-0.17-0.32-0.28-0.06-0.15

    All figures in Rs Cr, unless mentioned otherwise

  • AnnualFY 2020FY 2019FY 2018FY 2017
    Total Assets13.25162.84100.2874.15
    Total Assets Growth (%)-91.8762.3935.23237.52
    Total Liabilities15.4284.1144.5550.54
    Total Liabilities Growth (%)-81.6688.83-11.86458.33
    Total Equity-2.1878.7355.7323.62
    Total Equity Growth (%)-102.7741.25136.0082.81
    Current Ratio (x)2.021.942.461.45
    Total Debt to Equity (x)-4.240.010.000.06
    Contingent Liabilities----
    AnnualFY 2026FY 2025FY 2024FY 2023FY 2021
    Total Assets0.030.141.113.1111.58
    Total Assets Growth (%)-78.57-87.39-64.31-73.14-13.19
    Total Liabilities0.430.371.0114.4914.04
    Total Liabilities Growth (%)16.22-63.37-93.033.21-8.41
    Total Equity-0.40-0.230.10-11.38-2.46
    Total Equity Growth (%)--330.00---
    Current Ratio (x)0.070.391.090.214.37
    Total Debt to Equity (x)-1.01-1.317.86-1.01-4.70
    Contingent Liabilities0.00----

    All figures in Rs Cr, unless mentioned otherwise

  • AnnualFY 2020FY 2019FY 2018FY 2017
    Net Cash flow from Operating Activities-3.25--7.04-1.60
    Net Cash used in Investing Activities-0.15-0.07-0.79
    Net Cash flow from Financing Activities3.49-7.120.58
    Net Cash Flow0.09-0.15-1.82
    Closing Cash & Cash Equivalent--0.240.08
    Closing Cash & Cash Equivalent Growth (%)0.000.00188.83-95.68
    Total Debt/ CFO (x)-2.85-0.00-0.86
    AnnualFY 2026FY 2025FY 2024FY 2023FY 2021
    Net Cash flow from Operating Activities-0.230.48---3.25
    Net Cash used in Investing Activities-0.01---0.54
    Net Cash flow from Financing Activities0.11-0.45--2.63
    Net Cash Flow-0.130.02---0.08
    Closing Cash & Cash Equivalent0.000.13--0.05
    Closing Cash & Cash Equivalent Growth (%)-98.53165.880.000.00-62.04
    Total Debt/ CFO (x)-1.770.62---3.56

    All figures in Rs Cr, unless mentioned otherwise

  • AnnualFY 2020FY 2019FY 2018FY 2017
    Return on Equity (%)0.0019.1849.9445.32
    Return on Capital Employed (%)-1,197.5919.1646.9845.69
    Return on Assets (%)-641.569.2727.7514.43
    Interest Coverage Ratio (x)-1,287.68168.081,449.84215.53
    Asset Turnover Ratio (x)258.86120.66267.80181.63
    Price to Earnings (x)-0.165.4911.7216.95
    Price to Book (x)-6.101.055.857.68
    EV/EBITDA (x)-0.265.3211.4216.43
    EBITDA Margin (%)-246.687.9710.628.24
    AnnualFY 2026FY 2025FY 2024FY 2023FY 2021
    Return on Equity (%)0.000.00-290.220.000.00
    Return on Capital Employed (%)41.5297.92-289.982.33-16.91
    Return on Assets (%)-606.07-222.26-25.05-21.07-14.37
    Interest Coverage Ratio (x)-87.58-2,213.00-1,196.82-8,144.81-62.08
    Asset Turnover Ratio (x)-0.04--30.91
    Price to Earnings (x)-5.72-3.02-3.14-10.46-5.97
    Price to Book (x)-2.42-4.299.12-0.60-4.04
    EV/EBITDA (x)-8.26-5.14-5.47-94.86-14.77
    EBITDA Margin (%)0.00-1,005.900.000.00-40.52

Found Financials useful?

Technicals

Peer Comparison

Shareholding Pattern

  • CategoryNo. of SharesPercentage% Change QoQ
    Promoters5,41,64,20349.13 %0.00
    Pledge00.00 %0.00
    Others5,60,78,89750.87 %0.00
  • CategoryMar 2026Dec 2025Sep 2025Jun 2025
    Promoters49.1349.1349.1349.13
    Pledge0.000.000.000.00
    FII0.000.000.000.00
    DII0.000.000.000.00
    Mutual Funds0.000.000.000.00
    Others50.8750.8750.8750.87

Mutual Funds Ownership

No Data Available

Corporate Actions

  • Board Meeting

    Audited Results

    May 25, 2026

    Board Meeting

    Quarterly Results

    Feb 06, 2026

    Board Meeting

    Quarterly Results

    Nov 04, 2025

  • Announced onMeeting on
    May 25, 2026May 28, 2026
    Audited Results
    Feb 06, 2026Feb 13, 2026
    Quarterly Results
    Nov 04, 2025Nov 13, 2025
    Quarterly Results
    Aug 11, 2025Aug 13, 2025
    Quarterly Results
    May 26, 2025May 30, 2025
    Audited Results
  • Announced onEx-DateDividend%
    May 23, 2018Sep 17, 20185%
    Mar 02, 2016-0%
  • Announced onEx-Date
    Aug 12, 2016Sep 27, 2016
    Bonus Ratio: 2 share(s) for every 1 shares held
  • Announced onEx-Date
    Dec 14, 2016Mar 09, 2017
    Split: Old FV10.0| New FV:1.0
  • No Data Available

  • Announced onMeeting on
    Aug 29, 2025Sep 22, 2025
    -
    Aug 29, 2025Sep 29, 2025
    (Revised)
    Feb 04, 2025Mar 08, 2025
    -
    Oct 15, 2024Nov 15, 2024
    -
    May 17, 2024-
    Resolution Plan - Reduction of Capital

About Viaan Industries

Redmax Footwears Ltd., incorporated in the year 1982, is a Small Cap company (having a market cap of Rs 10.69 Crore) operating in Tourism & Hospitality sector.

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Industry

Gaming

Key Indices Listed On

-

Address

Saisha Bungalow No. 10/87,Mhada, SVP Nagar,Janki Devi School Road,Mumbai, Maharashtra - 400053

Executive Leadership

HJ

Hemant Jindal

Chairperson & Managing Director
GS

Ghanhsyam Shukla

Executive Director
MJ

Monika Jindal

Executive Director
AS

Amit Singhania

Ind. Non-Executive Director
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Auditors

Ashwani & Associates
Bansal Bansal & Co
Bansal & Co.
Sekhri Kanodia & Associates

FAQs about Viaan Industries share

  • 1. What's the Viaan Industries share price today?
    As on 28 May, 2024, 12:00 PM IST Viaan Industries share price is remain unchanged by N.A. basis the previous closing price of Rs 0.97. Viaan Industries share price is Rs 0.97.
  • 2. What is the market cap of Viaan Industries ?
    Market Capitalization of Viaan Industries stock is Rs 10.69 Cr.
  • 3. What has been highest price of Viaan Industries share in last 52 weeks?
    Viaan Industries share price saw a 52 week high of Rs 7.94 and 52 week low of Rs 0.49.

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