Kaira Can Co [KAIRA] vs Uflex Limited [UFLEX] Detailed Stock Comparison

TLDR: Quick Comparison Summary

Based on 20 vital metrics comparison: Kaira Can Co. Ltd. wins in 9 metrics, Uflex Limited wins in 11 metrics, with 0 ties. Uflex Limited appears stronger overall.

View Metrics Details

Vital Metrics Comparison

Metric Kaira Can Co. Ltd. Uflex Limited Better
P/E Ratio (TTM) 41.64 9.74 Uflex Limited
Price-to-Book Ratio 1.48 0.36 Uflex Limited
Debt-to-Equity Ratio 6.67 120.69 Kaira Can Co. Ltd.
PEG Ratio -0.34 -0.13 Uflex Limited
EV/EBITDA 18.86 6.33 Uflex Limited
Profit Margin (TTM) 1.31% 1.94% Uflex Limited
Operating Margin (TTM) 0.84% 6.70% Uflex Limited
EBITDA Margin (TTM) 0.84% 6.70% Uflex Limited
Return on Equity 4.31% 1.92% Kaira Can Co. Ltd.
Return on Assets (TTM) 3.16% 0.73% Kaira Can Co. Ltd.
Free Cash Flow (TTM) $-147.51M $-5.97B Kaira Can Co. Ltd.
Dividend Yield 0.70% 0.69% Kaira Can Co. Ltd.
1-Year Return -19.36% -31.95% Kaira Can Co. Ltd.
Price-to-Sales Ratio (TTM) 0.55 0.19 Uflex Limited
Enterprise Value $1.36B $109.88B Uflex Limited
EV/Revenue Ratio 0.56 0.74 Kaira Can Co. Ltd.
Gross Profit Margin (TTM) 18.77% 40.87% Uflex Limited
Revenue per Share (TTM) $2,628 $2,067 Kaira Can Co. Ltd.
Earnings per Share (Diluted) $34.49 $40.12 Uflex Limited
Beta (Stock Volatility) -0.25 0.48 Kaira Can Co. Ltd.

Kaira Can Co. Ltd. vs Uflex Limited Stock Performance Analysis

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Performance Comparison

Short-term Returns

Stock1D1W1M3M6MYTD
Kaira Can Co. Ltd.3.75%16.09%10.48%23.08%4.73%-2.88%
Uflex Limited2.38%1.53%6.61%-3.45%-9.61%-14.28%

Long-term Returns

Stock1Y3Y5Y10Y15Y20Y
Kaira Can Co. Ltd.-19.36%-42.81%2.13%70.03%314.23%434.85%
Uflex Limited-31.95%-3.42%-10.25%78.38%103.36%673.68%

Performance & Financial Health Analysis: Kaira Can Co. Ltd. vs Uflex Limited

MetricKAIRAUFLEX
Market Information
Market Cap i₹1.32B₹28.21B
Market Cap CategorySmall capSmall cap
10 Day Avg. Volume i5555,033
90 Day Avg. Volume i21485,183
Last Close₹1,514.95₹427.35
52 Week Range₹1,120.00 - ₹1,887.00₹330.00 - ₹620.45
% from 52W High-19.72%-31.12%
All-Time High₹4,473.00 (Sep 12, 2022)₹859.80 (Aug 19, 2024)
% from All-Time High-66.13%-50.30%
Growth Metrics
Quarterly Revenue Growth-0.04%-0.04%
Quarterly Earnings Growth-0.04%-0.74%
Financial Health
Profit Margin (TTM) i0.01%0.02%
Operating Margin (TTM) i0.01%0.07%
Return on Equity (TTM) i0.04%0.02%
Debt to Equity (MRQ) i6.67120.69
Cash & Liquidity
Book Value per Share (MRQ)₹969.27₹1,071.11
Cash per Share (MRQ)₹8.90₹160.41
Operating Cash Flow (TTM) i₹1.80M₹3.31B
Levered Free Cash Flow (TTM) i₹38.45M₹1.42B
Dividends
Last 12-Month Dividend Yield i0.70%0.69%
Last 12-Month Dividend i₹12.00₹4.00

Valuation & Enterprise Metrics Analysis: Kaira Can Co. Ltd. vs Uflex Limited

MetricKAIRA (Apr 24, 2026)UFLEX (Apr 26, 2026)
Price Ratios
P/E Ratio (TTM) i41.649.74
Forward P/E i22.336.92
PEG Ratio i-0.34-0.13
Price to Sales (TTM) i0.550.19
Price to Book (MRQ) i1.480.36
Market Capitalization
Market Capitalization i₹1.32B₹28.21B
Enterprise Value i₹1.36B₹109.88B
Enterprise Value Metrics
Enterprise to Revenue i0.560.74
Enterprise to EBITDA i18.866.33
Risk & Other Metrics
Beta i-0.250.48
Book Value per Share (MRQ) i₹969.27₹1,071.11

Financial Statements Comparison: Kaira Can Co. Ltd. vs Uflex Limited

Financial Metrics

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Revenue

Operating Margin

Profit Margin

Long Term Debt

Income Flow Analysis

Financial Statements Comparison

Income Statement

MetricKAIRA (2025)UFLEX (2025)
Revenue/Sales i2.04B148.45B
Cost of Goods Sold i1.90B107.17B
COGS % of Revenue i93.1%72.2%
Gross Profit i140.42M41.28B
Gross Margin i6.9%27.8%
Research & Development iN/AN/A
Operating Income (EBIT) i44.31M10.77B
Operating Margin i2.2%7.3%
EBITDA i82.10M17.96B
EBITDA Margin i4.0%12.1%
Pre-Tax Income i51.20M2.48B
Pre-Tax Income % of Revenue i2.5%1.7%
Income Tax i12.76M1.06B
Income Tax % of Revenue i0.6%0.7%
Net Income (Profit) i38.45M1.42B
Profit Margin i1.9%1.0%

Balance Sheet & Liquidity Metrics

MetricKAIRA (2025)UFLEX (2025)
Cash & Equivalents i34.92M11.25B
Total Current Assets i700.50M84.58B
Total Current Assets % of Revenue i34.3%57.0%
Total Current Liabilities i305.33M64.61B
Total Current Liabilities % of Revenue i15.0%43.5%
Long-Term Debt i050.90B
Long-Term Debt % of Revenue i0.0%34.3%
Total Shareholders Equity i892.21M73.96B
Retained Earnings i600.65M51.01B
Retained Earnings % of Revenue i29.4%34.4%
Property, Plant & Equipment i578,0007.42B

Cash Flow Statement Comparison

MetricKAIRA (2025)UFLEX (2025)
Operating Cash Flow i1.80M3.31B
Operating Cash Flow % of Revenue i0.1%2.2%
Capital Expenditures i-135.04M-17.26B
Free Cash Flow i-147.51M-5.97B
FCF Margin i-7.2%-4.0%
Debt Repayment iN/AN/A
Common Stock Repurchase iN/AN/A

Short Interest & Institutional Ownership Analysis

MetricKAIRAUFLEX
Shares Short iN/AN/A
Short Ratio iN/AN/A
Short % of Float iN/AN/A
Shares Outstanding i922,13372.21M
Float Shares i59,61411.09M
% Held by Insiders i93.79%82.42%
% Held by Institutions i0.00%1.43%
% Held by Public i6.21%16.15%

Dividend Analysis & Yield Comparison: Kaira Can Co. Ltd. vs Uflex Limited

MetricKAIRAUFLEX
Last 12-Month Dividend i₹12.00₹4.00
Last 12-Month Dividend Yield i0.70%0.69%
3-Year Avg Annual Dividend i₹16.00₹4.33
3-Year Avg Dividend Yield i0.56%0.51%
3-Year Total Dividends i₹48.00₹13.00
Ex-Dividend DateAug 01, 2025Aug 01, 2025