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Primech Holdings Ltd. Ordinary Shares (PMEC) 10-Year Financial Performance & Capital Metrics

PMEC • • Industrial / General
IndustrialsBusiness ServicesFacility Management & Support ServicesSpecialized Cleaning Services
AboutPrimech Holdings Ltd. provides facilities and stewarding services in the public and private sectors in Singapore. Its facilities services include general cleaning and maintenance of public and private facilities, such as airports, conservancy areas, public areas, refuse disposal areas, and parks and carparks of public housing units; common areas of hotels, educational institutions, public roads, residential spaces, commercial buildings, office facilities, industrial areas, retail stores, and healthcare facilities; housekeeping services; specialized cleaning services, including marble polishing, building façade cleaning, and clean room sanitation services; and waste management and pest control services. The company also offers stewarding services comprising cleaning of the kitchen area of healthcare facilities, hotels, and restaurants, as well as supplies ad hoc customer service officers, and food and beverage service crews to healthcare facilities, hotels, and restaurants. In addition, it operates HomeHelpy, an online portal that allows individual customers to book cleaning services in homes and offices; and manufactures and sells cleaning supplies, such as hand soaps, hand soap dispensers, cleaning fluids, and garbage bags used for general, floor, carpet, restroom, or kitchen purposes, as well as treatment products used in the marine industry under the D'Bond brand name. The company was incorporated in 2020 and is based in Singapore. Primech Holdings Ltd. is a subsidiary of Sapphire Universe Holdings Limited.Show more
  • Revenue $74M +2.5%
  • EBITDA $3M +202.5%
  • Net Income -$2M +40.0%
  • EPS (Diluted) -0.05 +45.0%
  • Gross Margin 23.57% +35.6%
  • EBITDA Margin 4.43% +195.0%
  • Operating Margin -0.92% +76.0%
  • Net Margin -2.61% +41.5%
  • ROE -13.06% +51.8%
  • ROIC -2.13% +74.3%
  • Debt/Equity 1.05 -23.6%
  • Interest Coverage -0.87 +64.3%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong Piotroski F-Score: 7/9
  • ✓Efficient asset utilization: 1.8x turnover

✗Weaknesses

  • ✗Weak momentum: RS Rating 11 (bottom 11%)
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y9.25%
3Y10.95%
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-

EPS CAGR

10Y-
5Y-
3Y-
TTM-

ROCE

10Y Avg1.25%
5Y Avg0.43%
3Y Avg-9.17%
Latest-3.17%

Peer Comparison

Specialized Cleaning Services
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Growth
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Momentum & Returns
Total Return (DRIP)
Technical
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Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
PMECPrimech Holdings Ltd. Ordinary Shares36.5M0.95-18.102.52%-3.05%-42.69%17.22%1.05
MSGYMasonglory Limited Ordinary Shares44.52M3.1313.04%5.47%46.57%7.62%

Profit & Loss

Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Sales/Revenue+47.78M48.09M54.44M69.03M72.52M74.35M
Revenue Growth %-0.01%0.13%0.27%0.05%0.03%
Cost of Goods Sold+42.2M35.67M44.6M58.41M59.91M56.82M
COGS % of Revenue0.88%0.74%0.82%0.85%0.83%0.76%
Gross Profit+5.57M12.42M9.84M10.62M12.61M17.53M
Gross Margin %0.12%0.26%0.18%0.15%0.17%0.24%
Gross Profit Growth %-1.23%-0.21%0.08%0.19%0.39%
Operating Expenses+4.72M6.63M10.57M12.31M15.39M18.21M
OpEx % of Revenue0.1%0.14%0.19%0.18%0.21%0.24%
Selling, General & Admin4.81M6.68M8.79M9.88M12.45M15.11M
SG&A % of Revenue0.1%0.14%0.16%0.14%0.17%0.2%
Research & Development000000
R&D % of Revenue------
Other Operating Expenses00002.94M3.1M
Operating Income+730.34K5.78M-1.22M-2.1M-2.78M-684K
Operating Margin %0.02%0.12%-0.02%-0.03%-0.04%-0.01%
Operating Income Growth %-6.92%-1.21%-0.72%-0.32%0.75%
EBITDA+2.61M8.45M1.85M1.55M1.09M3.3M
EBITDA Margin %0.05%0.18%0.03%0.02%0.02%0.04%
EBITDA Growth %-2.24%-0.78%-0.16%-0.3%2.02%
D&A (Non-Cash Add-back)1.88M2.66M3.07M3.66M3.87M3.98M
EBIT730.34K5.78M-729.67K-1.83M-2.57M-975K
Net Interest Income+-234.78K-202.52K-369.22K-723K-1.15M-789K
Interest Income000000
Interest Expense234.78K202.52K369.22K723.3K1.15M789K
Other Income/Expense-234.78K-158.43K123.85K-452.06K-934K-1.08M
Pretax Income+495.56K5.58M-1.1M-2.56M-3.72M-1.76M
Pretax Margin %0.01%0.12%-0.02%-0.04%-0.05%-0.02%
Income Tax+185.79K219.32K164.27K-10.13K-493K456K
Effective Tax Rate %0.63%0.96%1.13%0.99%0.87%1.1%
Net Income+309.76K5.36M-1.24M-2.53M-3.24M-1.94M
Net Margin %0.01%0.11%-0.02%-0.04%-0.04%-0.03%
Net Income Growth %-16.31%-1.23%-1.04%-0.28%0.4%
Net Income (Continuing)309.76K5.36M-1.26M-2.55M-3.22M-2.22M
Discontinued Operations000000
Minority Interest0066.89K51.83K68K-210K
EPS (Diluted)+0.010.15-0.03-0.07-0.10-0.05
EPS Growth %---1.23%-1.04%-0.34%0.45%
EPS (Basic)0.010.15-0.03-0.07-0.10-0.05
Diluted Shares Outstanding35.55M35.55M35.55M35.55M33.93M36.96M
Basic Shares Outstanding35.55M35.55M35.55M35.55M33.93M36.96M
Dividend Payout Ratio0.05%0.08%----

Balance Sheet

Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Total Current Assets+18.08M22.05M18.79M27.44M31.33M29.01M
Cash & Short-Term Investments2.97M6.82M5.14M9.07M7.65M10.14M
Cash Only2.97M6.82M5.14M9.07M7.65M10.14M
Short-Term Investments000000
Accounts Receivable14.37M13.32M10.98M17.05M19.82M17.12M
Days Sales Outstanding109.77101.1273.5990.1599.7584.04
Inventory0427.65K144.17K141.43K55K44K
Days Inventory Outstanding-4.381.180.880.340.28
Other Current Assets0-427.65K2.52M2091.82M0
Total Non-Current Assets+4.77M6.9M14.41M15.39M14.18M12.19M
Property, Plant & Equipment2.84M4.31M12.43M14.05M13.49M11.8M
Fixed Asset Turnover16.81x11.16x4.38x4.91x5.38x6.30x
Goodwill369.3K531.47K813.03K693.02K667K391K
Intangible Assets1.13M768.84K385.75K92.59K21K2K
Long-Term Investments422.67K-19.13K-12.25K-12.49K00
Other Non-Current Assets-3.49K1.29M781.33K552.77K00
Total Assets+22.85M28.95M33.2M42.82M45.51M41.2M
Asset Turnover2.09x1.66x1.64x1.61x1.59x1.80x
Asset Growth %-0.27%0.15%0.29%0.06%-0.09%
Total Current Liabilities+9.23M10.29M12.43M24.52M22.74M20.87M
Accounts Payable4.67M5.41M8.69M10.9M9.41M10.33M
Days Payables Outstanding40.3655.3771.1268.1157.366.35
Short-Term Debt3.33M1.81M2.47M11.9M11.28M8.48M
Deferred Revenue (Current)0437.92K0000
Other Current Liabilities350.95K2.1M316.54K-7600
Current Ratio1.96x2.14x1.51x1.12x1.38x1.39x
Quick Ratio1.96x2.10x1.50x1.11x1.38x1.39x
Cash Conversion Cycle-50.133.6522.9242.7817.97
Total Non-Current Liabilities+1.25M5.37M9.53M9.47M7.71M5.65M
Long-Term Debt03.71M7.45M7.11M5.71M4.33M
Capital Lease Obligations707.26K1M1.36M1.63M1.75M1.07M
Deferred Tax Liabilities539.62K655.3K711.46K725.89K251K255K
Other Non-Current Liabilities000000
Total Liabilities10.48M15.66M21.96M33.99M30.45M26.52M
Total Debt+4.84M7.35M12.01M22.36M20.79M15.47M
Net Debt1.86M529.45K6.86M13.29M13.14M5.33M
Debt / Equity0.39x0.55x1.07x2.53x1.38x1.05x
Debt / EBITDA1.85x0.87x6.51x14.42x19.08x4.69x
Net Debt / EBITDA0.71x0.06x3.72x8.57x12.06x1.62x
Interest Coverage3.11x28.56x-3.31x-2.91x-2.43x-0.87x
Total Equity+12.37M13.28M11.24M8.83M15.06M14.68M
Equity Growth %-0.07%-0.15%-0.21%0.7%-0.03%
Book Value per Share0.350.370.320.250.440.40
Total Shareholders' Equity12.37M13.28M11.17M8.78M14.99M14.89M
Common Stock10.09M12.72M12.72M12.72M22.19M23.96M
Retained Earnings1.37M-1.23M-3.28M-5.81M-9.05M-10.99M
Treasury Stock000000
Accumulated OCI-17.94K872.51K808.81K946.9K923K995K
Minority Interest0066.89K51.83K68K-210K

Cash Flow

Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operations+2.49M3.62M5.05M-3.18M-9.08M7.38M
Operating CF Margin %0.05%0.08%0.09%-0.05%-0.13%0.1%
Operating CF Growth %-0.46%0.39%-1.63%-1.85%1.81%
Net Income309.76K5.36M-1.26M-2.55M-3.24M-2.22M
Depreciation & Amortization1.88M2.66M3.07M3.66M3.87M3.98M
Stock-Based Compensation000001.77M
Deferred Taxes76.27K00000
Other Non-Cash Items142.74K27.65K-32.61K-47.51K3K323K
Working Capital Changes156.53K-4.43M3.28M-4.25M-9.72M3.53M
Change in Receivables1.12M-1.19M2.22M-3.15M-3.33M2.78M
Change in Inventory-1.35M0-14.22K5.42K84K11K
Change in Payables310.63K-776.77K2.21M1.97M-1.33M879K
Cash from Investing+-733.46K-3.22M-2.55M-1.13M-807K-1.03M
Capital Expenditures-1.21M-1.11M-2.57M-2M-909K-1.1M
CapEx % of Revenue0.03%0.02%0.05%0.03%0.01%0.01%
Acquisitions------
Investments------
Other Investing478.43K153.78K637.18K871.2K102K67K
Cash from Financing+-2.96M2.31M-3.63M8.01M8.18M-4.39M
Debt Issued (Net)------
Equity Issued (Net)------
Dividends Paid-16.02K-440.36K-1.85M-316.54K00
Share Repurchases------
Other Financing-5.02M-1.56M00545K0
Net Change in Cash------
Free Cash Flow+1.27M2.51M2.49M-5.19M-9.99M6.28M
FCF Margin %0.03%0.05%0.05%-0.08%-0.14%0.08%
FCF Growth %-0.97%-0.01%-3.09%-0.93%1.63%
FCF per Share0.040.070.07-0.15-0.290.17
FCF Conversion (FCF/Net Income)8.03x0.68x-4.08x1.26x2.80x-3.80x
Interest Paid00000789K
Taxes Paid000000

Key Ratios

Metric202020212022202320242025
Return on Equity (ROE)2.5%41.81%-10.11%-25.22%-27.11%-13.06%
Return on Invested Capital (ROIC)3.85%30.94%-5.75%-7.85%-8.29%-2.13%
Gross Margin11.67%25.83%18.08%15.38%17.39%23.57%
Net Margin0.65%11.15%-2.28%-3.67%-4.47%-2.61%
Debt / Equity0.39x0.55x1.07x2.53x1.38x1.05x
Interest Coverage3.11x28.56x-3.31x-2.91x-2.43x-0.87x
FCF Conversion8.03x0.68x-4.08x1.26x2.80x-3.80x
Revenue Growth-0.65%13.21%26.79%5.07%2.52%

Frequently Asked Questions

Growth & Financials

Primech Holdings Ltd. Ordinary Shares (PMEC) reported $123.5M in revenue for fiscal year 2025. This represents a 158% increase from $47.8M in 2020.

Primech Holdings Ltd. Ordinary Shares (PMEC) grew revenue by 2.5% over the past year. Growth has been modest.

Primech Holdings Ltd. Ordinary Shares (PMEC) reported a net loss of $3.8M for fiscal year 2025.

Dividend & Returns

Primech Holdings Ltd. Ordinary Shares (PMEC) has a return on equity (ROE) of -13.1%. Negative ROE indicates the company is unprofitable.

Primech Holdings Ltd. Ordinary Shares (PMEC) had negative free cash flow of $2.7M in fiscal year 2025, likely due to heavy capital investments.

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