MRPL & RPL - Analyzing Risk and Returns|Finance|Case Study|Case Studies

MRPL & RPL - Analyzing Risk and Returns

            
 
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Please note:

This case study was compiled from published sources, and is intended to be used as a basis for class discussion. It is not intended to illustrate either effective or ineffective handling of a management situation. Nor is it a primary information source.



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Case Details:

Price:

Case Code : FINC027 For delivery in electronic format: Rs. 300;
For delivery through courier (within India): Rs. 300 + Shipping & Handling Charges extra

Themes

EVA Financial concepts
Case Length : 12 Pages
Period : 1993 - 2004
Pub. Date : 2004
Teaching Note : Not Available
Organization : Mangalore Refinery and Petrochemicals Limited (MRPL) and Reliance Petroleum Limited (RPL)
Industry : Petroleum and Finance
Countries : India

Abstract:

The case examines the financial performance of two petroleum refineries - MRPL and RPL - established by the private sector in India during the mid-1990s.

Though the shares of both these refineries were oversubscribed by investors during their public issue, the financial performance of these companies was very different during the period 1999-2002.

The case studies the returns provided by the shares of both these companies and compare them with the overall stock market returns during the period 1996-2002. It analyzes the systematic risk (Beta) involved when investing in the shares of these companies.

Finance | Case Study in Management, Operations, Strategies, Finance, Case Studies

Issues:

» The financial performance of MRPL and RPL with a view to study the reasons behind the contrasting financial results

» The average returns and risk on the shares of MRPL and RPL during the period 1996-2002

Contents:

  Page No.
Introduction 1
Background Note 2
Financial Performance 3
The Stock Market Perspective 4
The Future Prospects 5
Exhibits 7

Keywords:

MRPL, RPL, private sector, India, mid-1990s, refineries, oversubscribed, investors, public issue, financial performance, 1999-2002, shares, stock market, 1996-2002, systematic risk, Beta, investing

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