Action Construction Equipment Ltd

NSE :ACE   BSE :532762  Sector : Capital Goods-Non Electrical Equipment
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04 Apr
1263.40
(-2.72%)
03 Apr
1298.70
(1.74%)
02 Apr
1276.45
(1.62%)
01 Apr
1256.10
(-0.08%)
28 Mar
1257.10
(-0.15%)
27 Mar
1259.00
(5.07%)
26 Mar
1198.25
(-1.02%)
25 Mar
1210.55
(-2.60%)
24 Mar
1242.90
(-0.64%)
21 Mar
1250.85
(2.21%)
20 Mar
1223.80
(0.89%)
19 Mar
1212.95
(1.69%)
18 Mar
1192.80
(3.30%)
17 Mar
1154.70
(0.30%)
13 Mar
1151.25
(-1.49%)
12 Mar
1168.70
(-0.05%)
11 Mar
1169.30
(3.09%)
10 Mar
1134.20
(-0.18%)
07 Mar
1136.30
(2.96%)
06 Mar
1103.60
(1.39%)
05 Mar
1088.50
(1.84%)


Technical Analysis

Short Term Investors

Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Bearish

Moving Averages

5 DMA
Bearish

1270.07


10 DMA
Bullish

1250.87


20 DMA
Bullish

1207.76


50 DMA
Bullish

1204.88


100 DMA
Bearish

1287.37


200 DMA
Bearish

1321.92



Intraday Support and Resistance
(Based on Pivot Points) undefined |

Updated On Apr 04, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 1335.54 1313.77 1276.31 - -
R2 1313.77 1295.84 1272.01 1312.91 -
R1 1288.59 1284.75 1267.7 1286.87 1301.18
P 1266.82 1266.82 1266.82 1265.96 1273.11
S1 1241.64 1248.89 1259.1 1239.92 1254.23
S2 1219.87 1237.8 1254.79 1219.01 -
S3 1194.69 1219.87 1250.49 - -

Key Metrics

EPS

32.19

P/E

39.22

P/B

10.96

Dividend Yield

0.16%

Market Cap

15,045 Cr.

Face Value

2

Book Value

115.24

ROE

30.55%

EBITDA Growth

164.06 Cr.

Debt/Equity

0.01

Shareholding Pattern

  65.41% Total Promoter Holding
0.38% Mutual Fund Holdings
11.9% FIIs
20.87% Non Institution
0.63% Insurance Companies
0.07% Custodians
0.74% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Action Construction Equipment Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME776.08 856.76 761.81 790.9 905.28
PROFIT88.25 98.44 84.18 94.8 111.68
EPS7.41 8.27 7.07 7.97 9.38

Action Construction Equipment Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME776.05 856.41 760.99 788.48 902.94
PROFIT88.52 98.15 83.71 94.37 107.15
EPS7.43 8.25 7.03 7.93 9.01

Profit & Loss (Figures in Rs. Crores)


Action Construction Equipment Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 601.74 645.66 763.09 1097.15 1399.25 1191.88 1269.67 1661.63 2245.2 3041.2
PROFIT 4.82 8.28 14.83 51.65 55.76 51.7 75.85 104.77 156.92 328.53
EPS 0.49 0.69 1.19 4.43 4.78 4.62 7.03 8.82 14.53 27.56

Action Construction Equipment Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 599.43 645.51 763.06 1097.08 1399.21 1191.73 1269.53 1662.4 2224.1 3037.45
PROFIT 4.33 7.12 13.96 52.21 55.88 51.84 76.18 105.66 160.33 328.01
EPS 0.64 0.7 1.23 4.49 4.79 4.64 7.06 8.89 13.54 27.51

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 23.8223.8223.8222.722.723.4640.5523.4653.6819.79
Reserves Total 1,211.49894.74730.27500.58419.94414.08358.68310.52259.05271.74
Equity Application Money-5.47000000000
Total Shareholders Funds1,229.84918.56754.09523.28442.64437.54399.23333.98312.73291.53
Minority Interest1.661.620.240.260.30.290.310.310.340.41
Secured Loans 3.886.27.654.2281.9847.261.2183.43106.39137.72
Unsecured Loans 0.581.2523.420.360.436.04030.2217.870
Total Debt4.467.4531.0254.5882.4153.2461.21113.65124.26137.72
Other Liabilities3.222.662.281.853.92.611.517.6611.15.27
Total Liabilities1,239.18930.29787.63579.97529.25493.67472.26455.6448.43434.93
APPLICATION OF FUNDS :
Gross Block 740.1639.7592.94563.46536.99457.2446.16451.98409.75354.52
Less: Accumulated Depreciation160.53152.25141.26134.12124.93116.65108.9105.7394.6671.32
Net Block579.57487.45451.68429.34412.06340.55337.26346.25315.09283.2
Capital Work in Progress43.6424.4124.2912.5519.358.285.187.091.816.94
Investments 594.11348.66179.2431.4427.9445.0935.2618.1916.7613.97
Inventories 553.4418.54333.37266.05270.69212.89144.3113.6123.82141.82
Sundry Debtors 164.31169.34188.72224.68147.33144.11169.91103.9481.4980.91
Cash and Bank Balance110.4148.9614.3136.519.2711.4210.8312.5710.5511.41
Loans and Advances 75.0862.7367.3538.2652.3951.3439.4124.0220.8921.36
Total Current Assets903.2699.57603.75565.5479.68419.76364.45254.12236.76255.49
Current Liabilities 909.49653.6475.73456407.77376.09329.68214.28156.18158.5
Provisions 10.832.515.513.262.41.536.12.653.357.33
Total Current Liabilities & Provisions920.32656.11481.23459.26410.17377.62335.78216.93159.53165.83
Net Current Assets-17.1343.46122.52106.2469.5142.1428.6737.1977.2389.67
Deferred Tax Assets49.7435.015.022.731.271.266.458.891.480.48
Deferred Tax Liability58.8348.3518.5218.7915.4616.8615.1913.0413.419.11
Net Deferred Tax-9.09-13.34-13.5-16.06-14.19-15.6-8.74-4.15-11.93-8.63
Other Assets48.139.6523.3916.4714.5873.2374.6451.0349.4949.8
Total Assets1,239.19930.29787.63579.97529.25493.68472.27455.6448.44434.94
Contingent Liabilities40.9138.9944.54137.91130.48109.61104.6194.3776.4157.06
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 23.8223.8223.8222.722.723.4640.5523.4653.6819.79
Reserves Total 1,201.44885.35731.27500.77419.85413.72382.1333.69282.68293.14
Equity Application Money-5.47000000000
Total Shareholders Funds1,219.79909.17755.09523.47442.55437.18422.65357.15336.36312.93
Secured Loans 3.886.27.654.2281.9847.261.2183.43106.39137.72
Unsecured Loans 0.370.7522.670.360.436.04030.2217.870
Total Debt4.256.9530.2754.5882.4153.2461.21113.65124.26137.72
Other Liabilities3.152.622.271.853.92.611.517.6611.15.27
Total Liabilities1,227.19918.74787.63579.9528.86493.02495.37478.46471.72455.92
APPLICATION OF FUNDS :
Gross Block 734.44633.95583.57554.89529.57450.86438.36442.61400.63345.4
Less : Accumulated Depreciation 160.17151.95141.03133.94124.74116.46108.71105.494.3571.53
Net Block 574.27482442.54420.95404.83334.4329.65337.21306.28273.87
Capital Work in Progress43.6424.4124.2912.5518.217.144.045.950.675.79
Investments 603.44358.03186.1937.9434.4450.5249.5733.7320.7417.95
Inventories 551.49417.42332.47265.69270.26212.46143.86113.17123.35141.24
Sundry Debtors 165.69169.09189.73224.59147.26143.98169.81103.8681.3380.61
Cash and Bank Balance94.8432.4114.0236.449.2511.4110.7912.5610.5411.34
Loans and Advances 74.7562.3666.8238.2652.3951.3339.3623.9620.8621.32
Total Current Assets886.77681.28603.03564.98479.16419.19363.82253.54236.08254.52
Current Liabilities 907.77650.19472.58453.67405.76374.3327.99212.33154.11156.26
Provisions 10.82.485.53.262.41.536.12.653.357.33
Total Current Liabilities & Provisions918.57652.67478.08456.93408.16375.83334.09214.98157.46163.59
Net Current Assets-31.7928.61124.95108.057143.3629.7338.5678.6290.94
Deferred Tax Assets19.7110.254.842.731.271.266.458.891.480.48
Deferred Tax Liability29.3324.1518.4918.7915.4616.8615.1913.0413.419.11
Net Deferred Tax-9.62-13.9-13.65-16.06-14.19-15.6-8.74-4.15-11.93-8.63
Other Assets47.2739.623.3216.4614.5773.2291.1467.1677.3476.01
Total Assets1,227.21918.75787.64579.89528.85493.04495.38478.45471.72455.93
Contingent Liabilities40.9138.9944.54137.91130.48109.61104.6194.3776.4157.06

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...433.94
Depreciation23.24
Interest (Net)2.18
Dividend Received0.4
P/L on Sales of Assets0.49
Prov. and W/O (Net)23.86
P/L in Forex0.02
Others-5.47
Total Adjustments (PBT and Ext...10.66
Operating Profit before Workin...444.6
Trade and 0ther Receivables-10.11
Inventories-149.8
Trade Payables187.95
Loans and Advances-0.17
Total Adjustments (OP before W...91.46
Cash Generated from/(used in) ...536.05
Direct Taxes Paid-102.63
Total Adjustments(Cash Generat...-102.63
Cash Flow before Extraordinary...433.42
Net Cash from Operating Activi...433.42
Purchased of Fixed Assets-175.05
Sale of Fixed Assets9.77
Purchase of Investments-558.84
Sale of Investments360.12
Interest Received15.35
Net Cash used in Investing Act...-368.04
Proceed from Short Tem Borrowi...638.2
Of the Short Term Borrowings-640.52
Of Financial Liabilities-0.55
Dividend Paid-11.91
Interest Paid-18.41
Net Cash used in Financing Act...-38.66
Net Profit before Tax and Extr...433.23
Depreciation22.89
Interest (Net)3
Dividend Received0.4
P/L on Sales of Assets0.49
Prov. and W/O (Net)23.86
P/L in Forex0.02
Others-5.47
Total Adjustments (PBT and Ext...11.13
Operating Profit before Workin...444.36
Trade and 0ther Receivables-11.74
Inventories-149.01
Trade Payables189.73
Loans and Advances-0.17
Total Adjustments (OP before W...92.24
Cash Generated from/(used in) ...536.6
Direct Taxes Paid-102.45
Total Adjustments(Cash Generat...-102.45
Cash Flow before Extraordinary...434.15
Net Cash from Operating Activi...434.15
Purchased of Fixed Assets-174.11
Sale of Fixed Assets9.77
Purchase of Investments-558.84
Sale of Investments360.12
Interest Received14.53
Net Cash used in Investing Act...-368.1
Proceed from Short Tem Borrowi...638.2
Of the Short Term Borrowings-640.52
Of Financial Liabilities-0.26
Dividend Paid-11.91
Interest Paid-18.38
Net Cash used in Financing Act...-38.35

Company Details

Registered Office
AddressDhudhola Link Road,
Dhudhola
CityPalwal
StateHaryana
Pin Code121102
Tel. No.91-1275-280111
Fax. No.91-1275-280133
Emailcs@ace-cranes.com
Internethttp://www.ace-cranes.com
Registrars
AddressDhudhola Link Road
CityPalwal
StateHaryana
Pin Code121102
Tel. No.91-1275-280111
Fax. No.91-1275-280133
Emailcs@ace-cranes.com
Internethttp://www.ace-cranes.com
Management
Name Designation
Vijay AgarwalChairman & Managing Director
Mona AgarwalWhole-time Director
Sorab AgarwalWhole-time Director
Surbhi GargWhole-time Director
Avinash P GandhiIndependent Director
Divya SingalIndependent Director
Shriniwas VashishtIndependent Director
Jagan Nath ChamberIndependent Director
Anil KumarCompany Sec. & Compli. Officer