Anant Raj Ltd

NSE :ANANTRAJ   BSE :515055  Sector : Realty
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03 May
357.45
(-0.60%)
02 May
359.60
(-0.91%)
30 Apr
362.90
(-1.29%)
29 Apr
367.65
(0.96%)
26 Apr
364.15
(1.32%)
25 Apr
359.40
(-1.29%)
24 Apr
364.10
(1.12%)
23 Apr
360.05
(2.49%)
22 Apr
351.30
(3.22%)
19 Apr
340.35
(1.86%)
18 Apr
334.15
(0.32%)
16 Apr
333.10
(0.18%)
15 Apr
332.50
(-1.73%)
12 Apr
338.35
(-2.06%)
10 Apr
345.45
(0.57%)
09 Apr
343.50
(1.76%)
08 Apr
337.55
(2.37%)
05 Apr
329.75
(1.45%)
04 Apr
325.05
(-1.16%)
03 Apr
328.85
(-0.48%)
02 Apr
330.45
(1.98%)


Technical Analysis

Short Term Investors

Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bearish

362.07


10 DMA
Bearish

358.58


20 DMA
Bullish

346.73


50 DMA
Bullish

335.38


100 DMA
Bullish

324.29


200 DMA
Bullish

273.87



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On May 03, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 373.46 368.08 360.39 - -
R2 368.08 363.99 359.41 368.1 -
R1 362.76 361.47 358.43 362.8 365.43
P 357.38 357.38 357.38 357.4 358.71
S1 352.06 353.29 356.47 352.1 354.73
S2 346.68 350.77 355.49 346.7 -
S3 341.36 346.68 354.51 - -

Key Metrics

EPS

3.8

P/E

93.96

P/B

3.59

Dividend Yield

0.2%

Market Cap

12,221 Cr.

Face Value

2

Book Value

99.58

ROE

5.29%

EBITDA Growth

113.88 Cr.

Debt/Equity

0.44

Shareholding Pattern

  60% Total Promoter Holding
1.21% Mutual Fund Holdings
11.53% FIIs
24.82% Non Institution
1.81% Insurance Companies
0% Custodians
0.63% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Anant Raj Ltd Quaterly Results


Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
INCOME 289.89 325.77 340.83 401.02 453.12
PROFIT 49.4 50.65 60.1 71.83 78.33
EPS 1.52 1.56 1.85 2.22 2.39

Anant Raj Ltd Quaterly Results


Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
INCOME 175.81 188.36 201.49 228.84 277.99
PROFIT 27.75 25.86 28.3 35.03 40.83
EPS 0.86 0.8 0.87 1.08 1.19

Profit & Loss (Figures in Rs. Crores)


Anant Raj Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 502.47 491.75 476.38 494.6 529.32 364.14 285.69 269.62 501.24 1004.86
PROFIT 100.87 140.83 83.64 77.07 67.72 42.69 26.74 10.65 54.81 151.01
EPS 3.47 4.77 2.15 2.26 2.04 0.99 0.57 0.01 1.64 4.46

Anant Raj Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 449 435.97 433.46 449.39 455.97 339.25 417.61 275.51 401.78 718.15
PROFIT 88.8 123.52 72.45 60.24 42.87 32.46 27.33 20.11 55.89 106.62
EPS 2.95 4.19 1.95 2.04 1.45 1.1 0.93 0.68 1.89 3.29

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 64.8259.0259.0259.0259.0259.0259.0259.0259.0259.02
Reserves Total 2,760.262,580.082,440.492,426.372,442.054,075.684,157.164,057.944,074.873,943.64
Equity Application Money0000052.0229.74000
Total Shareholders Funds2,825.082,639.12,499.512,485.392,501.074,186.724,245.924,116.964,133.894,002.66
Minority Interest33.235.3236.9539.0941.3643.24114.16115.23115.02108.04
Secured Loans 878.66901.891,410.561,293.811,234.642,041.021,342.181,028.161,285.84901.74
Unsecured Loans 225.05381.07252.37396.78356.53559.42378.35460.7170.25482.44
Total Debt1,103.711,282.961,662.931,690.591,591.172,600.441,720.531,488.871,356.091,384.18
Other Liabilities184.5169.62105.5930.4830.4888.5148.7839.3140.7131.85
Total Liabilities4,146.494,1274,304.984,245.554,164.086,918.916,129.395,760.375,645.715,526.73
APPLICATION OF FUNDS :
Gross Block 1,526.991,518.261,517.891,516.761,509.32,993.692,808.5459.712,680.632,783.2
Less: Accumulated Depreciation221.7208.21191.78175.13158.62204.85181.3879.96125.79102.7
Net Block1,305.291,310.051,326.111,341.631,350.682,788.842,627.12379.752,554.842,680.5
Capital Work in Progress76.9947.5690.37140.01145.74191.81144.87168.98169.0361
Investments 460.26460.25422.54461.4402.38593.74648.662,875.94662.69549.62
Inventories 1,196.721,134.911,456.641,387.79962.221,146.471,122.311,1361,145.851,104.78
Sundry Debtors 51.2821.7843.5771.5962.13104.63111.2297.1194.3572.21
Cash and Bank Balance69.0630.8237.3618.164.89266.25135.4987.35103.1855.86
Loans and Advances 860.34966.65843.15781.641,279.631,321.89924.14648.72768.24882.21
Total Current Assets2,177.42,154.162,380.722,259.122,368.872,839.242,293.161,969.182,111.622,115.06
Current Liabilities 142.87219.54282.27319.49424.03526.41553.31474.22431.77607.05
Provisions 31.2313.344.328.080.5510.729.6411.159.539.27
Total Current Liabilities & Provisions174.1232.88286.59327.56424.58537.13562.95485.37441.3616.31
Net Current Assets2,003.31,921.282,094.131,931.551,944.292,302.111,730.211,483.811,670.321,498.75
Deferred Tax Assets11.0513.0714.0912.0411.0119.3866.327.578.768.1
Deferred Tax Liability48.4338.1933.0926.6323.9136.4713.4130.6912.3611.94
Net Deferred Tax-37.38-25.12-19-14.59-12.9-17.0952.89-3.12-3.6-3.84
Other Assets338.03412.98390.83385.54333.891,059.48925.63855.01592.44740.71
Total Assets4,146.494,1274,304.984,245.544,164.076,918.96,129.385,760.375,645.725,526.74
Contingent Liabilities114.9280.0779.5296.3788.15270.72256.64280.79251.76229.37
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 64.8259.0259.0259.0259.0259.0259.0259.0259.0259.02
Reserves Total 2,696.532,552.412,409.142,385.632,400.694,085.494,069.443,957.393,975.743,861.46
Total Shareholders Funds2,761.352,611.432,468.162,444.652,459.714,144.514,128.464,016.414,034.763,920.48
Secured Loans 830.44846.471,353.031,510.121,492.912,226.231,619.011,385.211,241.81855.87
Unsecured Loans 213.07382.45261.2588.0191.1138.19002.41411.45
Total Debt1,043.511,228.921,614.281,598.131,584.022,264.421,619.011,385.211,244.221,267.32
Other Liabilities128.08114.9898.691.351.3891.0532.5528.9331.1523.81
Total Liabilities3,932.943,955.334,181.134,044.134,045.116,499.985,780.025,430.555,310.135,211.61
APPLICATION OF FUNDS :
Gross Block 1,338.621,336.461,335.731,334.11,334.362,159.782,156.66353.392,049.622,021.48
Less : Accumulated Depreciation 204.75192.63178.31163.62148.9153.16136.7353.5196.6780.31
Net Block 1,133.871,143.831,157.421,170.481,185.462,006.622,019.93299.881,952.951,941.17
Capital Work in Progress61.5441.3486.47136.01143.31179.81132.85157.94158.4935.5
Investments 375.63339.72290.21290.18290.13811.21581.942,300.13498.11395.05
Inventories 1,063.27978.911,265.861,223.64957.811,141.521,116.211,130.851,140.371,099.81
Sundry Debtors 45.4421.0553.6881.5161.3100.93107.0295.192.7471.14
Cash and Bank Balance39.618.0511.2110.6433.8453.4247.9921.0962.7816.99
Loans and Advances 725.82891.62874.67785.991,279.621,290.11915.24620.75719.14836.4
Total Current Assets1,874.131,909.632,205.432,101.772,332.562,585.982,186.461,867.792,015.022,024.34
Current Liabilities 100.74133.33142.41299.7379.13433.71437.7358.86333.09363.43
Provisions 18.486.24.678.490.419.269.1713.1412.059.19
Total Current Liabilities & Provisions119.22139.52147.08308.2379.55442.97446.87372345.14372.62
Net Current Assets1,754.91,770.12,058.341,793.581,953.022,143.011,739.61,495.81,669.881,651.72
Deferred Tax Assets3.013.443.264.243.934.1965.479.520.720.67
Deferred Tax Liability48.3238.133.0326.6823.8420.9413.3714.15-2.350.17
Net Deferred Tax-45.31-34.66-29.77-22.44-19.91-16.7552.1-4.633.070.5
Other Assets652.3695618.46676.33493.11,376.071,253.61,181.441,027.641,187.68
Total Assets3,932.933,955.334,181.134,044.144,045.116,499.975,780.025,430.555,310.145,211.61
Contingent Liabilities114.9180.0679.3896.2488.03266.82252.33267.65238.13223.18

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...196.71
Depreciation13.49
Interest (Net)-10.68
P/L on Sales of Invest-8.57
Others40.44
Total Adjustments (PBT and Ext...1.36
Operating Profit before Workin...198.07
Trade and 0ther Receivables-32.35
Inventories-61.81
Trade Payables7.67
Total Adjustments (OP before W...-152.13
Cash Generated from/(used in) ...45.94
Direct Taxes Paid-52.3
Total Adjustments(Cash Generat...-52.3
Cash Flow before Extraordinary...-6.36
Net Cash from Operating Activi...-6.36
Purchased of Fixed Assets-12.38
Sale of Fixed Assets3.71
as [Capital WIP-29.43
Purchase of Investments-0.07
Interest Received41.53
Net Cash used in Investing Act...49.8
Of the Long Tem Borrowings-4.04
Of the Short Term Borrowings-30.82
Dividend Paid-3.54
Interest Paid-30.85
Net Cash used in Financing Act...-28.81
Net Profit before Tax and Extr...141.03
Depreciation14.41
Interest (Net)-12.56
Others-3.54
Total Adjustments (PBT and Ext...2.12
Operating Profit before Workin...143.15
Trade and 0ther Receivables-29.54
Inventories-84.36
Trade Payables-1.05
Loans and Advances36.17
Change in Borrowing-31.95
Total Adjustments (OP before W...-74.66
Cash Generated from/(used in) ...68.49
Direct Taxes Paid-34.41
Total Adjustments(Cash Generat...-34.41
Cash Flow before Extraordinary...34.08
Net Cash from Operating Activi...34.08
Purchased of Fixed Assets-4.52
Sale of Fixed Assets0.14
Capital WIP-20.2
Purchase of Investments-35.97
Interest Received33.48
Net Cash used in Investing Act...-31.54
Proceeds from Issue of shares ...42.56
Of the Long Tem Borrowings-3.56
Interest Paid-20.91
Net Cash used in Financing Act...14.54

Company Details

Registered Office
AddressPlot No CP-1,
Sector - 8
CityIMT Manesar
StateHaryana
Pin Code122051
Tel. No.91-01274-249374/249376
Fax. No.91-0124-4265817
Emailmanojpahwa@anantrajlimited.com; info@anantrajlimit
Internethttp://www.anantrajlimited.com
Registrars
AddressPlot No CP-1
CityIMT Manesar
StateHaryana
Pin Code122051
Tel. No.91-01274-249374/249376
Fax. No.91-0124-4265817
Emailmanojpahwa@anantrajlimited.com; info@anantrajlimit
Internethttp://www.anantrajlimited.com
Management
Name Designation
Maneesh GuptaNon-Exec. & Independent Dir.
Amit SarinManaging Director
Manoj PahwaCompany Sec. & Compli. Officer
Brajinder Mohan SinghNon-Exec. & Independent Dir.
Ashim SarinWhole Time Director & COO
Aman SarinWhole Time Director & CEO
Rajesh TutejaIndependent Director
Kulpreet SoodIndependent Director
Kosaraju Veerayya ChowdaryIndependent Director
K.V. ChowdaryIndependent Director