Creative Graphics Solutions India Ltd

NSE :CGRAPHICS   BSE :92467  Sector : Engineering
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52 WK low / high

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18 May
253.30
(2.43%)
17 May
247.30
(4.99%)
16 May
235.55
(-5.00%)
15 May
247.95
(-5.00%)
14 May
261.00
(4.90%)
13 May
248.80
(-8.76%)
10 May
272.70
(-6.34%)
09 May
291.15
(-10.00%)
08 May
323.50
(19.79%)
07 May
270.05
(20.00%)
06 May
225.05
(-3.97%)
03 May
234.35
(2.09%)
02 May
229.55
(1.62%)
30 Apr
225.90
(-4.94%)
29 Apr
237.65
(13.84%)
26 Apr
208.75
(-3.02%)
25 Apr
215.25
(-7.56%)
24 Apr
232.85
(4.96%)
23 Apr
221.85
(-1.05%)
22 Apr
224.20
(4.99%)
19 Apr
213.55
(4.99%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Neutral

Moving Averages

5 DMA
Bullish

249.02


10 DMA
Bearish

265.13


20 DMA
Bullish

245.34


50 DMA
Bullish

0


100 DMA
Bullish

0


200 DMA
Bullish

0



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On May 18, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 268.79 262.37 256.31 - -
R2 262.37 258.19 255.31 262.84 -
R1 257.84 255.6 254.3 258.78 260.1
P 251.42 251.42 251.42 251.89 252.55
S1 246.89 247.24 252.3 247.83 249.15
S2 240.47 244.65 251.29 240.94 -
S3 235.94 240.47 250.29 - -

Key Metrics

Shareholding Pattern

  67.83% Total Promoter Holding
0% Mutual Fund Holdings
6.23% FIIs
20.41% Non Institution
0.09% Insurance Companies
0% Custodians
5.44% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Creative Graphics Solutions India Ltd Quaterly Results


INCOME
PROFIT
EPS

Creative Graphics Solutions India Ltd Quaterly Results


INCOME
PROFIT
EPS

Profit & Loss (Figures in Rs. Crores)


Creative Graphics Solutions India Ltd Profit & Loss


Mar 2021Mar 2022Mar 2023
INCOME 48.05 68.68 91.79
PROFIT 2.28 4.65 8.52
EPS 0 0 0

Creative Graphics Solutions India Ltd Profit & Loss


Mar 2021Mar 2022Mar 2023
INCOME 48.05 68.68 91.79
PROFIT 2.28 4.65 8.52
EPS 30.4 62.01 115.22

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021
SOURCES OF FUNDS :
Share Capital 0.750.750.75
Reserves Total 17.989.344.69
Total Shareholders Funds18.7310.095.44
Secured Loans 18.263.693.38
Unsecured Loans 6.047.15.97
Total Debt24.310.799.35
Total Liabilities43.0320.8814.79
APPLICATION OF FUNDS :
Gross Block 31.9716.4412.02
Less: Accumulated Depreciation6.824.481.46
Net Block25.1511.9610.56
Investments 1.030.110
Inventories 5.141.190.25
Sundry Debtors 29.1725.0821.03
Cash and Bank Balance1.211.141.44
Loans and Advances 1.33.821.17
Total Current Assets36.8231.2323.89
Current Liabilities 21.8723.3719.58
Provisions 0.960.660.05
Total Current Liabilities & Provisions22.8224.0319.63
Net Current Assets147.24.27
Deferred Tax Liability0.150.070.3
Net Deferred Tax-0.15-0.07-0.3
Other Assets31.670.26
Total Assets43.0320.8714.79
Mar 2023Mar 2022Mar 2021
SOURCES OF FUNDS :
Share Capital 0.750.750.75
Reserves Total 17.989.344.69
Total Shareholders Funds18.7310.095.44
Secured Loans 18.263.693.38
Unsecured Loans 6.047.15.97
Total Debt24.310.799.35
Total Liabilities43.0320.8814.79
APPLICATION OF FUNDS :
Gross Block 31.9716.4412.02
Less : Accumulated Depreciation 6.824.481.46
Net Block 25.1511.9610.56
Investments 1.030.110
Inventories 5.141.190.25
Sundry Debtors 29.1725.0821.03
Cash and Bank Balance1.211.141.44
Loans and Advances 0.863.821.17
Total Current Assets36.3831.2323.89
Current Liabilities 21.8723.3719.58
Provisions 0.960.660.05
Total Current Liabilities & Provisions22.8224.0319.63
Net Current Assets13.567.24.27
Deferred Tax Liability0.150.070.3
Net Deferred Tax-0.15-0.07-0.3
Other Assets3.441.670.26
Total Assets43.0320.8714.79

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...11.98
Depreciation3.03
Interest (Net)1.14
Total Adjustments (PBT and Ext...4.17
Operating Profit before Workin...16.15
Trade and 0ther Receivables-4.09
Inventories-3.95
Trade Payables3.4
Loans and Advances-1.23
Total Adjustments (OP before W...-8.36
Cash Generated from/(used in) ...7.79
Direct Taxes Paid-2.96
Total Adjustments(Cash Generat...-2.96
Cash Flow before Extraordinary...4.83
Net Cash from Operating Activi...4.83
Purchased of Fixed Assets-15.83
Purchase of Investments-0.92
Interest Received0.05
Net Cash used in Investing Act...-16.71
Proceed from 0ther Long Term B...13.4
Of Financial Liabilities-0.38
Interest Paid-1.08
Net Cash used in Financing Act...11.94
Net Profit before Tax and Extr...11.98
Depreciation3.03
Interest (Net)1.14
Total Adjustments (PBT and Ext...4.17
Operating Profit before Workin...16.15
Trade and 0ther Receivables-4.09
Inventories-3.95
Trade Payables3.4
Loans and Advances-1.67
Total Adjustments (OP before W...-8.36
Cash Generated from/(used in) ...7.79
Direct Taxes Paid-2.96
Total Adjustments(Cash Generat...-2.96
Cash Flow before Extraordinary...4.83
Net Cash from Operating Activi...4.83
Purchased of Fixed Assets-15.83
Purchase of Investments-0.92
Interest Received0.05
Net Cash used in Investing Act...-16.71
Proceed from 0ther Long Term B...13.4
Of Financial Liabilities-0.38
Interest Paid-1.08
Net Cash used in Financing Act...11.94

Company Details

Registered Office
Address3F-305 3rd Flr SSG East Plaza,
P.# 1&2 Mam Cpx Mayur V.Phase3
CityDelhi
StateDelhi
Pin Code110096
Tel. No.+91 74284 99617
Fax. No.
Emailcs@creativegraphics.net.in
Internethttps://creativegraphics.net.in/home/
Registrars
Address3F-305 3rd Flr SSG East Plaza
CityDelhi
StateDelhi
Pin Code110096
Tel. No.+91 74284 99617
Fax. No.
Emailcs@creativegraphics.net.in
Internethttps://creativegraphics.net.in/home/
Management
Name Designation
Deepanshu GoelManaging Director
Sarika GoelExecutive Director
Gaurav Arora.Non Executive Director
Nikhil RungtaIndependent Director
Puneet SharmaIndependent Director
PUJA ARORA MEHROTRACompany Sec. & Compli. Officer