Diamond Power Infrastructure Ltd

NSE :DIACABS   BSE :522163  Sector : Cables
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18 May
1021.65
(2.00%)
17 May
1001.65
(2.00%)
16 May
982.05
(2.00%)
15 May
962.80
(2.00%)
14 May
943.95
(2.00%)
13 May
925.45
(1.99%)
10 May
907.35
(2.00%)
09 May
889.60
(1.99%)
08 May
872.20
(2.00%)
07 May
855.10
(2.00%)
06 May
838.35
(2.00%)
03 May
821.95
(1.96%)
02 May
806.15
(2.00%)
30 Apr
790.35
(1.99%)
29 Apr
774.90
(1.99%)
26 Apr
759.75
(1.99%)
25 Apr
744.90
(2.00%)
24 Apr
730.30
(2.00%)
23 Apr
716.00
(1.99%)
22 Apr
702.00
(2.00%)
19 Apr
688.25
(1.99%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bullish

892.25


10 DMA
Bullish

850.27


20 DMA
Bullish

774.02


50 DMA
Bullish

595.26


100 DMA
Bullish

408.62


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 1021.65 1021.65 1021.65 - -
R2 1021.65 1021.65 1021.65 1021.65 -
R1 1021.65 1021.65 1021.65 1021.65 1021.65
P 1021.65 1021.65 1021.65 1021.65 1021.65
S1 1021.65 1021.65 1021.65 1021.65 1021.65
S2 1021.65 1021.65 1021.65 1021.65 -
S3 1021.65 1021.65 1021.65 - -

Key Metrics

EPS

0

P/E

0

P/B

-5.03

Dividend Yield

0%

Market Cap

5,384 Cr.

Face Value

10

Book Value

-184.45

ROE

0%

EBITDA Growth

-5.99 Cr.

Debt/Equity

2.99

Shareholding Pattern

  95.47% Total Promoter Holding
0% Mutual Fund Holdings
0.03% FIIs
4.5% Non Institution
0% Insurance Companies
0% Custodians
0% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Diamond Power Infrastructure Ltd Quaterly Results


Dec 2016Mar 2017Jun 2017Sep 2017Dec 2017
INCOME 343.69 213.87 201.96 199.81 112.32
PROFIT -306.7 -326.05 -46.69 -30.9 -29.71
EPS -31.43 -27.64 -1.73 -1.15 -1.1

Diamond Power Infrastructure Ltd Quaterly Results


Dec 2016Mar 2017Jun 2017Sep 2017Dec 2017
INCOME 1.37 14.32 74.51 74.6 60.02
PROFIT -15.45 -13.62 5.52 3.48 -3.79
EPS -2.93 -2.59 1.05 0.45 -1

Profit & Loss (Figures in Rs. Crores)


Diamond Power Infrastructure Ltd Profit & Loss


Mar 2008Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017
INCOME 549.1 762.08 906.89 1569.28 2327.69 2771.11 3557.34 2671.81 1973.87 929.26
PROFIT 45.64 56.44 62 110.4 125.61 104.07 110.94 -155.34 -272.7 -918.73
EPS 11.37 14.98 16.32 21.88 24.83 20.81 20.54 0 0 0

Diamond Power Infrastructure Ltd Profit & Loss


Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2021Mar 2022Mar 2023
INCOME 1307.93 2028.61 2300.35 3037.48 2282.83 1767.22 929.19 0.06 0.05 11.6
PROFIT 97.62 108.46 92.09 103.98 -87.27 -269.36 -908.7 -24.13 -25.4 -42.86
EPS 19.31 21.36 18.56 19.25 0 0 0 -0.89 -0.94 -8.14

Balance Sheet (Figures in Rs. Crores)

Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011Mar 2010Mar 2009Mar 2008
SOURCES OF FUNDS :
Share Capital 269.715758.1458.1437.2137.2137.2128.0621.0522.57
Reserves Total 337.8451.46755.89932.34715.58617.28509.03283.35198.32110.68
Equity Share Warrants0034.080000203.48
Equity Application Money47.32113.4600000000
Total Shareholders Funds654.83621.92848.11990.48752.79654.49546.24313.41219.37136.73
Secured Loans 1,605.632,207.371,928.171,154.43381.65681.5428.35311.85231.29160.18
Unsecured Loans 0085.4198.74833.7176.5337.1903.564.5
Total Debt1,605.632,207.372,013.571,353.171,215.36758.03465.54311.85234.85164.68
Other Liabilities73.1175.5621.270000000
Total Liabilities2,333.572,904.852,882.952,343.651,968.151,412.521,011.78625.26454.22301.41
APPLICATION OF FUNDS :
Gross Block 1,575.091,574.94644.89649.23435.84432.84316.69135.6286.2649.42
Less: Accumulated Depreciation329.41235.46185.8135.01104.174.653.1137.1130.3125.23
Net Block1,245.681,339.48459.09514.22331.74358.24263.5898.5155.9524.19
Capital Work in Progress136.7133.25693.73444.64390.23208.47149.99106.5690.2339.83
Investments 6.9416.9112.0418.7917.487.087.080.670.625.07
Inventories 481.27805.431,130.571,210.11893.72631.59356.27195.6144.782.97
Sundry Debtors 351.14785.91568.53324466.04263.32232.83151.6390.5489.15
Cash and Bank Balance50.6494.7464.34100.99101.7162.5840.6624.3415.5410.83
Loans and Advances 168.79175.7283.7586.2367.5786.0549.08195.11108.0366.66
Total Current Assets1,051.841,861.81,847.191,721.331,529.041,043.54678.84566.68358.81249.61
Current Liabilities 119.59454.66253.92578.04505.02286.72134.4123.6850.7215.49
Provisions 1.3813.910.2725.273539.2141.4131.7710.375.68
Total Current Liabilities & Provisions120.98468.56254.18603.31540.02325.93175.81155.4561.0921.17
Net Current Assets930.871,393.231,593.011,118.02989.02717.61503.03411.23297.72228.44
Miscellaneous Expenses not written off 00000008.299.73.88
Deferred Tax Assets0037.430000000
Deferred Tax Liability0052.059.020.0200.02000
Net Deferred Tax00-14.62-9.02-0.020-0.02000
Other Assets13.3821.99139.7257239.69121.1388.12000
Total Assets2,333.572,904.862,882.952,343.651,968.151,412.521,011.78625.26454.22301.41
Contingent Liabilities231.13250.68144.53352.39565.42322.74212.52148.7252.064.81
Mar 2023Mar 2022Mar 2021Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011
SOURCES OF FUNDS :
Share Capital 52.7269.71269.71269.715758.1458.1437.2137.2137.21
Reserves Total -1,032.59-938.6-913.2339.6450.45751.42867.17664.78570.16479.07
Equity Share Warrants0000034.080000
Equity Application Money047.3247.3247.32113.4600000
Total Shareholders Funds-979.89-621.57-596.17656.63620.91843.64925.31701.99607.37516.28
Secured Loans 367.461,978.111,977.261,605.452,205.961,712.931,111.65379.15644.03413.25
Unsecured Loans 00000174.83160.84752.0351.9730
Total Debt367.461,978.111,977.261,605.452,205.961,887.761,272.491,131.18696443.25
Other Liabilities1,975.9792.6980.7273.1175.5621.270000
Total Liabilities1,363.541,449.231,461.812,335.192,902.432,752.672,197.81,833.171,303.37959.53
APPLICATION OF FUNDS :
Gross Block 1,576.491,575.121,575.111,575.091,574.85615.05619.5419416.73300.15
Less : Accumulated Depreciation 506.65487.81472.11329.41235.46177.99130.04100.1671.7751.33
Net Block 1,069.841,087.311,1031,245.681,339.39437.06489.46318.84344.96248.82
Capital Work in Progress188.45188.45188.45128.39124.95678.76442.39386.59208.47150
Investments 012.512.3117.1417.0417.2117.2117.0817.0817.08
Inventories 68.0147.447.4481.27805.431,076.391,149.54849.13590.67341.21
Sundry Debtors 6.58308.62308.63351.14785.91510.41237.01399.31199.57190.28
Cash and Bank Balance6.253.551.0950.6494.6553.1691.5692.4748.6639.6
Loans and Advances 64.63317.89317.28160.24173.271.3174.8658.567.2141.84
Total Current Assets145.47677.47674.41,043.291,859.191,711.271,552.971,399.42906.11612.93
Current Liabilities 42.46529.36529.22119.59454.37200.53515.52478.19262.14122.4
Provisions 0.821.381.381.3813.910.2721.932.8230.4333.46
Total Current Liabilities & Provisions43.28530.74530.6120.98468.28200.8537.42511.01292.57155.86
Net Current Assets102.19146.73143.8922.311,390.911,510.471,015.55888.4613.54457.07
Deferred Tax Assets0000037.430000
Deferred Tax Liability0000052.059000
Net Deferred Tax00000-14.62-9000
Other Assets3.0514.2414.2421.6730.15123.8242.18222.25119.3286.56
Total Assets1,363.541,449.231,461.812,335.192,902.432,752.682,197.791,833.151,303.36959.53
Contingent Liabilities9.5724.49724.49231.13250.68144.53341.156.54322.74209.4

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...-807.82
Depreciation93.95
Interest (Net)66.56
Prov. and W/O (Net)318.02
Total Adjustments (PBT and Ext...478.53
Operating Profit before Workin...-329.29
Trade and 0ther Receivables138.06
Inventories324.16
Trade Payables-388.08
Total Adjustments (OP before W...74.13
Cash Generated from/(used in) ...-255.16
Direct Taxes Paid-2.57
Total Adjustments(Cash Generat...-2.57
Cash Flow before Extraordinary...-257.73
Net Cash from Operating Activi...-257.73
Purchased of Fixed Assets-0.15
Interest Received3.5
Net Cash used in Investing Act...48.77
Proceeds from Issue of shares ...828.43
On Redemption of Debenture-17.85
Of the Long Tem Borrowings-293.28
Of the Short Term Borrowings-278.91
Interest Paid-28.11
Net Cash used in Financing Act...210.27
Net Profit before Tax and Extr...-42.88
Depreciation18.84
Interest (Net)0.65
Others-315.44
Total Adjustments (PBT and Ext...19.49
Operating Profit before Workin...-23.39
Trade and 0ther Receivables302.05
Inventories-20.61
Trade Payables-75.77
Loans and Advances15.06
Change in Borrowing-2,395.25
Total Adjustments (OP before W...-1,930
Cash Generated from/(used in) ...-1,953.39
Cash Flow before Extraordinary...-1,953.39
Net Cash from Operating Activi...-1,953.39
Purchased of Fixed Assets-1.38
Sale of Investments11.67
Net Cash used in Investing Act...20.2
Proceed from 0ther Long Term B...2,251.98
Interest Paid-0.66
Net Cash used in Financing Act...1,935.89

Company Details

Registered Office
AddressPhase II Village Vadadala,
Savli Tal
CityVadodara
StateGujarat
Pin Code391520
Tel. No.91-02667-251354/02667-251516
Fax. No.91-02667-251202
Emailshares@dicabs.com; cs@dicabs.com
Internethttp://www.dicabs.com
Registrars
AddressPhase II Village Vadadala
CityVadodara
StateGujarat
Pin Code391520
Tel. No.91-02667-251354/02667-251516
Fax. No.91-02667-251202
Emailshares@dicabs.com; cs@dicabs.com
Internethttp://www.dicabs.com
Management
Name Designation
TUSHAR LAKHMAPURKARCompany Sec. & Compli. Officer
M S SahuChairman & Independent Directo
Rakesh Ramanlal ShahAddtnl Non-Executive Director
Himanshu J ShahAddtnl Non-Executive Director
Om Prakash TiwaryDirector (Technical)
R N NayakAddtnl Independent Director
Urvashi Dhirubhai ShahIndependent Director
Aditya NayakWTD & Additional Director