Electronics Mart India Ltd
NSE :EMIL BSE :543626 Sector : RetailBuy, Sell or Hold EMIL? Ask The Analyst
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17 Feb 129.75 (-0.47%) | 14 Feb 130.36 (0.24%) | 13 Feb 130.05 (-2.00%) | 12 Feb 132.70 (-2.81%) | 11 Feb 136.54 (-4.94%) | 10 Feb 143.64 (-7.53%) | 07 Feb 155.34 (-0.97%) | 06 Feb 156.86 (0.45%) | 05 Feb 156.15 (-1.83%) | 04 Feb 159.06 (2.01%) | 03 Feb 155.92 (3.31%) | 01 Feb 150.92 (2.75%) | 31 Jan 146.88 (0.95%) | 30 Jan 145.50 (-0.14%) | 29 Jan 145.71 (0.64%) | 28 Jan 144.78 (0.65%) | 27 Jan 143.85 (-4.49%) | 24 Jan 150.62 (-3.04%) | 23 Jan 155.35 (-1.05%) | 22 Jan 157.00 (1.36%) | 21 Jan 154.90 (-3.18%) |
Technical Analysis
Short Term Investors
![](https://equitypandit.com/share-price/imgs/VB.jpg)
Very Bearish
Medium Term Investors
![](https://equitypandit.com/share-price/imgs/VB.jpg)
Very Bearish
Long Term Investors
![](https://equitypandit.com/share-price/imgs/VB.jpg)
Very Bearish
Moving Averages
5 DMA
Bearish
132.04
10 DMA
Bearish
143.04
20 DMA
Bearish
146.34
50 DMA
Bearish
158.04
100 DMA
Bearish
175.31
200 DMA
Bearish
198.18
Intraday Support and Resistance
(Based on Pivot Points) undefined |
Updated On Feb 17, 2025 04:00 PM For Next Trading Session
Pivots | Classic | Fibonacci | Camarilla | Woodie | DM |
---|---|---|---|---|---|
R3 | 135.51 | 133.9 | 130.76 | - | - |
R2 | 133.9 | 132.49 | 130.43 | 133.79 | - |
R1 | 131.82 | 131.62 | 130.09 | 131.6 | 132.87 |
P | 130.21 | 130.21 | 130.21 | 130.1 | 130.73 |
S1 | 128.13 | 128.8 | 129.41 | 127.91 | 129.18 |
S2 | 126.52 | 127.93 | 129.07 | 126.41 | - |
S3 | 124.44 | 126.52 | 128.74 | - | - |
Key Metrics
EPS
4.4
P/E
29.5
P/B
3.4
Dividend Yield
0%
Market Cap
4,992 Cr.
Face Value
10
Book Value
38.18
ROE
14.41%
EBITDA Growth
100.41 Cr.
Debt/Equity
1.18
Shareholding History
Quarterly Result (Figures in Rs. Crores)
Electronics Mart India Ltd Quaterly Results
Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 | Dec 2024 | ||
INCOME | 1776.65 | 1527.2 | 1977.12 | 1388.48 | 1887.3 | |
PROFIT | 45.77 | 40.55 | 72.49 | 24.54 | 31.55 | |
EPS | 1.19 | 1.05 | 1.88 | 0.64 | 0.82 |
Electronics Mart India Ltd Quaterly Results
Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 | Dec 2024 | ||
INCOME | 1776.63 | 1527.18 | 1977.11 | 1388.47 | 1887.29 | |
PROFIT | 45.79 | 40.56 | 72.5 | 24.55 | 31.56 | |
EPS | 1.19 | 1.05 | 1.88 | 0.64 | 0.82 |
Profit & Loss (Figures in Rs. Crores)
Electronics Mart India Ltd Profit & Loss
Mar 2020 | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 | ||
INCOME | 3253.03 | 3286.96 | 4485.53 | 5616.47 | 6491.22 | |
PROFIT | 87.03 | 58.62 | 103.89 | 122.8 | 183.95 | |
EPS | 0 | 0 | 0 | 3.19 | 4.78 |
Electronics Mart India Ltd Profit & Loss
Mar 2019 | Mar 2020 | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 | ||
INCOME | 1734.57 | 3253.03 | 3286.96 | 4485.52 | 5616.46 | 6491.19 | |
PROFIT | 48 | 87.04 | 58.63 | 103.9 | 122.81 | 183.98 | |
EPS | 2.74 | 2.72 | 1.95 | 3.46 | 3.19 | 4.78 |
Balance Sheet (Figures in Rs. Crores)
Mar 2024 | Mar 2023 | Mar 2022 | Mar 2021 | Mar 2020 | |
SOURCES OF FUNDS : | |||||
Share Capital | 384.75 | 384.75 | 300 | 300 | 300 |
Reserves Total | 984.91 | 799.56 | 296.51 | 191.92 | 133.07 |
Total Shareholders Funds | 1,369.66 | 1,184.31 | 596.51 | 491.92 | 433.07 |
Secured Loans | 560.57 | 614.29 | 429.95 | 327.69 | 316.55 |
Unsecured Loans | 1,009.29 | 817.46 | 718.87 | 640.19 | 555.1 |
Total Debt | 1,569.86 | 1,431.75 | 1,148.82 | 967.88 | 871.65 |
Other Liabilities | 0.24 | 1.71 | 0.7 | 2.05 | 1.26 |
Total Liabilities | 2,939.76 | 2,617.77 | 1,746.03 | 1,461.85 | 1,305.98 |
APPLICATION OF FUNDS : | |||||
Gross Block | 1,558.14 | 1,298.86 | 901.38 | 758.76 | 247.95 |
Less: Accumulated Depreciation | 201.79 | 156.74 | 116.44 | 85.12 | 24.7 |
Net Block | 1,356.35 | 1,142.12 | 784.94 | 673.64 | 223.25 |
Capital Work in Progress | 44.94 | 13.88 | 23.84 | 2.04 | 350.67 |
Inventories | 969.28 | 773.53 | 613.82 | 481.37 | 401.78 |
Sundry Debtors | 181.42 | 138.41 | 115.17 | 95.39 | 84.6 |
Cash and Bank Balance | 85.47 | 203.16 | 34.4 | 35.02 | 87.07 |
Loans and Advances | 305.43 | 292.83 | 193.18 | 191.55 | 148.27 |
Total Current Assets | 1,541.6 | 1,407.93 | 956.57 | 803.33 | 721.72 |
Current Liabilities | 100.96 | 62.71 | 71.65 | 59.85 | 41.63 |
Provisions | 18.37 | 13.39 | 14.29 | 1.84 | 0 |
Total Current Liabilities & Provisions | 119.33 | 76.1 | 85.94 | 61.69 | 41.63 |
Net Current Assets | 1,422.27 | 1,331.83 | 870.63 | 741.64 | 680.1 |
Deferred Tax Assets | 225.7 | 188.39 | 148.33 | 114.61 | 95.54 |
Deferred Tax Liability | 193.99 | 163.33 | 130.7 | 103.03 | 88.79 |
Net Deferred Tax | 31.71 | 25.06 | 17.63 | 11.58 | 6.75 |
Other Assets | 84.49 | 104.89 | 48.98 | 32.93 | 45.22 |
Total Assets | 2,939.76 | 2,617.77 | 1,746.03 | 1,461.84 | 1,305.98 |
Contingent Liabilities | 12.27 | 1.08 | 1.23 | 0.8 | 0.83 |
Mar 2024 | Mar 2023 | Mar 2022 | Mar 2021 | Mar 2020 | Mar 2019 | |
SOURCES OF FUNDS : | ||||||
Share Capital | 384.75 | 384.75 | 300 | 300 | 300 | 300 |
Reserves Total | 985 | 799.62 | 296.55 | 191.95 | 133.09 | 51.93 |
Total Shareholders Funds | 1,369.75 | 1,184.37 | 596.55 | 491.95 | 433.09 | 351.93 |
Secured Loans | 560.57 | 614.29 | 429.95 | 327.69 | 316.55 | 274.18 |
Unsecured Loans | 1,009.29 | 817.46 | 718.87 | 640.19 | 555.1 | 102.88 |
Total Debt | 1,569.86 | 1,431.75 | 1,148.82 | 967.88 | 871.65 | 377.06 |
Other Liabilities | 0.24 | 1.71 | 0.7 | 2.05 | 1.26 | 0 |
Total Liabilities | 2,939.85 | 2,617.83 | 1,746.07 | 1,461.88 | 1,306 | 728.99 |
APPLICATION OF FUNDS : | ||||||
Gross Block | 1,558.14 | 1,298.86 | 901.38 | 758.76 | 596.19 | 187.48 |
Less : Accumulated Depreciation | 201.79 | 156.74 | 116.44 | 85.12 | 24.7 | 8.12 |
Net Block | 1,356.35 | 1,142.12 | 784.94 | 673.64 | 571.49 | 179.36 |
Capital Work in Progress | 44.94 | 13.88 | 23.84 | 2.04 | 2.43 | 19.53 |
Investments | 0.11 | 0.11 | 0.11 | 0.11 | 0.1 | 0 |
Inventories | 969.28 | 773.53 | 613.82 | 481.37 | 401.78 | 327.77 |
Sundry Debtors | 181.42 | 138.41 | 115.17 | 95.39 | 84.6 | 84.34 |
Cash and Bank Balance | 83.67 | 200.8 | 34.38 | 34.98 | 87.02 | 50.77 |
Loans and Advances | 305.45 | 292.83 | 193.18 | 191.54 | 148.27 | 107.45 |
Total Current Assets | 1,539.81 | 1,405.57 | 956.55 | 803.28 | 721.67 | 570.34 |
Current Liabilities | 99.12 | 60.35 | 71.64 | 59.84 | 41.61 | 76.42 |
Provisions | 18.37 | 13.39 | 14.29 | 1.84 | 0 | 5.1 |
Total Current Liabilities & Provisions | 117.5 | 73.74 | 85.93 | 61.67 | 41.61 | 81.52 |
Net Current Assets | 1,422.31 | 1,331.83 | 870.62 | 741.61 | 680.07 | 488.81 |
Deferred Tax Assets | 225.7 | 188.39 | 148.33 | 114.61 | 95.54 | 2.85 |
Deferred Tax Liability | 193.99 | 163.33 | 130.7 | 103.03 | 88.79 | 0.47 |
Net Deferred Tax | 31.71 | 25.06 | 17.63 | 11.58 | 6.75 | 2.38 |
Other Assets | 84.42 | 104.83 | 48.93 | 32.88 | 45.17 | 38.91 |
Total Assets | 2,939.84 | 2,617.82 | 1,746.08 | 1,461.87 | 1,306 | 728.99 |
Contingent Liabilities | 12.27 | 1.08 | 1.23 | 0.8 | 0.83 | 0.39 |
Cash Flow (Figures in Rs. Crores)
Net Profit before Tax and Extr... | 246.16 |
Depreciation | 105.69 |
Interest (Net) | 96.25 |
Prov. and W/O (Net) | 1.65 |
Total Adjustments (PBT and Ext... | 202.51 |
Operating Profit before Workin... | 448.68 |
Trade and 0ther Receivables | -43.01 |
Inventories | -195.74 |
Trade Payables | 18.45 |
Loans and Advances | -0.37 |
Total Adjustments (OP before W... | -218.54 |
Cash Generated from/(used in) ... | 230.14 |
Direct Taxes Paid | -70.32 |
Total Adjustments(Cash Generat... | -70.32 |
Cash Flow before Extraordinary... | 159.83 |
Net Cash from Operating Activi... | 159.83 |
Purchased of Fixed Assets | -173.76 |
Interest Received | 9.64 |
Net Cash used in Investing Act... | -116.87 |
Proceed from 0ther Long Term B... | 24.6 |
Of the Long Tem Borrowings | -25.6 |
Of the Short Term Borrowings | -13.29 |
Of Financial Liabilities | -30.27 |
Interest Paid | -116.09 |
Net Cash used in Financing Act... | -160.65 |
Net Profit before Tax and Extr... | 246.2 |
Depreciation | 105.69 |
Interest (Net) | 96.28 |
Prov. and W/O (Net) | 1.65 |
Total Adjustments (PBT and Ext... | 202.54 |
Operating Profit before Workin... | 448.74 |
Trade and 0ther Receivables | -43.01 |
Inventories | -195.74 |
Trade Payables | 18.41 |
Loans and Advances | -0.37 |
Total Adjustments (OP before W... | -217.81 |
Cash Generated from/(used in) ... | 230.94 |
Direct Taxes Paid | -70.31 |
Total Adjustments(Cash Generat... | -70.31 |
Cash Flow before Extraordinary... | 160.62 |
Net Cash from Operating Activi... | 160.62 |
Purchased of Fixed Assets | -173.76 |
Interest Received | 9.62 |
Net Cash used in Investing Act... | -116.89 |
Proceed from 0ther Long Term B... | 24.6 |
Of the Long Tem Borrowings | -25.6 |
Of the Short Term Borrowings | -13.29 |
Of Financial Liabilities | -30.49 |
Interest Paid | -116.09 |
Net Cash used in Financing Act... | -160.86 |
Company Details
Registered Office |
|
Address | DNo 6-1-91 Shop No 10 GroundFr, Secretarial Road Saifabad |
City | Hyderabad |
State | Telangana |
Pin Code | 500004 |
Tel. No. | 91-40-4875 1125 |
Fax. No. | |
cs@bajajelectronics.in | |
Internet | http://www.electronicsmartindia.com |
Registrars |
|
Address | DNo 6-1-91 Shop No 10 GroundFr |
City | Hyderabad |
State | Telangana |
Pin Code | 500004 |
Tel. No. | 91-40-4875 1125 |
Fax. No. | |
cs@bajajelectronics.in | |
Internet | http://www.electronicsmartindia.com |
Management |
|
Name | Designation |
Pavan Kumar Bajaj | Chairman & Managing Director |
Karan Bajaj | Whole Time Director & CEO |
Astha Bajaj | WTD & Executive Director |
Anil Nath | Independent Addi. Director |
M. G. M. Baig | Independent Addi. Director |
Jyotsna Angara | Independent Director |