Hindustan Aeronautics Ltd

NSE :HAL   BSE :541154  Sector : Aerospace & Defence
Buy, Sell or Hold HAL? Ask The Analyst

BSE
Apr 11, 00:00

4104.90

73.85 (1.83%)


prev close

4031.05

OPEN PRICE

4087.95

volume

128871

Today's low / high

4065.75 / 4140.95

52 WK low / high

3045.95 / 5675.00

bid price (qty)

0 (0)

offer price (qty)

0 (0)

NSE
Apr 11, 00:00

4107.20

76.50 (1.90%)


prev close

4030.70

open price

4075.00

volume

1518828

Today's' low / high

4066.65 / 4142.70

52 WK low / high

3046.05 / 5674.75

bid price (qty)

4107.20 (19)

offer price (qty)

0 (0)

11 Apr
4107.20
(1.90%)
09 Apr
4030.70
(-0.28%)
08 Apr
4041.95
(0.84%)
07 Apr
4008.20
(-5.45%)
04 Apr
4239.10
(-1.85%)
03 Apr
4319.20
(2.00%)
02 Apr
4234.40
(0.25%)
01 Apr
4223.70
(1.11%)
28 Mar
4177.45
(0.40%)
27 Mar
4160.95
(0.79%)
26 Mar
4128.30
(2.89%)
25 Mar
4012.45
(-2.84%)
24 Mar
4129.80
(6.13%)
21 Mar
3891.25
(1.89%)
20 Mar
3818.95
(2.09%)
19 Mar
3740.65
(4.49%)
18 Mar
3579.95
(4.07%)
17 Mar
3439.90
(1.29%)
13 Mar
3396.15
(-0.56%)
12 Mar
3415.40
(-1.28%)
11 Mar
3459.85
(1.23%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Bearish

Moving Averages

5 DMA
Bullish

4085.11


10 DMA
Bearish

4153.89


20 DMA
Bullish

3954.07


50 DMA
Bullish

3694.6


100 DMA
Bullish

3961.78


200 DMA
Bearish

4328.03



Intraday Support and Resistance
(Based on Pivot Points) NSE : 4107.20 | BSE : 4104.90

Updated On Apr 11, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 4220.44 4181.57 4128.11 - -
R2 4181.57 4152.52 4121.14 4181.99 -
R1 4144.39 4134.57 4114.17 4145.23 4162.98
P 4105.52 4105.52 4105.52 4105.94 4114.81
S1 4068.34 4076.47 4100.23 4069.18 4086.93
S2 4029.47 4058.52 4093.26 4029.89 -
S3 3992.29 4029.47 4086.29 - -

Key Metrics

EPS

129.29

P/E

31.75

P/B

8.83

Dividend Yield

0.85%

Market Cap

2,74,679 Cr.

Face Value

5

Book Value

464.81

ROE

28.92%

EBITDA Growth

2,318.34 Cr.

Debt/Equity

0

Shareholding Pattern

  71.64% Total Promoter Holding
4.64% Mutual Fund Holdings
12.26% FIIs
7.95% Non Institution
2.92% Insurance Companies
0% Custodians
0.59% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Hindustan Aeronautics Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME6527.91 15337.87 5089.88 6536.62 7594.14
PROFIT1261.4 4308.71 1437.16 1506.15 1439.83
EPS18.86 64.43 21.49 22.59 21.53

Hindustan Aeronautics Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME6520.6 15325.86 5085.21 6526.44 7588.08
PROFIT1253.51 4292.04 1435.59 1486.05 1432.6
EPS18.74 64.18 21.47 22.28 21.42

Profit & Loss (Figures in Rs. Crores)


Hindustan Aeronautics Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 18269.11 18929 18497.2 18566.8 19212.34 21231.99 20788.46 25012.65 29291.17 34262.82
PROFIT 2400.07 2003.06 2624.23 1990.16 2328.3 2799.01 3244.35 5079.04 5825.7 7616.83
EPS 0 0 0 29.76 34.82 43.11 48.53 75.96 87.14 113.95

Hindustan Aeronautics Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 18043.75 18918.9 18483.24 18551.69 19211.97 21224.61 20784 25014.26 29291.1 34238.27
PROFIT 2389.13 1996.63 2615.05 1987.11 2345.73 2758.56 3237.85 5085.5 5809.14 7590.82
EPS 49.54 55.27 72.35 29.72 35.08 42.5 48.44 76.06 86.89 113.57

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 334.39334.39334.39334.39334.39334.39334.39361.5361.5482
Reserves Total 28,803.7823,237.7618,978.7415,089.5112,914.1211,747.739,176.8612,197.6110,670.916,322.2
Total Shareholders Funds29,138.1723,572.1519,313.1315,423.913,248.5112,082.129,511.2512,559.1111,032.416,804.2
Minority Interest3.643.743.753.914.314.48-0.22000
Secured Loans 0009.074,386.54,116.2864.061,022.030157.44
Unsecured Loans 50.1251.6949.2744.211,540.47040.46079.87.21
Total Debt50.1251.6949.2753.285,926.974,116.2904.521,022.0379.8164.65
Other Liabilities12,627.9612,798.1314,050.1510,920.638,897.3610,334.311,003.7312,441.112,034.410,285.8
Total Liabilities41,819.8936,425.7133,416.326,401.7228,077.1526,537.121,419.2826,022.2423,146.627,254.65
APPLICATION OF FUNDS :
Gross Block 17,167.9415,857.0414,003.1913,172.112,179.9611,251.2510,108.168,923.7613,324.611,664.97
Less: Accumulated Depreciation9,289.597,893.196,707.245,607.964,488.063,497.12,478.281,532.066,399.44,298.88
Less: Impairment of Assets1,141.461,129.45530.07398.26334.41294.863.6642.1400
Net Block6,736.896,834.46,765.887,165.887,357.497,459.357,566.227,349.566,925.27,366.09
Capital Work in Progress2,493.431,8852,472.941,949.62,042.691,502.111,461.721,389.41,025.4234.88
Investments 1,591.331,457.921,362.71,121.32990.8909.641,010.11993.99915.8569.93
Inventories 16,033.214,220.8916,209.6418,005.4120,361.1820,446.820,130.7321,519.7323,981.725,188.3
Sundry Debtors 4,616.854,719.184,641.535,668.0511,234.7312,4586,751.544,220.164,836.96,291.53
Cash and Bank Balance26,431.6120,316.6114,347.727,177.35316.56123.666,545.5211,149.0613,303.417,767.5
Loans and Advances 18,751.4914,692.4511,648.3810,859.2210,406.617,4024,360.813,485.113,603.95,695.33
Total Current Assets65,833.1553,949.1346,847.2741,710.0342,319.0840,430.4637,788.640,374.0645,725.954,942.65
Current Liabilities 28,364.9123,732.519,119.5821,003.6919,577.5518,497.4921,130.6421,684.4130,08832,908.13
Provisions 10,726.049,117.797,718.465,691.016,547.966,461.744,935.113,077.132,482.52,562.76
Total Current Liabilities & Provisions39,090.9532,850.2926,838.0426,694.726,125.5124,959.2326,065.7524,761.5432,570.535,470.89
Net Current Assets26,742.221,098.8420,009.2315,015.3316,193.5715,471.2311,722.8515,612.5213,155.419,471.75
Deferred Tax Assets1,454.331,125.71565.5752.35470.11259.310000
Deferred Tax Liability000000977.58959.92814.81,613.59
Net Deferred Tax1,454.331,125.71565.5752.35470.11259.31-977.58-959.92-814.8-1,613.59
Other Assets2,801.714,023.842,239.981,097.241,022.49935.46635.961,636.691,939.61,225.58
Total Assets41,819.8936,425.7133,416.326,401.7228,077.1526,537.121,419.2826,022.2423,146.627,254.64
Contingent Liabilities12,235.4213,169.7214,446.812,312.411,360.9210,574.159,296.4816,462.7815,647.20
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 334.39334.39334.39334.39334.39334.39334.39361.5361.5482
Reserves Total 28,712.0323,171.7818,929.6115,033.7912,865.1911,740.549,151.2612,175.1310,657.616,304.07
Total Shareholders Funds29,046.4223,506.1719,26415,368.1813,199.5812,074.939,485.6512,536.6311,019.116,786.07
Secured Loans 0009.074,386.54,116.2864.0695000
Unsecured Loans 49.375148.6443.641,540.4740.4640.4672.0379.84.53
Total Debt49.375148.6452.715,926.974,156.66904.521,022.0379.84.53
Other Liabilities12,613.7312,783.9714,035.3610,905.648,881.5610,318.9510,999.5612,429.1712,034.410,279.96
Total Liabilities41,709.5236,341.1433,34826,326.5328,008.1126,550.5421,389.7325,987.8323,133.327,070.56
APPLICATION OF FUNDS :
Gross Block 17,156.3715,845.9913,992.2313,161.6112,172.0811,199.9710,107.828,923.6913,324.611,445.37
Less : Accumulated Depreciation 9,284.897,889.216,704.025,605.44,486.193,450.872,478.091,531.996,399.44,254.23
Less:Impairment of Assets1,141.461,129.45530.07398.26334.41294.863.6642.1400
Net Block 6,730.026,827.336,758.147,157.957,351.487,454.37,566.077,349.566,925.27,191.14
Capital Work in Progress2,492.341,883.912,471.851,948.422,040.111,499.011,457.821,389.41,025.4216.38
Investments 1,497.061,385.391,294.141,054.95940.15901.79989.37980.74886.4745.31
Inventories 16,041.5814,232.8716,225.9418,020.9720,379.220,467.3120,148.3221,538.7623,997.825,146.93
Sundry Debtors 4,616.674,719.184,641.555,669.5511,234.7312,459.036,750.794,220.164,836.96,242.6
Cash and Bank Balance26,421.8420,306.1514,343.617,166.33297.9195.386,524.211,116.8413,303.417,671.38
Loans and Advances 18,751.3214,692.211,649.5710,861.410,405.777,405.054,361.343,475.363,603.95,633.97
Total Current Assets65,831.4153,950.446,860.6741,718.2542,317.6140,426.7737,784.6540,351.1245,74254,694.89
Current Liabilities 28,364.1123,732.3119,118.0721,005.4119,579.6218,457.6421,131.6621,683.2629,835.732,793.46
Provisions 10,725.749,116.137,717.285,690.226,547.226,461.464,934.93,076.52,734.82,559.2
Total Current Liabilities & Provisions39,089.8532,848.4426,835.3526,695.6326,126.8424,919.126,066.5624,759.7632,570.535,352.65
Net Current Assets26,741.5621,101.9620,025.3215,022.6216,190.7715,507.6711,718.0915,591.3613,171.519,342.23
Deferred Tax Assets2,850.182,665.66565.5752.35470.11259.310000
Deferred Tax Liability1,395.851,539.950000977.58959.92814.81,619.22
Net Deferred Tax1,454.331,125.71565.5752.35470.11259.31-977.58-959.92-814.8-1,619.22
Other Assets2,794.214,016.842,232.981,090.241,015.49928.46635.961,636.691,939.61,194.73
Total Assets41,709.5236,341.1433,34826,326.5328,008.1126,550.5421,389.7325,987.8323,133.327,070.57
Contingent Liabilities12,246.6313,181.5414,459.371,561.237,573.8317,142.4717,014.9616,380.8315,621.713,581.31

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...7,620.95
Depreciation1,422.12
Interest (Net)-1,603.02
Dividend Received2.95
P/L on Sales of Assets-5.9
Prov. and W/O (Net)3,303.04
Total Adjustments (PBT and Ext...5,696.33
Operating Profit before Workin...13,317.28
Trade and 0ther Receivables-2,474.43
Inventories-2,070.49
Trade Payables277.9
Total Adjustments (OP before W...-3,125.13
Cash Generated from/(used in) ...10,192.15
Direct Taxes Paid-1,969.33
Total Adjustments(Cash Generat...-1,969.33
Cash Flow before Extraordinary...8,222.82
Net Cash from Operating Activi...8,222.82
Purchased of Fixed Assets-1,755.17
Sale of Fixed Assets7.97
Purchase of Investments-100.1
Interest Received1,745.88
Investment in Group Cos.-10.5
Net Cash used in Investing Act...-6,410.05
Of Financial Liabilities-0.31
Dividend Paid-1,972.89
Interest Paid-25.65
Net Cash used in Financing Act...-1,998.85
Net Profit before Tax and Extr...7,595.04
Depreciation1,421.4
Interest (Net)-1,602.03
Dividend Received2.95
P/L on Sales of Assets-5.9
Prov. and W/O (Net)3,305.38
Total Adjustments (PBT and Ext...5,722.04
Operating Profit before Workin...13,317.08
Trade and 0ther Receivables-2,474.25
Inventories-2,066.89
Trade Payables277.33
Total Adjustments (OP before W...-3,122.01
Cash Generated from/(used in) ...10,195.07
Direct Taxes Paid-1,969.33
Total Adjustments(Cash Generat...-1,969.33
Cash Flow before Extraordinary...8,225.74
Net Cash from Operating Activi...8,225.74
Purchased of Fixed Assets-1,754.9
Sale of Fixed Assets7.97
Purchase of Investments-101.49
Interest Received1,744.77
Investment in Group Cos.-10.5
Net Cash used in Investing Act...-6,411.73
Of Financial Liabilities-0.31
Dividend Paid-1,972.89
Interest Paid-25.65
Net Cash used in Financing Act...-1,998.85

Company Details

Registered Office
AddressPost Box No 5150,
15/1 Cubbon Road
CityBangalore
StateKarnataka
Pin Code560001
Tel. No.91-080-22320001
Fax. No.91-080-22320758
Emailcosec@hal-india.com
Internethttps://www.hal-india.co.in/home
Registrars
AddressPost Box No 5150
CityBangalore
StateKarnataka
Pin Code560001
Tel. No.91-080-22320001
Fax. No.91-080-22320758
Emailcosec@hal-india.com
Internethttps://www.hal-india.co.in/home
Management
Name Designation
D K SunilChairman & Managing Director
Deepak Abasaheb ShindeIndependent Director
Shailesh BansalCompany Sec. & Compli. Officer
Barenya SenapatiDirector (Finance)
Shalabh TyagiOfficial Director (Part time)
Rajalakshmi MenonOfficial Director (Part time)
Ravi KDirector (Operation)