Hero MotoCorp Ltd

NSE :HEROMOTOCO   BSE :500182  Sector : Automobile
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19 Nov
4775.80
(0.90%)
18 Nov
4733.00
(2.80%)
14 Nov
4604.00
(1.87%)
13 Nov
4519.60
(-4.33%)
12 Nov
4724.20
(-0.70%)
11 Nov
4757.50
(-0.24%)
08 Nov
4768.90
(-0.98%)
07 Nov
4816.00
(-1.57%)
06 Nov
4892.80
(1.50%)
05 Nov
4820.70
(0.30%)
04 Nov
4806.05
(-4.27%)
01 Nov
5020.50
(0.62%)
31 Oct
4989.55
(1.63%)
30 Oct
4909.30
(2.55%)
29 Oct
4787.45
(-2.85%)
28 Oct
4927.80
(-0.91%)
25 Oct
4973.30
(-2.74%)
24 Oct
5113.60
(-0.62%)
23 Oct
5145.70
(-0.58%)
22 Oct
5175.80
(-1.27%)
21 Oct
5242.25
(0.50%)


Technical Analysis

Short Term Investors

Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Neutral

Moving Averages

5 DMA
Bullish

4669.94


10 DMA
Bullish

4739.42


20 DMA
Bearish

4863.32


50 DMA
Bearish

5367.02


100 DMA
Bearish

5396.84


200 DMA
Bearish

5113.07



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Nov 19, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 4961.11 4907.53 4808.65 - -
R2 4907.53 4861.9 4797.7 4904.46 -
R1 4841.66 4833.71 4786.75 4835.52 4874.6
P 4788.08 4788.08 4788.08 4785.01 4804.55
S1 4722.21 4742.45 4764.85 4716.07 4755.15
S2 4668.63 4714.26 4753.9 4665.56 -
S3 4602.76 4668.63 4742.95 - -

Key Metrics

EPS

220.8

P/E

21.63

P/B

4.89

Dividend Yield

2.93%

Market Cap

95,507 Cr.

Face Value

2

Book Value

976.38

ROE

21.79%

EBITDA Growth

1,687.47 Cr.

Debt/Equity

0.03

Shareholding Pattern

  34.75% Total Promoter Holding
14.57% Mutual Fund Holdings
29.58% FIIs
8.72% Non Institution
2.34% Insurance Companies
0% Custodians
10.04% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Hero MotoCorp Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 9745.69 10075.72 9794.01 10435.6 10721.59
PROFIT 1006.31 1093.41 935.01 1045.89 1063.71
EPS 50.34 54.71 46.78 52.31 53.19

Hero MotoCorp Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 9693.72 9965.77 9699.34 10375.44 10746.21
PROFIT 1053.81 1073.38 1016.05 1122.63 1203.54
EPS 52.72 53.7 50.84 56.15 60.18

Profit & Loss (Figures in Rs. Crores)


Hero MotoCorp Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 28105.24 28954.14 29352.65 33141.32 34777.35 30929.98 31772.66 30077.62 34894.19 38454.81
PROFIT 2255.08 3014.59 3490.24 3574.56 3349.83 3024.47 2792.45 2243.59 2728.41 3773.11
EPS 106.4 141.6 177.58 186.39 173.53 183.2 146.95 116.57 140.1 187.2

Hero MotoCorp Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 28108.01 28877.01 28959.72 32779.46 34370.17 30521.69 31523.93 29729.67 34579.85 38169.16
PROFIT 2283.39 3032.67 3283.44 3551.06 3291.47 3019.02 2840.06 2403.79 2825.97 3997.3
EPS 108.26 144 169.11 185.15 169.46 181.89 148.36 123.77 145.64 198.5

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 39.9839.9739.9639.9639.9539.9539.9439.9439.9439.94
Reserves Total 17,658.9416,615.615,806.6915,376.4614,366.3313,080.4611,931.5210,275.578,794.176,500.06
Total Shareholders Funds17,698.9216,655.5715,846.6515,416.4214,406.2813,120.4111,971.4610,315.518,834.116,540
Minority Interest135.65125.06148.05143.19140.6116.1193.2167.3854.6318.54
Secured Loans 0.190.270.120.1244.020.3310.2168.0315.310
Unsecured Loans 606.22567.27605.05583.9409.23311.17217.68192.58216.9100
Total Debt606.41567.54605.17584.02453.25311.5227.89260.61232.21100
Other Liabilities500.59398.23336.17321.61123.9120.94119.1875.6267.897.58
Total Liabilities18,941.5717,746.416,936.0416,465.2415,124.0313,668.9612,411.7410,719.129,188.756,756.12
APPLICATION OF FUNDS :
Gross Block 16,414.7715,766.2615,199.9614,824.0114,288.6112,020.0411,478.110,597.499,335.158,158.04
Less: Accumulated Depreciation10,182.579,607.069,006.428,443.627,815.687,067.686,517.145,998.645,551.445,205.76
Net Block6,232.26,159.26,193.546,380.396,472.934,952.364,960.964,598.853,783.712,952.28
Capital Work in Progress484.06453.71517.22495.13391.33572.82355.48580.96653.37719.2
Investments 12,751.2410,890.9310,527.8710,581.628,358.646,113.837,669.246,066.374,501.083,118.5
Inventories 1,755.91,756.391,472.411,789.271,282.321,249.53962.68708.58761.99861.39
Sundry Debtors 2,630.222,719.472,158.492,274.681,511.912,745.111,426.971,551.751,282.071,371.82
Cash and Bank Balance696.47422.8299.74396.24435.41303.9237.57195.39179.09215.78
Loans and Advances 927.78864.82771.27684.95710.44940.79783.89570.73608.61633.38
Total Current Assets6,010.375,763.484,701.915,145.143,940.085,239.333,411.113,026.452,831.763,082.37
Current Liabilities 6,481.655,492.164,984.996,002.293,917.774,162.814,342.814,081.413,455.493,163.83
Provisions 159.44192.68179.15175.82159.6959.7160.2942.5729.8734.4
Total Current Liabilities & Provisions6,641.095,684.845,164.146,178.114,077.464,222.524,403.14,123.983,485.293,898.23
Net Current Assets-630.7278.64-462.23-1,032.97-137.381,016.81-991.99-1,097.53-653.53-815.86
Deferred Tax Assets162.56132.62244.3208.9158.1999.4856.9654.2852.8679.85
Deferred Tax Liability732.69618.41622.51661.64630.77712.36638.85523.18274.636.31
Net Deferred Tax-570.13-485.79-378.21-452.74-472.58-612.88-581.89-468.9-221.7773.54
Other Assets674.92649.71537.85493.81511.091,626.02999.941,039.371,125.89708.46
Total Assets18,941.5717,746.416,936.0416,465.2415,124.0313,668.9612,411.7410,719.129,188.756,756.12
Contingent Liabilities225128.89123.3687.7575.66121.84104.32104.1404.09
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 39.9839.9739.9639.9639.9539.9539.9439.9439.9439.94
Reserves Total 17,946.216,665.1215,742.9615,158.4714,096.4512,817.1711,728.9410,071.358,794.476,501.39
Total Shareholders Funds17,986.1816,705.0915,782.9215,198.4314,136.412,857.1211,768.8810,111.298,834.416,541.33
Unsecured Loans 137.58156.31168.07149.51149.9600000
Total Debt137.58156.31168.07149.51149.9600000
Other Liabilities494.79394.41333.11318.5122.37117.2114.9475.367.696.95
Total Liabilities18,618.5517,255.8116,284.115,666.4414,408.7312,974.3211,883.8210,186.598,902.016,638.28
APPLICATION OF FUNDS :
Gross Block 15,786.1815,194.1914,665.7214,324.4813,865.3911,628.2311,134.4110,377.229,126.338,114.03
Less : Accumulated Depreciation 9,952.159,432.778,859.248,336.077,748.317,009.656,479.875,981.635,541.985,201.34
Net Block 5,834.035,761.425,806.485,988.416,117.084,618.584,654.544,395.593,584.352,912.69
Capital Work in Progress480.51463.79458.2436.59341.27541.86318.39465.05605.4712.55
Investments 13,086.111,010.3610,652.3210,499.678,222.655,968.617,525.25,889.854,581.023,154.11
Inventories 1,443.761,434.091,122.651,469.551,091.971,072.37823.58656.31672.98815.49
Sundry Debtors 2,703.442,798.212,304.272,426.761,603.142,821.571,520.181,561.871,282.81,389.59
Cash and Bank Balance608.93345.5175.12257.15241.86136.46141.34136.73131.36159.25
Loans and Advances 765.37821.11675.26607.84657.11918.14771.96557.42594.97627.47
Total Current Assets5,521.55,398.914,277.34,761.33,594.084,948.543,257.062,912.332,682.112,991.8
Current Liabilities 6,364.045,426.274,886.215,930.153,801.214,071.334,283.534,054.323,418.663,149.36
Provisions 154.14175.69160.42160.37146.5659.0359.7939.0129.66734.06
Total Current Liabilities & Provisions6,518.185,601.965,046.636,090.523,947.774,130.364,343.324,093.333,448.323,883.42
Net Current Assets-996.68-203.05-769.33-1,329.22-353.69818.18-1,086.26-1,181-766.21-891.62
Deferred Tax Assets159.82126.84119.36120.37101.364.6166.0262.4557.7279.85
Deferred Tax Liability594.64532.21502.65524.46494.13601.12577.68476.79280.256.31
Net Deferred Tax-434.82-405.37-383.29-404.09-392.83-536.51-511.66-414.34-222.5373.54
Other Assets649.41628.66519.72475.08474.251,563.6983.611,031.441,119.98677.01
Total Assets18,618.5517,255.8116,284.115,666.4414,408.7312,974.3211,883.8210,186.598,902.016,638.28
Contingent Liabilities1780000104.14104.14104.4704.09

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...3,742.16
Depreciation757.36
Interest (Net)-224.94
Dividend Received61.06
P/L on Sales of Assets-0.7
P/L on Sales of Invest-120.82
Prov. and W/O (Net)19.66
P/L in Forex1.92
Others12.58
Total Adjustments (PBT and Ext...1,502.91
Operating Profit before Workin...5,245.07
Trade and 0ther Receivables69.59
Inventories0.49
Trade Payables862.72
Loans and Advances-2.13
Total Adjustments (OP before W...1,007.17
Cash Generated from/(used in) ...6,252.24
Direct Taxes Paid-1,329.17
Total Adjustments(Cash Generat...-1,329.17
Cash Flow before Extraordinary...4,923.07
Net Cash from Operating Activi...4,923.07
Sale of Fixed Assets10.7
Purchase of Investments-46,178.27
Sale of Investments45,306.67
Interest Received301.31
Investment in Group Cos.-639.41
Net Cash used in Investing Act...-1,827.87
Proceeds from Issue of shares ...10.41
Proceed from Short Tem Borrowi...70.29
Of the Long Tem Borrowings-20.09
Of Financial Liabilities-11.32
Dividend Paid-2,702.09
Interest Paid-76.37
Net Cash used in Financing Act...-2,716.59
Net Profit before Tax and Extr...3,967.96
Depreciation711.41
Interest (Net)-277.72
Dividend Received59.35
P/L on Sales of Assets-0.72
P/L on Sales of Invest-120.39
Prov. and W/O (Net)17.71
Total Adjustments (PBT and Ext...1,178.09
Operating Profit before Workin...5,146.05
Trade and 0ther Receivables77.06
Inventories-9.67
Trade Payables823.69
Loans and Advances-2.13
Total Adjustments (OP before W...1,074.68
Cash Generated from/(used in) ...6,220.73
Direct Taxes Paid-1,314.2
Total Adjustments(Cash Generat...-1,314.2
Cash Flow before Extraordinary...4,906.53
Net Cash from Operating Activi...4,906.53
Sale of Fixed Assets9.31
Purchase of Investments-46,584.68
Sale of Investments45,713.23
Interest Received296.22
Invest.In Subsidiaires-37.5
Investment in Group Cos.-639.41
Net Cash used in Investing Act...-1,801.88
Proceeds from Issue of shares ...10.41
Of Financial Liabilities-26.37
Dividend Paid-2,698.67
Interest Paid-18.5
Net Cash used in Financing Act...-2,733.13

Company Details

Registered Office
AddressThe Grand Plaza Plot No 2,
Nelson Mandela Road VasantKunj
CityNew Delhi
StateNew Delhi
Pin Code110070
Tel. No.91-11-46044220
Fax. No.91-11-46044399
Emaildhiraj.kapoor@heromotocorp.com; secretarialho@hero
Internethttp://www.heromotocorp.com
Registrars
AddressThe Grand Plaza Plot No 2
CityNew Delhi
StateNew Delhi
Pin Code110070
Tel. No.91-11-46044220
Fax. No.91-11-46044399
Emaildhiraj.kapoor@heromotocorp.com; secretarialho@hero
Internethttp://www.heromotocorp.com
Management
Name Designation
Pawan MunjalChairman & Wholetime Director
Pradeep DinodiaNon Executive Director
Suman Kant MunjalNon Executive Director
Vikram S KasbekarWhole-time Director
Jagmohan Singh RajuIndependent Director
Tina TrikhaIndependent Director
B.S. DhanoaIndependent Director
Rajnish KumarIndependent Director
Vasudha DinodiaNon Executive Director
Camille Miki TangIndependent Director
Dhiraj KapoorCompany Sec. & Compli. Officer