BSE
Mar 13, 00:00

411.85

-0.25 (-0.06%)


prev close

412.10

OPEN PRICE

414.95

volume

399896

Today's low / high

408.20 / 414.95

52 WK low / high

381.24 / 500.01

bid price (qty)

0 (0)

offer price (qty)

0 (0)

NSE
Mar 13, 00:00

412.05

-0.35 (-0.08%)


prev close

412.40

open price

413.00

volume

8196569

Today's' low / high

408.20 / 414.40

52 WK low / high

381.10 / 499.96

bid price (qty)

0 (0)

offer price (qty)

412.05 (1686)

13 Mar
412.05
(-0.08%)
12 Mar
412.40
(1.53%)
11 Mar
406.20
(0.30%)
10 Mar
405.00
(0.27%)
07 Mar
403.90
(-0.44%)
06 Mar
405.70
(0.16%)
05 Mar
405.05
(2.58%)
04 Mar
394.85
(-0.65%)
03 Mar
397.45
(0.62%)
28 Feb
395.00
(-1.64%)
27 Feb
401.60
(-0.80%)
25 Feb
404.85
(0.73%)
24 Feb
401.90
(0.25%)
21 Feb
400.90
(-0.29%)
20 Feb
402.05
(-1.07%)
19 Feb
406.40
(0.28%)
18 Feb
405.25
(-0.82%)
17 Feb
408.60
(-0.40%)
14 Feb
410.25
(0.13%)
13 Feb
409.70
(-0.05%)
12 Feb
409.90
(-2.01%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bullish

407.78


10 DMA
Bullish

403.71


20 DMA
Bullish

404.45


50 DMA
Bearish

425.87


100 DMA
Bearish

437.73


200 DMA
Bearish

444.98



Intraday Support and Resistance
(Based on Pivot Points) NSE : 412.05 | BSE : 411.85

Updated On Mar 13, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 421.1 417.75 413.76 - -
R2 417.75 415.38 413.19 417.88 -
R1 414.9 413.92 412.62 415.16 416.33
P 411.55 411.55 411.55 411.68 412.26
S1 408.7 409.18 411.48 408.96 410.13
S2 405.35 407.72 410.91 405.48 -
S3 402.5 405.35 410.35 - -

Key Metrics

EPS

15.93

P/E

25.85

P/B

7.06

Dividend Yield

3.33%

Market Cap

5,15,617 Cr.

Face Value

1

Book Value

58.3

ROE

28.89%

EBITDA Growth

7,164.3 Cr.

Debt/Equity

0

Shareholding Pattern

  0% Total Promoter Holding
12.87% Mutual Fund Holdings
14.72% FIIs
14.87% Non Institution
20.07% Insurance Companies
0.03% Custodians
37.44% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


ITC Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME18015.5 18606.53 19159.83 20680.67 19593.57
PROFIT5166.29 5122.11 5093.86 4917.58 4731.36
EPS3.99 4.1 4.08 4.28 3.95

ITC Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME16982.56 17377.88 17701.36 19625.31 18884.29
PROFIT5418.79 5021.78 4919.73 4975.85 5016.72
EPS4.06 4.02 3.94 4.47 4.51

Profit & Loss (Figures in Rs. Crores)


ITC Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 40327.04 40926.7 43951.54 44673.52 50741.36 52713.29 52550.61 63207.92 73397.84 74225.14
PROFIT 9449.66 9380.32 10200.92 11009.36 12655.94 15448.11 13202.67 15201 19140.5 20421.83
EPS 6.88 6.67 8.16 8.91 9.9 12 10.28 11.9 14.82 15.72

ITC Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 38265.06 38548.48 41430.42 42128.43 47660.33 48809.7 49262.98 59497.7 68593.25 69349.8
PROFIT 9395.41 9352.15 10070.47 10957.19 12526.46 15279.26 13074.23 15013.3 18701.87 20386.76
EPS 6.75 6.55 7.95 8.7 9.62 11.65 10.02 11.56 14.28 15.48

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 1,248.471,242.81,232.331,230.881,229.221,225.861,220.431,214.74804.72801.55
Reserves Total 73,258.5367,912.4661,223.2459,116.4664,044.0457,915.0151,289.6845,198.1941,874.830,933.94
Total Shareholders Funds74,50769,155.2662,455.5760,347.3465,273.2659,140.8752,510.1146,412.9342,679.5231,735.49
Minority Interest382.97383.53366.3346.81377.47343.47334.47294.74260.9225.11
Secured Loans 033.9604.231.421.8617.351.1143.95195.39
Unsecured Loans 303.43272.08249.44266.6276.0311.5818.5744.6139.8373.41
Total Debt303.43306.04249.44270.83277.4513.4435.9245.7283.78268.8
Other Liabilities871.98758.92401.98486.54319.44241.87259.61217.42186.34166.83
Total Liabilities76,065.3870,603.7563,473.2961,451.5266,247.6259,739.6553,140.1146,970.8143,210.5432,396.23
APPLICATION OF FUNDS :
Gross Block 40,188.6636,608.4133,435.3531,088.4327,964.9624,090.4719,919.718,094.4316,175.7223,361.47
Less: Accumulated Depreciation12,368.4410,757.149,203.767,789.956,251.624,716.283,395.742,200.951,069.098,057.14
Net Block27,820.2225,851.2724,231.5923,298.4821,713.3419,374.1916,523.9615,893.4815,106.6315,304.33
Lease Adjustment000000000-1.05
Capital Work in Progress2,860.783,003.33,225.544,011.293,256.464,136.425,508.333,729.892,559.722,700.2
Investments 31,114.0229,415.0224,841.0124,870.8728,663.3525,043.4922,052.8617,581.3811,747.596,942.77
Inventories 14,152.8811,771.1610,864.1510,397.168,879.337,859.567,495.098,116.19,062.18,586.87
Sundry Debtors 4,025.822,956.172,461.92,501.72,562.484,035.282,682.292,474.291,917.181,982.07
Cash and Bank Balance7,217.684,880.194,654.424,659.027,277.344,152.032,899.62,967.46,063.37,896.22
Loans and Advances 2,724.742,830.513,987.72,587.782,837.872,352.92,747.571,823.921,198.14974.1
Total Current Assets28,121.1222,438.0321,968.1720,145.6621,557.0218,399.7715,824.5515,381.7118,240.7219,439.26
Current Liabilities 12,571.5512,638.0511,346.1410,104.639,095.179,531.639,093.376,881.836,445.145,789.78
Provisions 1,047.791,012.18766.65526.76397.05475.07132.36211.86156.26,162.01
Total Current Liabilities & Provisions13,619.3413,650.2312,112.7910,631.399,492.2210,006.79,225.737,093.696,601.3411,951.79
Net Current Assets14,501.788,787.89,855.389,514.2712,064.88,393.076,598.828,288.0211,639.387,487.47
Deferred Tax Assets771.8658.4963.5358.5456.29457.0447.9844.95569.96510.65
Deferred Tax Liability2,841.052,235.471,673.471,736.391,627.22,449.731,923.021,878.772,409.422,114.85
Net Deferred Tax-2,069.25-1,576.98-1,609.94-1,677.85-1,570.91-1,992.69-1,875.04-1,833.82-1,839.46-1,604.2
Other Assets1,837.835,123.342,929.711,434.462,120.584,785.174,331.183,311.863,996.681,566.71
Total Assets76,065.3870,603.7563,473.2961,451.5266,247.6259,739.6553,140.1146,970.8143,210.5432,396.23
Contingent Liabilities1,145.191,047.491,977.741,948.831,533.21,694.261,711.48891.99771.4848.79
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 1,248.471,242.81,232.331,230.881,229.221,225.861,220.431,214.74804.72801.55
Reserves Total 70,984.8366,35160,167.2457,773.7462,799.9456,723.9350,179.6444,126.2240,851.7129,934.14
Total Shareholders Funds72,233.367,593.861,399.5759,004.6264,029.1657,949.7951,400.0745,340.9641,656.4330,735.69
Secured Loans 00000000.013.60.02
Unsecured Loans 311.97324.67311.16329.35332.0111.1317.9925.8338.6953
Total Debt311.97324.67311.16329.35332.0111.1317.9925.8442.2953.02
Other Liabilities331.32354.32283.37396.42234.26174.54195.57155.23127.32107.77
Total Liabilities72,876.5968,272.7961,994.159,730.3964,595.4358,135.4651,613.6345,522.0341,826.0430,896.48
APPLICATION OF FUNDS :
Gross Block 37,303.7934,260.9331,871.7229,477.8226,341.3822,852.6918,690.0816,895.5915,005.3221,726.97
Less : Accumulated Depreciation 11,560.5710,086.828,651.117,290.035,823.834,366.293,124.092,015.35994.357,548.48
Net Block 25,743.2224,174.1123,220.6122,187.7920,517.5518,486.415,565.9914,880.2414,010.9714,178.49
Capital Work in Progress1,087.041,696.62,466.183,333.472,780.23,401.365,025.583,537.022,419.172,114.14
Investments 34,738.8232,720.6227,282.2726,984.1330,630.6126,57823,397.2218,585.2913,324.538,405.46
Inventories 12,631.5110,593.99,997.779,470.878,038.077,587.247,237.157,863.998,519.827,836.76
Sundry Debtors 3,311.452,321.331,952.52,090.292,0923,646.222,357.012,207.51,686.351,722.4
Cash and Bank Balance6,217.693,831.263,877.944,001.536,843.273,768.732,594.882,747.275,639.27,588.61
Loans and Advances 1,993.142,099.883,488.852,205.842,358.552,060.222,410.511,618.85917.22843.44
Total Current Assets24,153.7918,846.3719,317.0617,768.5319,331.8917,062.4114,599.5514,437.6116,762.5917,991.21
Current Liabilities 11,538.6311,528.110,824.279,736.138,767.639,248.388,810.56,679.316,251.825,561.49
Provisions 828.72839.72606.99386.11254.65369.9439.24142.9185.996,106.09
Total Current Liabilities & Provisions12,367.3512,367.8211,431.2610,122.249,022.289,618.328,849.746,822.226,337.8111,667.58
Net Current Assets11,786.446,478.557,885.87,646.2910,309.617,444.095,749.817,615.3910,424.786,323.63
Deferred Tax Assets535.19525.84337.12286.28296.44397.04411.76545.25521.72467.74
Deferred Tax Liability2,618.852,146.972,004.262,014.011,914.092,441.182,329.72,416.952,389.152,099.34
Net Deferred Tax-2,083.66-1,621.13-1,667.14-1,727.73-1,617.65-2,044.14-1,917.94-1,871.7-1,867.43-1,631.6
Other Assets1,604.734,824.042,806.381,306.441,975.114,269.753,792.972,775.793,514.021,506.36
Total Assets72,876.5968,272.7961,994.159,730.3964,595.4358,135.4651,613.6345,522.0341,826.0430,896.48
Contingent Liabilities1,014.15935.991,816.051,825.92794.411,572.791,067.2716.23608.95585.95

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...27,139.88
Depreciation1,816.39
Interest (Net)-1,664.55
Dividend Received35.65
P/L on Sales of Assets-57.04
Prov. and W/O (Net)195.6
P/L in Forex-13.38
Others12.12
Total Adjustments (PBT and Ext...-504.43
Operating Profit before Workin...26,635.45
Trade and 0ther Receivables-933.64
Inventories-2,544.87
Trade Payables141.48
Total Adjustments (OP before W...-3,337.03
Cash Generated from/(used in) ...23,298.42
Direct Taxes Paid-6,119.56
Total Adjustments(Cash Generat...-6,119.56
Cash Flow before Extraordinary...17,178.86
Net Cash from Operating Activi...17,178.86
Purchased of Fixed Assets-3,562.53
Sale of Fixed Assets107.48
Purchase of Investments-75,107.29
Sale of Investments77,829.51
Interest Received1,138.35
Investment in Group Cos.-65.04
Net Cash used in Investing Act...1,562.77
Proceeds from Issue of shares ...1,442.83
Proceed from Short Tem Borrowi...8
Of the Long Tem Borrowings-1.57
Of Financial Liabilities-66.89
Dividend Paid-19,899.2
Interest Paid-46.25
Net Cash used in Financing Act...-18,550.96
Net Profit before Tax and Extr...26,315.77
Depreciation1,647.82
Interest (Net)-1,546.68
Dividend Received990.35
P/L on Sales of Assets-54.07
Prov. and W/O (Net)183.88
P/L in Forex-6.28
Others12.12
Total Adjustments (PBT and Ext...-1,456.89
Operating Profit before Workin...24,858.88
Trade and 0ther Receivables-887.87
Inventories-2,187.23
Trade Payables17.3
Total Adjustments (OP before W...-3,057.8
Cash Generated from/(used in) ...21,801.08
Direct Taxes Paid-5,682.85
Total Adjustments(Cash Generat...-5,682.85
Cash Flow before Extraordinary...16,118.23
Net Cash from Operating Activi...16,118.23
Purchased of Fixed Assets-2,647.23
Sale of Fixed Assets100.85
Purchase of Investments-67,676.96
Sale of Investments70,615
Interest Received1,016.53
Invest.In Subsidiaires-1,050.35
Investment in Group Cos.-87.16
Net Cash used in Investing Act...2,127.55
Proceeds from Issue of shares ...1,442.83
Of the Long Tem Borrowings-1.26
Of Financial Liabilities-56.64
Dividend Paid-19,606.06
Interest Paid-46.02
Net Cash used in Financing Act...-18,255.03

Company Details

Registered Office
AddressVirginia House,
37 Jawaharlal Nehru Road
CityKolkata
StateWest Bengal
Pin Code700071
Tel. No.91-033-22889371
Fax. No.91-033-22882358
Emailisc@itc.in, enduringvalue@itc.in
Internethttp://www.itcportal.com
Registrars
AddressVirginia House
CityKolkata
StateWest Bengal
Pin Code700071
Tel. No.91-033-22889371
Fax. No.91-033-22882358
Emailisc@itc.in, enduringvalue@itc.in
Internethttp://www.itcportal.com
Management
Name Designation
S BanerjeeIndependent Director
Sanjiv PuriChairman & Managing Director
Nirupama RaoIndependent Director
Rajendra Kumar SinghiCompany Sec. & Compli. Officer
Sumant BhargavanWhole-time Director
Ajit Kumar SethIndependent Director
Anand NayakIndependent Director
Hemant BhargavaIndependent Director
Mukesh GuptaNon Executive Director
Sunil PanrayNon Executive Director
Shyamal MukherjeeIndependent Director
SUPRATIM DUTTAWhole Time Director & CFO
Atul SinghNon Executive Director
PUSHPA SUBRAHMANYAMIndependent Director
Alka Marezban BharuchaIndependent Director
Hemant MalikWhole-time Director
Ghosal T KDeputy Company Secretary
Madia K SDeputy Company Secretary
Poddar RDeputy Company Secretary
CHANDRA KISHORE MISHRAIndependent Director
Siddhartha MohantyNon Executive Director