Jindal Steel & Power Ltd

NSE :JINDALSTEL   BSE :532286  Sector : Steel
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13 Nov
858.65
(-3.20%)
12 Nov
887.00
(-2.19%)
11 Nov
906.85
(-2.28%)
08 Nov
928.05
(-2.06%)
07 Nov
947.60
(-0.45%)
06 Nov
951.85
(1.69%)
05 Nov
936.05
(2.95%)
04 Nov
909.20
(-2.18%)
01 Nov
929.50
(0.98%)
31 Oct
920.50
(0.16%)
30 Oct
919.00
(0.43%)
29 Oct
915.05
(-0.43%)
28 Oct
919.00
(2.22%)
25 Oct
899.05
(-2.73%)
24 Oct
924.30
(0.97%)
23 Oct
915.45
(0.57%)
22 Oct
910.25
(-4.08%)
21 Oct
948.95
(-1.61%)
18 Oct
964.50
(3.71%)
17 Oct
930.00
(-3.15%)
16 Oct
960.25
(-0.87%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Neutral

Moving Averages

5 DMA
Bearish

905.67


10 DMA
Bearish

917.49


20 DMA
Bearish

920.87


50 DMA
Bearish

970.08


100 DMA
Bearish

975.96


200 DMA
Bearish

933.92



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Nov 13, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 907.26 896.08 866.87 - -
R2 896.08 884.66 864.13 894.2 -
R1 877.36 877.6 861.39 873.6 886.73
P 866.18 866.18 866.18 864.3 870.86
S1 847.46 854.76 855.91 843.7 856.83
S2 836.28 847.7 853.17 834.4 -
S3 817.56 836.28 850.43 - -

Key Metrics

EPS

50.15

P/E

17.12

P/B

1.81

Dividend Yield

0.23%

Market Cap

87,590 Cr.

Face Value

1

Book Value

475.59

ROE

14.32%

EBITDA Growth

2,234.08 Cr.

Debt/Equity

0.36

Shareholding Pattern

  61.19% Total Promoter Holding
12.6% Mutual Fund Holdings
12.19% FIIs
9.76% Non Institution
2.46% Insurance Companies
0.81% Custodians
0.99% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Jindal Steel & Power Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 12282.04 11736.52 13521.51 13652.33 11248.14
PROFIT 1387.82 1928.32 935.37 1340.15 860.9
EPS 13.81 19.21 9.34 13.31 8.49

Jindal Steel & Power Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 12107.71 11545.44 13788.45 12865.35 11528.88
PROFIT 1108.57 1483.68 1281.53 1456.54 894.35
EPS 11.03 14.78 12.78 14.46 8.83

Profit & Loss (Figures in Rs. Crores)


Jindal Steel & Power Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 20052.59 19177.24 21382.87 33595.35 47207.39 38278.92 34913.23 51992.52 54194.06 50557.22
PROFIT -133.32 -2884.23 -1919.05 -832.21 -187.5 15.69 3781.71 6014.43 4133.37 5863.23
EPS 0 0 0 0 -24.91 -3.92 41.83 66.94 39.54 59.29

Jindal Steel & Power Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 14026.95 13497.2 14125.75 17933.68 27987.49 26521.68 33829.26 50324.96 51774.36 49951.62
PROFIT 38.38 -1442 -987.3 -16.63 1136.02 618.58 7295.41 8530.84 2736.36 5244.71
EPS 0 0 0 0 -2.72 6.06 70.14 81.96 24.15 52.61

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 100.24100.5101.0710210296.7996.7991.591.4991.49
Reserves Total 44,155.938,546.2235,463.7231,652.832,035.1431,983.130,283.0229,959.0332,344.6120,950.58
Equity Share Warrants000004.84.8000
Equity Application Money59.8759.8759.8759.87000000
Total Shareholders Funds44,316.0138,706.5935,624.6631,814.6732,137.1432,084.6930,384.6130,050.5332,436.121,042.07
Minority Interest434.64312.531,470.54-877.7-776.44-526.1440.34646.71899.83857.25
Secured Loans 14,885.5411,714.1410,178.8621,443.8730,501.9238,086.7141,482.3338,644.7638,450.1634,899.9
Unsecured Loans 1,586.61,332.173,322.788,465.826,322.451,472.311,479.727,205.748,346.6110,600.84
Total Debt16,472.1413,046.3113,501.6429,909.6936,824.3739,559.0242,962.0545,850.546,796.7745,500.74
Other Liabilities1,411.741,189.72538.28562.421,618.99750.72968.141,071.57289.43587.59
Total Liabilities62,634.5353,255.1551,135.1261,409.0869,804.0671,868.3374,755.1477,619.3180,422.1367,987.65
APPLICATION OF FUNDS :
Gross Block 75,701.5868,262.0467,788.3182,526.6895,425.4391,520.2185,249.778,879.273,595.2261,771.96
Less: Accumulated Depreciation27,317.6524,719.8922,300.5628,177.4526,044.2622,481.0816,800.1912,947.578,557.1215,128.61
Net Block48,383.9343,542.1545,487.7554,349.2369,381.1769,039.1368,449.5165,931.6365,038.146,643.35
Capital Work in Progress9,611.437,869.592,538.431,711.543,125.524,027.24,977.59,716.1711,826.89,072.77
Investments 818.81907.4469.921,155.54180.59150.18145.97368.04391.81,785.19
Inventories 7,077.375,886.787,281.365,942.576,368.716,509.534,959.563,599.263,254.14,848.69
Sundry Debtors 1,664.54974.471,264.072,794.43,549.263,028.541,826.091,716.621,429.181,690.7
Cash and Bank Balance4,024.134,716.833,668.516,152.22906.23421.62467.88477.22620.381,139.07
Loans and Advances 4,312.533,132.7414,062.794,418.595,129.134,345.437,059.267,228.667,428.117,221.42
Total Current Assets17,078.5714,710.8226,276.7319,307.7815,953.3314,305.1214,312.7913,021.7612,731.7714,899.88
Current Liabilities 10,077.269,924.0217,997.2610,109.6814,217.7211,646.59,385.427,534.486,039.095,375.6
Provisions 80.16311.45234.9482.397.58121.7661.562.5464.8154.89
Total Current Liabilities & Provisions10,157.4210,235.4718,232.210,191.9814,315.311,768.269,446.927,597.026,103.895,530.49
Net Current Assets6,921.154,475.358,044.539,115.81,638.032,536.864,865.875,424.746,627.889,369.39
Deferred Tax Assets467.69477.24451.49914.72,864.646,000.095,908.035,371.84,623.742,142.48
Deferred Tax Liability6,351.776,413.857,727.717,154.078,487.2311,364.3910,936.3910,730.4310,496.114,160.95
Net Deferred Tax-5,884.08-5,936.61-7,276.22-6,239.37-5,622.59-5,364.3-5,028.36-5,358.63-5,872.37-2,018.47
Other Assets2,783.292,397.271,870.711,316.341,101.341,479.261,344.651,537.362,409.923,135.42
Total Assets62,634.5353,255.1551,135.1261,409.0869,804.0671,868.3374,755.1477,619.3180,422.1367,987.65
Contingent Liabilities6,644.575,118.117,639.78,130.147,801.896,573.87,383.366,709.018,167.038,477.44
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 100.24100.5101.0710210296.7996.7991.591.4991.49
Reserves Total 45,393.3640,456.3540,259.4132,540.1123,607.0722,446.9722,690.9721,674.722,974.1812,419.72
Equity Share Warrants000004.84.8000
Total Shareholders Funds45,493.640,556.8540,360.4832,642.1123,709.0722,548.5622,792.5621,766.223,065.6712,511.21
Secured Loans 10,118.611,163.3311,791.915,176.3913,671.1617,166.6719,738.5720,865.2919,517.4819,167.96
Unsecured Loans 1,574.451,294.922,125.893,787.463,163.462,533.33,441.644,460.86,224.399,145.26
Total Debt11,693.0512,458.2513,917.7918,963.8516,834.6219,699.9723,180.2125,326.0925,741.8728,313.22
Other Liabilities360.53537.023,356.873,309.993,892.273,262.173,611.173,575.22318.51276.41
Total Liabilities57,547.1853,552.1257,635.1454,915.9544,435.9645,510.749,583.9450,667.5149,126.0541,100.84
APPLICATION OF FUNDS :
Gross Block 58,730.2957,157.0556,295.2155,548.4155,097.452,782.5151,779.4645,697.4245,153.5234,784.23
Less : Accumulated Depreciation 19,257.2617,073.5614,936.9512,826.8910,625.68,419.796,143.034,221.542,130.217,569.15
Net Block 39,473.0340,083.4941,358.2642,721.5244,471.844,362.7245,636.4341,475.8843,023.3127,215.08
Capital Work in Progress3,802.212,118.73759.58604.02851.461,624.122,689.297,529.235,685.743,563.12
Investments 7,530.875,692.686,315.985,557.531,698.851,692.921,490.361,485.251,476.942,486.96
Inventories 5,976.985,463.097,050.514,591.673,886.963,893.183,098.891,886.972,439.063,720.03
Sundry Debtors 2,191.481,130.51,210.471,960.75963.23903.6794.31797.2830.861,321.27
Cash and Bank Balance3,489.454,022.963,055.825,687.4515.59100.8126.11146.17331.94288.97
Loans and Advances 2,623.752,106.156,136.963,203.916,145.734,524.25,692.556,001.895,843.515,257.81
Total Current Assets14,281.6612,722.717,453.7615,443.7311,511.519,421.789,711.868,832.239,445.3710,588.08
Current Liabilities 8,799.839,353.3810,655.57,916.5910,719.868,751.46,787.855,404.166,979.53,317.92
Provisions 58.9139.01188.5560.7348.6843.6731.3638.5538.4792.88
Total Current Liabilities & Provisions8,858.739,492.3910,844.057,977.3210,768.548,795.076,819.215,442.717,017.973,410.8
Net Current Assets5,422.933,230.316,609.717,466.41742.97626.712,892.653,389.522,427.47,177.28
Deferred Tax Assets638.032,347.7408.31810.12,688.865,973.155,886.075,245.34,623.012,142.49
Deferred Tax Liability6,249.096,332.827,091.377,048.116,359.219,339.629,559.529,228.939,075.743,801.08
Net Deferred Tax-5,611.06-3,985.12-6,683.06-6,238.01-3,670.35-3,366.47-3,673.45-3,983.63-4,452.73-1,658.59
Other Assets6,929.26,412.039,274.674,804.48341.23570.7548.66771.26965.392,316.99
Total Assets57,547.1853,552.1257,635.1454,915.9544,435.9645,510.749,583.9450,667.5149,126.0541,100.84
Contingent Liabilities17,030.939,529.188,225.8313,112.9412,480.2311,009.7611,634.9911,059.9212,546.9411,215.04

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...6,241.27
Depreciation2,821.75
Interest (Net)1,294.23
Dividend Received0.09
P/L on Sales of Assets4.48
P/L on Sales of Invest-80.62
Prov. and W/O (Net)-12.18
P/L in Forex39.23
Others-160.75
Total Adjustments (PBT and Ext...4,094.33
Operating Profit before Workin...10,335.6
Trade and 0ther Receivables-743.26
Inventories-1,190.58
Trade Payables-12.8
Total Adjustments (OP before W...-3,652.15
Cash Generated from/(used in) ...6,683.45
Direct Taxes Paid-675.1
Total Adjustments(Cash Generat...-675.1
Cash Flow before Extraordinary...6,008.35
Net Cash from Operating Activi...6,008.35
Purchased of Fixed Assets-8,517.09
Sale of Fixed Assets90.48
Sale of Investments176
Interest Received243.42
Cancellation of Investment in ...119.36
Net Cash used in Investing Act...-8,344.07
Proceed from 0ther Long Term B...6,857.28
Proceed from Bank Borrowings1,587.47
Of the Long Tem Borrowings-4,983.72
Of Financial Liabilities-97.57
Dividend Paid-200.48
Interest Paid-1,621.18
Net Cash used in Financing Act...1,381.05
Net Profit before Tax and Extr...7,150.7
Depreciation2,216.47
Interest (Net)920.79
Dividend Received0.09
P/L on Sales of Assets5.63
P/L on Sales of Invest-80.83
Prov. and W/O (Net)-8.42
P/L in Forex-76.13
Others-160.75
Total Adjustments (PBT and Ext...3,005.97
Operating Profit before Workin...10,156.67
Trade and 0ther Receivables-1,113.26
Inventories-513.89
Trade Payables-189.7
Total Adjustments (OP before W...-2,802.98
Cash Generated from/(used in) ...7,353.69
Direct Taxes Paid-444.62
Total Adjustments(Cash Generat...-444.62
Cash Flow before Extraordinary...6,909.07
Net Cash from Operating Activi...6,909.07
Purchased of Fixed Assets-3,531.69
Sale of Fixed Assets88.93
Purchase of Investments-1,690.2
Sale of Investments203.26
Interest Received212.6
Net Cash used in Investing Act...-5,080.8
Proceed from 0ther Long Term B...3,081.35
Proceed from Bank Borrowings1,147.65
Of the Long Tem Borrowings-4,983.72
Of Financial Liabilities-70.87
Dividend Paid-200.48
Interest Paid-1,357.08
Net Cash used in Financing Act...-2,543.9

Company Details

Registered Office
AddressO P Jindal Marg,
CityHisar
StateHaryana
Pin Code125005
Tel. No.91-1662-222471-84
Fax. No.91-1662-220476
Emailinvestorcare@jindalsteel.com
Internethttp://www.jindalsteelpower.com
Registrars
AddressO P Jindal Marg
CityHisar
StateHaryana
Pin Code125005
Tel. No.91-1662-222471-84
Fax. No.91-1662-220476
Emailinvestorcare@jindalsteel.com
Internethttp://www.jindalsteelpower.com
Management
Name Designation
Naveen JindalExecutive Chairman
Damodar MittalWhole-time Director
Sabyasachi BandyopadhyayWhole-time Director
ROHIT KUMARIndependent Director
Bhaskar ChatterjeeIndependent Director
Sunjay KapurIndependent Director
Shivani Wazir PasrichIndependent Director
Kanika AgnihotriIndependent Director
Anoop Singh JunejaCompany Sec. & Compli. Officer
Savitri JindalChairperson Emeritus