Piramal Enterprises Ltd

NSE :PEL   BSE :500302  Sector : Finance
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13 Nov
1012.30
(-1.06%)
12 Nov
1023.15
(-1.34%)
11 Nov
1037.00
(-1.02%)
08 Nov
1047.65
(-1.80%)
07 Nov
1066.90
(-2.50%)
06 Nov
1094.25
(2.06%)
05 Nov
1072.15
(2.01%)
04 Nov
1051.00
(-1.40%)
01 Nov
1065.95
(0.45%)
31 Oct
1061.20
(-1.65%)
30 Oct
1079.00
(-0.42%)
29 Oct
1083.50
(0.78%)
28 Oct
1075.15
(2.22%)
25 Oct
1051.80
(-0.04%)
24 Oct
1052.25
(0.77%)
23 Oct
1044.25
(1.81%)
22 Oct
1025.65
(-0.58%)
21 Oct
1031.60
(-0.42%)
18 Oct
1035.95
(-0.01%)
17 Oct
1036.05
(-6.16%)
16 Oct
1104.10
(0.75%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Bullish

Moving Averages

5 DMA
Bearish

1037.77


10 DMA
Bearish

1052.88


20 DMA
Bearish

1052.35


50 DMA
Bearish

1062.93


100 DMA
Bearish

1018.01


200 DMA
Bullish

943.09



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 1055.89 1039.87 1020.5 - -
R2 1039.87 1028.49 1017.76 1040.43 -
R1 1026.09 1021.45 1015.03 1027.21 1032.98
P 1010.07 1010.07 1010.07 1010.63 1013.51
S1 996.29 998.69 1009.57 997.41 1003.18
S2 980.27 991.65 1006.84 980.83 -
S3 966.49 980.27 1004.11 - -

Key Metrics

EPS

37.93

P/E

26.72

P/B

1.05

Dividend Yield

0.98%

Market Cap

22,825 Cr.

Face Value

2

Book Value

965.31

ROE

1.25%

EBITDA Growth

1,549.63 Cr.

Debt/Equity

1.79

Shareholding Pattern

  46.3% Total Promoter Holding
7.78% Mutual Fund Holdings
14.93% FIIs
23.41% Non Institution
5.16% Insurance Companies
0.41% Custodians
2.01% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Piramal Enterprises Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 2275.89 2619.01 4045.71 2256.68 2486.18
PROFIT 38.61 1162.21 -1380.46 105.57 102.85
EPS 2.03 -105.83 6.1 8.08 7.23

Piramal Enterprises Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 534.33 698.84 2745.57 568.69 555.02
PROFIT 3 617.35 -73.39 218.77 92.47
EPS 0.13 -47.16 42.44 10.14 5.13

Profit & Loss (Figures in Rs. Crores)


Piramal Enterprises Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 8147.87 6900.14 8780.5 10898.88 12511.58 14623.41 13612.22 8841.27 17849.07 10332.09
PROFIT 462.84 863.56 1263.1 5119.1 1765.6 13.02 1273.46 1794.39 1992.76 360.15
EPS 80.71 27.87 33.33 143.57 42.44 0.51 34.3 45.87 417.71 -74.94

Piramal Enterprises Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 5774.44 3969.03 4166.46 3936.74 4117.16 2937.62 2080.58 2853.7 17056.81 3825.21
PROFIT 202.27 945.69 776.91 520.03 348.58 128.9 125.42 950.91 2511.45 797.99
EPS 11.48 30.67 23.93 15.38 -25.16 3.52 0.97 22.9 600.6 21.1

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 44.9347.7347.7345.11115.7636.8936.0534.5134.5134.51
Reserves Total 26,512.1231,011.3535,441.432,445.528,999.1323,823.4322,168.6214,848.0612,913.8411,701.42
Equity Application Money0001,527.351,527.353,363.954,357.72000
Total Shareholders Funds26,557.0531,059.0835,489.1334,017.9630,642.2427,224.2726,562.3914,882.5712,948.3511,735.93
Minority Interest001,347.781,12109.031213.210.1229.11
Secured Loans49,694.7746,043.3852,970.3128,461.2525,919.729,849.1224,747.2711,945.53,432.221,750.61
Unsecured Loans3,916.313,539.432,569.0911,095.8116,247.8526,187.5919,413.5318,505.4812,846.575,555.49
Total Loan Funds53,611.0849,582.8155,539.439,557.0642,167.5556,036.7144,160.830,450.9816,278.797,306.1
Other Liabilities000172.82205.32243.95247.7259.3146.83128.83
Total Liabilities80,168.1380,641.8992,376.3174,868.8473,015.1183,513.9670,982.8945,606.0629,374.0919,199.97
APPLICATION OF FUNDS :
Loan / Non-Current Assets 53,790.2144,779.6549,289.010000000
Gross Block 4,380.683,491.6511,851.259,960.768,070.3412,619.7811,782.3710,552.427,779.88,876.19
Less: Accumulated Depreciation991.71228.882,717.792,100.41,654.871,422.811,056.84579.72254.521,810.96
Net Block3,388.973,262.779,133.467,860.366,415.4711,196.9710,725.539,972.77,525.287,065.23
Capital Work in Progress19.576.251,188.03635.66517.11493.72647.18879.63355.02277.14
Investments 12,51322,331.7924,856.5322,029.2619,442.7925,747.1228,842.1525,180.6116,316.77,767.89
Inventories 001,5331,299.231,061.17831.33774.02723.07723.77674.94
Sundry Debtors 12.8819.41,621.221,544.731,324.391,403.331,355.451,107.74970.81831.73
Cash and Bank Balance4,446.84,649.087,187.187,024.724,771.12918.572,467.011,540.9365.94460.08
Loans and Advances 4,404.865,241.063,667.616,436.656,006.016,660.142,020.431,923.311,797.92,008.23
Total Current Assets8,864.549,909.5414,009.0116,305.3313,162.699,813.376,616.915,295.023,858.423,974.98
Current Liabilities 2,110.822,266.613,467.531,671.721,427.991,782.921,637.852,451.61,432.841,221.11
Provisions 326.05843.663,836.87355.62457.26297.1150.47150.95142.52512.07
Total Current Liabilities & Provisions2,436.873,110.277,304.42,027.341,885.252,080.021,788.322,602.551,575.361,733.18
Net Current Assets6,427.676,799.276,704.6114,277.9911,277.447,733.354,828.592,692.472,283.062,241.8
Deferred Tax Assets2,978.792,019.491,559.31,188.72,750.024,541.964,541.73820.98469.82161.57
Deferred Tax Liability103.24172.31383.58474.14385.92492.98326.51226.52182.15134.7
Net Deferred Tax2,875.551,847.181,175.72714.562,364.14,048.984,215.22594.46287.6726.87
Other Assets1,153.161,614.9828.9529,351.0132,998.234,293.8221,724.226,286.192,606.361,821.04
Total Assets80,168.1380,641.8992,376.3174,868.8473,015.1183,513.9670,982.8945,606.0629,374.0919,199.97
Contingent Liabilities930.98955.870773.43978.67933.13939.07896.982,719.111,056.1
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 44.9347.735,366.4645.1145.1136.8936.0534.5134.5134.51
Reserves Total 21,546.6323,986.7324,037.7921,611.2821,055.5216,091.0916,943.0814,388.0912,766.111,412.33
Equity Application Money0001,527.351,527.353,363.954,357.72000
Total Shareholders Funds21,591.5624,034.4629,404.2523,183.7422,627.9819,491.9321,336.8514,422.612,800.6111,446.84
Secured Loans7,004.496,741.95391.273,486.214,609.085,291.144,220.091,950.412,343.77469.93
Unsecured Loans866.551,973.312,669.283,207.126,009.2412,196.410,380.48,305.0111,215.913,391.7
Total Loan Funds7,871.048,715.263,060.556,693.3310,618.3217,487.5414,600.4910,255.4213,559.683,861.63
Other Liabilities000106.6188.99162.5631.5636.5145.3997.5
Total Liabilities29,462.632,749.7232,464.829,983.6733,435.2937,142.0335,968.924,714.5326,405.6815,405.97
APPLICATION OF FUNDS :
Loan / Non-Current Assets 9,764.468,218.6910,534.870000000
Gross Block 1,458.061,421.221,512.241,456.882,343.192,233.442,086.581,246.361,032.061,461.47
Less: Accumulated Depreciation 721.4755.8878.3568.05553.93409.54279.39171.5677.62705.38
Net Block736.591,365.341,433.891,388.831,789.261,823.91,807.191,074.8954.44756.09
Capital Work in Progress9.52.723.461.31119.4397.95111.71601.86102.8861.41
Investments 14,349.5617,435.6418,392.5919,825.2919,438.9223,014.1323,730.5817,274.2118,053.8210,222.68
Inventories 00212.55102.04423.56362.89382.58343.11375.15321.08
Sundry Debtors 00145.77155.08657.1616.14492.96491.43404.58327.59
Cash and Bank Balance1,359.191,881.51,516.53966.1178.7466.14554.82124.0739.4840.39
Loans and Advances 2,559.683,244.69828.651,086.17584.78882.21640.841,267.991,915.623,478.14
Total Current Assets3,918.875,126.192,703.52,309.41,744.181,927.382,071.22,226.62,734.834,167.2
Current Liabilities 163.17169.2663.87552.84847.67731.48710.49705.08610.9524.84
Provisions 179.95185.11202.1161.57192.91114.9852.7555.11100.62501.77
Total Current Liabilities & Provisions343.12354.31865.97714.411,040.58846.46763.24760.19711.521,026.61
Net Current Assets3,575.754,771.881,837.531,594.99703.61,080.921,307.961,466.412,023.313,140.59
Deferred Tax Assets693.67755.31307.66160.58229.69594.75503.04523.79444.49132.09
Deferred Tax Liability357.34339.5145.239.22194.81302.16233.66173.84147.41132.09
Net Deferred Tax336.33415.8262.46121.3634.88292.59269.38349.95297.080
Other Assets690.41539.6507,051.8911,349.210,832.548,742.083,947.34,974.151,225.2
Total Assets29,462.632,749.7232,464.829,983.6733,435.2937,142.0335,968.924,714.5326,405.6815,405.97
Contingent Liabilities697.84722.51793.98604.93835.75917.49925.19881.733,121.524,337.7

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...-1,345.54
Depreciation828.96
Interest (Net)-285.03
Dividend Received147.89
P/L on Sales of Assets-8.25
Prov. and W/O (Net)-2,470.03
Others-2,168.13
Total Adjustments (PBT and Ext...1,400.38
Operating Profit before Workin...54.84
Trade and 0ther Receivables-61.47
Trade Payables-104.75
Loans and Advances-7,159.32
Investments7,167.69
Total Adjustments (OP before W...-342.24
Cash Generated from/(used in) ...-287.4
Total Adjustments(Cash Generat...313.83
Cash Flow before Extraordinary...26.43
Net Cash from Operating Activi...26.43
Purchased of Fixed Assets-1,269.69
Sale of Fixed Assets31.27
Purchase of Investments-78,816.59
Sale of Investments78,206.26
Interest Received82.45
Net Cash used in Investing Act...-1,871.6
Proceed from 0ther Long Term B...17,548.66
Of the Long Tem Borrowings-13,250.97
Dividend Paid-739.86
Net Cash used in Financing Act...1,389.7
Net Profit before Tax and Extr...901.74
Depreciation672.63
Interest (Net)-151.29
P/L on Sales of Invest5.69
Prov. and W/O (Net)408.05
Others-2,168.13
Total Adjustments (PBT and Ext...1,999.1
Operating Profit before Workin...2,900.84
Trade Payables-25.48
Loans and Advances-2,682.1
Investments2,752.06
Total Adjustments (OP before W...113.25
Cash Generated from/(used in) ...3,014.09
Total Adjustments(Cash Generat...77.36
Cash Flow before Extraordinary...3,091.45
Net Cash from Operating Activi...3,091.45
Purchased of Fixed Assets-50.66
Purchase of Investments-35,030.37
Sale of Investments35,191.76
Interest Received10.21
Net Cash used in Investing Act...166.89
Proceed from 0ther Long Term B...5,992.9
Of the Long Tem Borrowings-6,811.19
Of Financial Liabilities-6.27
Dividend Paid-739.86
Interest Paid-2.15
Net Cash used in Financing Act...-3,734.7

Company Details

Registered Office
AddressPiramal Ananta Agastya Corp Pa,
LBS Marg Kurla (W)
CityMumbai
StateMaharashtra
Pin Code400070
Tel. No.91-22-3802 3083/3000/4000
Fax. No.91-22-3802 3084
Emailcomplianceofficer.pel@piramal.com
Internethttp://www.piramal.com
Registrars
AddressPiramal Ananta Agastya Corp Pa
CityMumbai
StateMaharashtra
Pin Code400070
Tel. No.91-22-3802 3083/3000/4000
Fax. No.91-22-3802 3084
Emailcomplianceofficer.pel@piramal.com
Internethttp://www.piramal.com
Management
Name Designation
Ajay G PiramalChairman & Exec. Director
Swati A PiramalVice Chairperson
Nandini PiramalNon Executive Director
Anand PiramalNon Executive Director
Bipin SinghCompany Sec. & Compli. Officer
Vijay ShahNon Executive Director
Suhail NathaniIndependent Director
KUNAL BAHLIndependent Director
Anjali BansalIndependent Director
Shikha SharmaNon Executive Director
Puneet Yadu DalmiaIndependent Director
Anita M GeorgeIndependent Director
Rajiv Mehrishi.Independent Director
Gautam DoshiIndependent Director
Asheet MehtaIndependent Director