Persistent Systems Ltd

NSE :PERSISTENT   BSE :533179  Sector : IT - Software
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13 Nov
5640.60
(-0.70%)
12 Nov
5680.15
(-0.73%)
11 Nov
5721.65
(0.93%)
08 Nov
5668.70
(-1.20%)
07 Nov
5737.40
(0.35%)
06 Nov
5717.65
(5.49%)
05 Nov
5420.20
(1.15%)
04 Nov
5358.50
(-0.57%)
01 Nov
5389.00
(0.31%)
31 Oct
5372.50
(-4.37%)
30 Oct
5617.85
(-0.93%)
29 Oct
5670.50
(0.07%)
28 Oct
5666.50
(-0.08%)
25 Oct
5670.90
(-0.36%)
24 Oct
5691.20
(-0.48%)
23 Oct
5718.75
(10.87%)
22 Oct
5158.20
(-1.70%)
21 Oct
5247.65
(-4.69%)
18 Oct
5506.15
(-0.54%)
17 Oct
5536.00
(-0.14%)
16 Oct
5543.85
(-1.55%)


Technical Analysis

Short Term Investors

Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bearish

5689.62


10 DMA
Bullish

5570.75


20 DMA
Bullish

5559.54


50 DMA
Bullish

5427.23


100 DMA
Bullish

5068.39


200 DMA
Bullish

4482.38



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 5808.4 5754.2 5671.13 - -
R2 5754.2 5711.8 5660.95 5753.55 -
R1 5697.4 5685.6 5650.78 5696.1 5725.8
P 5643.2 5643.2 5643.2 5642.55 5657.4
S1 5586.4 5600.8 5630.43 5585.1 5614.8
S2 5532.2 5574.6 5620.25 5531.55 -
S3 5475.4 5532.2 5610.08 - -

Key Metrics

EPS

62.73

P/E

90.13

P/B

16.09

Dividend Yield

0.45%

Market Cap

87,909 Cr.

Face Value

5

Book Value

351.43

ROE

24.51%

EBITDA Growth

526.25 Cr.

Debt/Equity

0.12

Shareholding Pattern

  30.66% Total Promoter Holding
22.04% Mutual Fund Holdings
23.33% FIIs
16.96% Non Institution
4.88% Insurance Companies
1.67% Custodians
0.46% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Persistent Systems Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 2448.95 2536.53 2621.31 2767.81 2943.67
PROFIT 263.27 286.13 315.32 306.42 325
EPS 35 37.83 20.73 20.09 21.19

Persistent Systems Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 1730.1 1709.04 1666.08 2754.53 2897.35
PROFIT 298.39 259.77 183.96 247.94 285.96
EPS 38.79 33.77 11.95 16.11 18.46

Profit & Loss (Figures in Rs. Crores)


Persistent Systems Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 1985.07 2389.62 2974.29 3152.8 3453.6 3698.19 4295.66 5854.71 8421.21 9949.61
PROFIT 284.23 259.66 302.78 309.47 324.89 329.16 426 662.93 928.39 1070.24
EPS 17.16 16.52 11.49 20.2 22.23 22.27 29.49 45.17 30.13 70.98

Persistent Systems Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 1338.17 1526.61 1827.58 1860.43 2063.66 2268.02 2597.23 3707.94 5191.42 6678.71
PROFIT 252.78 232.79 287.08 328.08 288.85 395.67 478.72 659.42 802.14 959.54
EPS 15.2 14.79 17.77 21.38 19.91 26.68 33.05 44.87 25.88 63.98

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 77.0376.4376.4376.4376.4379.1280808080
Reserves Total 4,880.683,888.653,291.82,719.242,309.332,265.562,047.21,819.261,577.781,325.53
Total Shareholders Funds4,957.713,965.083,368.232,795.672,385.762,344.682,127.21,899.261,657.781,405.53
Secured Loans 197.4224.9400000000
Unsecured Loans 253.73432.62578.2298.4471.371.672.192.723.274.49
Total Debt451.13657.56578.2298.4471.371.672.192.723.274.49
Other Liabilities59.14329.68233.4124.0918.2817.6815.9816.5912.4411.75
Total Liabilities5,467.984,952.324,179.862,918.22,475.412,364.032,145.371,918.571,673.491,421.77
APPLICATION OF FUNDS :
Gross Block 4,272.764,089.083,018.091,787.41,628.731,425.561,380.661,247.861,098.13940.76
Less: Accumulated Depreciation2,051.281,747.751,484.511,330.461,197.21,024.77868.52711.9661533.11
Net Block2,221.482,341.331,533.58456.94431.53400.79512.14535.96437.13407.65
Capital Work in Progress33.5316.14107.1212.1830.3431.565.2428.9626.534
Investments 826.57639.57822.46999.62978.57764.12879.74683.91638.37673.53
Sundry Debtors 1,676.111,525.32948.43570.9592.2492.3484.74475.38427.55358.58
Cash and Bank Balance1,022.89903.28914.46980.9457.22672.88241.4150.96143.9141.62
Loans and Advances 1,151.53830.04541.35481.02419.67395.77456.18327.56272.95144.28
Total Current Assets3,850.533,258.652,404.242,032.821,469.091,560.951,182.31953.9844.4644.48
Current Liabilities 1,515.971,225.97809.4463.66442.45307.67326.5277.62324177.32
Provisions 387.8494.34429.84283.66174.32183.9171.9139.11122.36175.52
Total Current Liabilities & Provisions1,903.771,720.31,239.24747.33616.76491.57498.4416.73446.36352.85
Net Current Assets1,946.761,538.341,1651,285.49852.321,069.38683.91537.18398.03291.64
Deferred Tax Assets306.56263.79127.07116.51117.9381.61100.8350.8337.3757.61
Deferred Tax Liability172.47150.8614.812.7521.9341.163.6731.2624.4726.32
Net Deferred Tax134.09112.93112.27103.769640.5137.1619.5712.931.29
Other Assets305.56304.01439.4460.286.6457.6627.17112.99160.5513.66
Total Assets5,467.984,952.324,179.862,918.192,475.42,364.022,145.371,918.571,673.51,421.77
Contingent Liabilities334.34545.271,697.74390.18007.7145.2200
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 77.0376.4376.4376.4376.4379.1280808080
Reserves Total 4,701.633,865.233,242.462,689.12,222.112,142.071,973.21,734.411,484.651,274.88
Total Shareholders Funds4,778.663,941.663,318.892,765.532,298.542,221.192,053.21,814.411,564.651,354.88
Secured Loans 0.190.1900000000
Unsecured Loans 150.4155.7476.3938.637.411.672.192.723.274.49
Total Debt150.59155.9376.3938.637.411.672.192.723.274.49
Other Liabilities55.6737.9424.5524.0918.2816.0314.3413.9511.7311.41
Total Liabilities4,984.924,135.533,419.832,828.222,354.232,238.892,069.731,831.081,579.651,370.78
APPLICATION OF FUNDS :
Gross Block 1,464.391,416.591,062.47835.2782.78722.76711.72697.87740.9717.35
Less : Accumulated Depreciation 860.13728.4643.88559.54546.26501.35467.58425.55448.82410.17
Net Block 604.26688.19418.59275.66236.52221.41244.14272.32292.08307.18
Capital Work in Progress32.6715.63107.111.2318.557.211.482.891.384
Investments 1,670.461,402.521,308.171,415.451,354.461,083.951,142.12943.41768.91769.33
Sundry Debtors 1,682.951,049.83442.68296.63288.31242.99342.51478.14381.51254.21
Cash and Bank Balance649.93540.98660.17824.97293.8522.43118.1949.7353.6591.25
Loans and Advances 903.39708.59514.62377357.02344.58322.68171.27190.71102.54
Total Current Assets3,236.272,299.41,617.471,498.6939.131,110783.38699.14625.87448
Current Liabilities 834.17501.41279.71301.29236.29178.27156.5164.34156.4875.99
Provisions 232.93261.85251.31145.7771.0671.752.765350.14115.69
Total Current Liabilities & Provisions1,067.1763.26531.02447.06307.35249.98209.26217.34206.61191.68
Net Current Assets2,169.181,536.131,086.451,051.54631.78860.02574.12481.8419.26256.32
Deferred Tax Assets56.2748.9141.8939.5641.8329.5722.1320.1920.0523.17
Deferred Tax Liability6.899.1415.2214.9810.124.0218.9731.2623.0611.62
Net Deferred Tax49.3839.7726.6724.5831.735.553.16-11.07-3.0111.55
Other Assets458.97453.28472.8349.7781.1960.74104.72141.75101.0322.4
Total Assets4,984.914,135.523,419.822,828.222,354.222,238.892,069.731,831.091,579.651,370.78
Contingent Liabilities334.34545.27665.71208.5422.032.651.5245.2200

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...1,447.61
Depreciation309.37
Interest (Net)-9.52
P/L on Sales of Assets-2.26
P/L on Sales of Invest-28.91
Prov. and W/O (Net)-58.33
P/L in Forex10.55
Total Adjustments (PBT and Ext...320.24
Operating Profit before Workin...1,767.85
Trade and 0ther Receivables-181.06
Trade Payables438.63
Total Adjustments (OP before W...-205.17
Cash Generated from/(used in) ...1,562.68
Direct Taxes Paid-341.37
Total Adjustments(Cash Generat...-341.37
Cash Flow before Extraordinary...1,221.31
Net Cash from Operating Activi...1,221.31
Sale of Fixed Assets4.87
Purchase of Investments-5,072.38
Sale of Investments4,912.28
Interest Received59.74
Net Cash used in Investing Act...-432.1
Proceeds from Issue of shares ...160.78
Of the Long Tem Borrowings-223.37
Of Financial Liabilities-76.02
Dividend Paid-408.36
Interest Paid-46.73
Net Cash used in Financing Act...-593.7
Net Profit before Tax and Extr...1,316.53
Depreciation162.36
Interest (Net)-54.55
Dividend Received25
P/L on Sales of Assets-2.3
P/L on Sales of Invest-3.65
Prov. and W/O (Net)4.36
P/L in Forex-31.56
Total Adjustments (PBT and Ext...70.37
Operating Profit before Workin...1,386.9
Trade and 0ther Receivables-644.43
Trade Payables351.08
Total Adjustments (OP before W...-503.88
Cash Generated from/(used in) ...883.02
Direct Taxes Paid-312.21
Total Adjustments(Cash Generat...-312.21
Cash Flow before Extraordinary...570.81
Net Cash from Operating Activi...570.81
Sale of Fixed Assets2.82
Purchase of Investments-5,047.11
Sale of Investments4,886.7
Interest Received75.93
Net Cash used in Investing Act...-44.75
Proceeds from Issue of shares ...160.78
Of the Long Tem Borrowings-0.18
Of Financial Liabilities-52.04
Dividend Paid-415.4
Interest Paid-16.99
Net Cash used in Financing Act...-323.83

Company Details

Registered Office
AddressBhageerath,
402 Senapati Bapat Road
CityPune
StateMaharashtra
Pin Code411016
Tel. No.91-020-67030000/67462084
Fax. No.91-020-67030008/67030009
Emailinvestors@persistent.com; info@persistent.com
Internethttp://www.persistent.com
Registrars
AddressBhageerath
CityPune
StateMaharashtra
Pin Code411016
Tel. No.91-020-67030000/67462084
Fax. No.91-020-67030008/67030009
Emailinvestors@persistent.com; info@persistent.com
Internethttp://www.persistent.com
Management
Name Designation
Anand DeshpandeChairman & Managing Director
Amit AtreCompany Sec. & Compli. Officer
Roshini BakshiIndependent Director
Sandeep KalraExecutive Director & CEO
Praveen KadleIndependent Director
Sunil Yeshwant SapreExecutive Director
Avani DavdaIndependent Director
Danl LewinIndependent Director
Arvind GoelIndependent Director
Ambuj GoyalIndependent Director
Ajit Keshav RanadeIndependent Director
Anjali JoshiIndependent Director