Reliance Industries Ltd

NSE :RELIANCE   BSE :500325  Sector : Refineries
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52 WK low / high

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20 Dec
1205.30
(-2.04%)
19 Dec
1230.45
(-1.82%)
18 Dec
1253.25
(0.64%)
17 Dec
1245.30
(-1.81%)
16 Dec
1268.30
(-0.36%)
13 Dec
1272.85
(0.79%)
12 Dec
1262.90
(-1.20%)
11 Dec
1278.20
(-0.52%)
10 Dec
1284.85
(-0.80%)
09 Dec
1295.15
(-1.25%)
06 Dec
1311.55
(-0.79%)
05 Dec
1322.05
(1.00%)
04 Dec
1308.95
(-1.08%)
03 Dec
1323.30
(1.08%)
02 Dec
1309.15
(1.31%)
29 Nov
1292.20
(1.68%)
28 Nov
1270.80
(-1.73%)
27 Nov
1293.20
(-0.19%)
26 Nov
1295.70
(0.68%)
25 Nov
1287.00
(1.71%)
22 Nov
1265.40
(3.47%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bearish

1240.56


10 DMA
Bearish

1259.82


20 DMA
Bearish

1280.63


50 DMA
Bearish

1302.59


100 DMA
Bearish

1389.12


200 DMA
Bearish

1433.43



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Dec 20, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 1267.36 1253.43 1215.75 - -
R2 1253.43 1238.91 1212.27 1250.9 -
R1 1229.36 1229.95 1208.78 1224.3 1241.4
P 1215.43 1215.43 1215.43 1212.9 1221.45
S1 1191.36 1200.91 1201.82 1186.3 1203.4
S2 1177.43 1191.95 1198.33 1174.9 -
S3 1153.36 1177.43 1194.85 - -

Key Metrics

EPS

27

P/E

44.67

P/B

3.11

Dividend Yield

0.41%

Market Cap

16,31,056 Cr.

Face Value

10

Book Value

387.45

ROE

10.47%

EBITDA Growth

43,933 Cr.

Debt/Equity

0.6

Shareholding Pattern

  49.11% Total Promoter Holding
8.37% Mutual Fund Holdings
19.63% FIIs
10.93% Non Institution
8.36% Insurance Companies
2.25% Custodians
1.35% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Reliance Industries Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 235727 229108 241067 235767 236411
PROFIT 17394 17265 18951 15138 16563
EPS 25.71 25.52 28.01 22.37 24.48

Reliance Industries Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 140314 130664 150329 133400 133909
PROFIT 11208 9924 11283 7611 7713
EPS 16.56 14.67 16.68 11.25 11.4

Profit & Loss (Figures in Rs. Crores)


Reliance Industries Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 382565 283728 319935 410295 582378 615854 514217 737191 920274 922391
PROFIT 22293.36 29771.21 29985.21 36176.47 39647.87 42851.29 43761.21 58518.64 66824.35 69820.95
EPS 17.59 22.77 22.67 27.4 30.23 28.29 37.85 45.52 49.71 58.4

Reliance Industries Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 335854 236808 255573 301494 383732 350442 279865 445537 557546 543962
PROFIT 21756.83 27412.13 28306.16 33624.5 35190.47 34307.11 27648 39161.69 45153.61 41877.71
EPS 15.78 19 21.73 23.86 24.94 21.92 22.5 26.22 29.65 31.07

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 6,7666,7666,7656,4456,3395,9265,9222,9592,9482,943
Reserves Total 7,86,7157,09,1067,72,7206,53,8844,42,8263,81,1842,87,5692,60,7462,28,6002,15,539
Equity Application Money00039,84312154817
Total Shareholders Funds7,93,4817,15,8727,79,4857,00,1724,49,1663,87,1122,93,5062,63,7092,31,5562,18,499
Minority Interest1,32,3071,13,0091,09,49999,26012,1818,2803,5392,9173,3563,038
Secured Loans 43,60344,83618,89919,04745,07739,56223,07629,03415,49410,637
Unsecured Loans 4,15,3884,06,8283,00,2592,59,9153,10,0562,68,1522,16,7671,88,4411,79,2201,57,614
Total Debt4,58,9914,51,6643,19,1582,78,9623,55,1333,07,7142,39,8432,17,4751,94,7141,68,251
Other Liabilities12,19110,23014,48517,74321,05916,72311,44811,3783,4803,257
Total Liabilities13,96,97012,90,77512,22,62710,96,1378,37,5397,19,8295,48,3364,95,4794,33,1063,93,045
APPLICATION OF FUNDS :
Gross Block 11,14,58210,18,0028,83,6147,75,8127,43,7785,96,5225,81,2843,61,2933,35,4992,88,866
Less: Accumulated Depreciation3,34,5972,93,1972,55,8162,34,5542,11,1201,98,1481,77,3991,62,7671,50,5891,32,408
Net Block7,79,9857,24,8056,27,7985,41,2585,32,6583,98,3744,03,8851,98,5261,84,9101,56,458
Capital Work in Progress3,38,8552,93,7521,72,5061,25,9531,09,1061,79,4631,87,0223,24,8372,28,6971,66,462
Investments 2,25,6722,35,5603,94,2643,64,8282,76,7672,35,63582,86282,89984,01576,451
Inventories 1,52,7701,40,0081,07,77881,67273,90367,56160,83748,95146,48653,248
Sundry Debtors 31,62828,44823,64019,01419,65630,08917,5558,1774,4655,315
Cash and Bank Balance97,22568,66436,17817,39730,92011,0814,2553,02311,02812,545
Loans and Advances 82,30769,70371,3051,02,48260,86647,63243,53629,40223,30314,455
Total Current Assets3,63,9303,06,8232,38,9012,20,5651,85,3451,56,3631,26,18389,55385,28285,563
Current Liabilities 2,84,6002,54,1542,25,4581,85,5702,72,3632,31,3282,37,1621,88,3561,43,62293,075
Provisions 2,1752,1781,9362,5041,8901,3261,2321,7691,7755,392
Total Current Liabilities & Provisions2,86,7752,56,3322,27,3941,88,0742,74,2532,32,6542,38,3941,90,1251,45,39798,467
Net Current Assets77,15550,49111,50732,491-88,908-76,291-1,12,211-1,00,572-60,115-12,904
Deferred Tax Assets24,38722,37118,85422,59326,41426,04020,5266,7322,2177,009
Deferred Tax Liability95,69081,14667,45558,44777,63771,18745,06927,93022,71119,983
Net Deferred Tax-71,303-58,775-48,601-35,854-51,223-45,147-24,543-21,198-20,494-12,974
Other Assets46,60644,94265,15367,46159,13927,79511,32110,98716,09319,552
Total Assets13,96,97012,90,77512,22,62710,96,1378,37,5397,19,8295,48,3364,95,4794,33,1063,93,045
Contingent Liabilities16,95915,92228,93324,39635,18932,13418,47429,92747,94733,123
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 6,7666,7666,7656,4456,3396,3396,3353,2513,2403,236
Reserves Total 5,08,3304,72,3124,64,7624,28,1953,84,8753,98,9813,08,2972,85,0582,50,7502,12,923
Equity Application Money00039,84312154817
Total Shareholders Funds5,15,0964,79,0784,71,5274,74,4833,91,2154,05,3223,14,6472,88,3132,53,9982,16,176
Secured Loans 36,48237,47711,20516,33237,44715,2312,65610,5944,6852,227
Unsecured Loans 1,78,0931,81,2291,86,2342,08,3512,61,1521,46,4891,14,22596,8521,02,41995,393
Total Debt2,14,5752,18,7061,97,4392,24,6832,98,5991,61,7201,16,8811,07,4461,07,10497,620
Other Liabilities4,5231,8805,3123,1484,8442,9872,7092,1181,0661,404
Total Liabilities7,34,1946,99,6646,74,2787,02,3146,94,6585,70,0294,34,2373,97,8773,62,1683,15,200
APPLICATION OF FUNDS :
Gross Block 5,00,5974,66,5614,13,7234,74,7144,68,7233,65,0343,53,0092,97,3522,82,2122,36,062
Less : Accumulated Depreciation 2,00,9671,84,2601,74,1071,67,8811,62,2451,61,8461,52,0451,42,7741,34,6691,21,499
Net Block 2,99,6302,82,3012,39,6163,06,8333,06,4782,03,1882,00,9641,54,5781,47,5431,14,563
Capital Work in Progress61,63254,35734,66232,83527,9651,11,55799,4831,32,7411,10,90575,753
Investments 3,70,0633,51,1414,08,7973,47,2854,91,8233,31,6832,25,2221,92,4501,57,2501,12,573
Inventories 85,10084,75645,92337,43738,80244,14439,56834,01828,03436,551
Sundry Debtors 14,74024,14314,3944,1597,48312,11010,4605,4723,4954,661
Cash and Bank Balance69,24861,00721,7145,5738,4853,7682,7311,7546,89211,571
Loans and Advances 24,87447,47762,06368,88541,85433,20217,87613,13112,00112,854
Total Current Assets1,93,9622,17,3831,44,0941,16,05496,62493,22470,63554,37550,42265,637
Current Liabilities 1,88,2181,88,0141,72,6681,39,6702,25,4121,57,6161,54,4441,22,83594,58965,054
Provisions 9721,0148969011,0737839181,2681,1704,854
Total Current Liabilities & Provisions1,89,1901,89,0281,73,5641,40,5712,26,4851,58,3991,55,3621,24,10395,75969,908
Net Current Assets4,77228,355-29,470-24,517-1,29,861-65,175-84,727-69,728-45,337-4,271
Deferred Tax Assets49439548520,3034209548420438279
Deferred Tax Liability36,75334,36331,31751,09150,97648,27128,76824,76624,18512,956
Net Deferred Tax-36,259-33,968-30,832-30,788-50,556-47,317-27,926-24,766-23,747-12,677
Other Assets34,35617,47851,49570,66648,80936,09321,22112,60215,55429,259
Total Assets7,34,1946,99,6646,74,2787,02,3146,94,6585,70,0294,34,2373,97,8773,62,1683,15,200
Contingent Liabilities19,45517,67424,26718,98834,2721,06,78460,97370,71872,53257,892

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...1,04,727
Depreciation50,832
Interest (Net)12,373
Dividend Received75
P/L on Sales of Assets178
P/L on Sales of Invest-1,921
P/L in Forex-1,330
Others-1,078
Total Adjustments (PBT and Ext...59,656
Operating Profit before Workin...1,64,383
Trade and 0ther Receivables-15,674
Inventories-12,756
Trade Payables34,796
Total Adjustments (OP before W...6,366
Cash Generated from/(used in) ...1,70,749
Direct Taxes Paid-11,961
Total Adjustments(Cash Generat...-11,961
Cash Flow before Extraordinary...1,58,788
Net Cash from Operating Activi...1,58,788
Purchased of Fixed Assets-1,52,883
Sale of Fixed Assets15,307
Purchase of Investments-5,14,380
Sale of Investments5,31,355
Interest Received10,648
Net Cash used in Investing Act...-1,13,581
Proceeds from Issue of shares ...20,915
Proceed from 0ther Long Term B...69,610
Of the Long Tem Borrowings-35,055
Of the Short Term Borrowings-25,293
Of Financial Liabilities-2,483
Dividend Paid-6,089
Interest Paid-37,173
Net Cash used in Financing Act...-16,646
Net Profit before Tax and Extr...55,273
Depreciation17,690
Interest (Net)4,081
Dividend Received59
P/L on Sales of Assets113
P/L on Sales of Invest-372
P/L in Forex-1,307
Total Adjustments (PBT and Ext...20,146
Operating Profit before Workin...75,419
Trade and 0ther Receivables9,930
Inventories-344
Trade Payables-1,761
Total Adjustments (OP before W...7,825
Cash Generated from/(used in) ...83,244
Direct Taxes Paid-9,246
Total Adjustments(Cash Generat...-9,246
Cash Flow before Extraordinary...73,998
Net Cash from Operating Activi...73,998
Purchased of Fixed Assets-34,258
Sale of Fixed Assets62
Purchase of Investments-3,75,590
Sale of Investments3,94,803
Interest Received9,858
Invest.In Subsidiaires-40,506
Cancellation of Investment in ...4,305
Net Cash used in Investing Act...-38,292
Proceeds from Issue of shares ...7
Proceed from 0ther Long Term B...38,592
Of the Long Tem Borrowings-23,930
Of the Short Term Borrowings-19,074
Of Financial Liabilities-98
Dividend Paid-6,089
Interest Paid-16,873
Net Cash used in Financing Act...-27,465

Company Details

Registered Office
Address3rd Floor Maker Chambers IV,
222 Nariman Point
CityMumbai
StateMaharashtra
Pin Code400021
Tel. No.91-22-22785000 / 35555000
Fax. No.91-22-22042268 / 22852214
Emailinvestor.relations@ril.com
Internethttp://www.ril.com
Registrars
Address3rd Floor Maker Chambers IV
CityMumbai
StateMaharashtra
Pin Code400021
Tel. No.91-22-22785000 / 35555000
Fax. No.91-22-22042268 / 22852214
Emailinvestor.relations@ril.com
Internethttp://www.ril.com
Management
Name Designation
Mukesh D AmbaniChairman & Managing Director
Nikhil MeswaniExecutive Director
Hital R MeswaniExecutive Director
PMS PrasadExecutive Director
Raminder Singh GujralIndependent Director
Shumeet BanerjiIndependent Director
Arundhati BhattacharyaIndependent Director
Savithri ParekhCompany Sec. & Compli. Officer
K V ChoudharyNon Executive Director
His Excellency Yasir Othman H. Al RumayyanIndependent Director
K V KamathIndependent Director
ISHA MUKESH AMBANINon Executive Director
AKASH MUKESH AMBANINon Executive Director
Anant M. AmbaniNon Executive Director
H KhaitanIndependent Director