Bata India Ltd

NSE :BATAINDIA   BSE :500043  Sector : Leather
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18 Apr
1343.55
(0.34%)
16 Apr
1339.00
(-0.26%)
15 Apr
1342.45
(-3.25%)
12 Apr
1387.50
(0.52%)
10 Apr
1380.35
(2.77%)
09 Apr
1343.20
(-0.22%)
08 Apr
1346.15
(-0.97%)
05 Apr
1359.40
(-0.91%)
04 Apr
1371.90
(0.17%)
03 Apr
1369.55
(-0.33%)
02 Apr
1374.10
(0.36%)
01 Apr
1369.20
(0.37%)
28 Mar
1364.20
(-0.23%)
27 Mar
1367.30
(-0.37%)
26 Mar
1372.40
(-0.74%)
22 Mar
1382.70
(0.22%)
21 Mar
1379.65
(0.33%)
20 Mar
1375.10
(0.27%)
19 Mar
1371.45
(-0.42%)
18 Mar
1377.25
(-0.95%)
15 Mar
1390.50
(-1.18%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bearish

1358.26


10 DMA
Bearish

1358.13


20 DMA
Bearish

1365.6


50 DMA
Bearish

1401.05


100 DMA
Bearish

1494.94


200 DMA
Bearish

1574.57



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Apr 18, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 1389.04 1378.52 1351.25 - -
R2 1378.52 1367.82 1348.68 1376.78 -
R1 1361.04 1361.22 1346.12 1357.56 1369.78
P 1350.52 1350.52 1350.52 1348.78 1354.89
S1 1333.04 1339.82 1340.98 1329.56 1341.78
S2 1322.52 1333.22 1338.42 1320.78 -
S3 1305.04 1322.52 1335.85 - -

Key Metrics

EPS

22.57

P/E

59.53

P/B

12.34

Dividend Yield

1%

Market Cap

17,268 Cr.

Face Value

5

Book Value

108.89

ROE

19.86%

EBITDA Growth

192.49 Cr.

Debt/Equity

0.72

Shareholding Pattern

  50.16% Total Promoter Holding
15.37% Mutual Fund Holdings
8.24% FIIs
13.28% Non Institution
12.93% Insurance Companies
0% Custodians
0.02% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Bata India Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 907.8 788.52 971.42 834.62 914.52
PROFIT 83.19 65.62 106.89 58.68 57.98
EPS 5.47 5.11 8.32 2.64 4.51

Bata India Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 907.72 791.19 971.37 834.56 914.26
PROFIT 83.11 65.56 107.84 59.37 57.31
EPS 6.47 5.1 8.39 2.68 4.46

Profit & Loss (Figures in Rs. Crores)


Bata India Ltd Profit & Loss


Dec 2013Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 2215.28 2881.21 2545.92 2548.53 2737.1 3079.06 3158.78 1540.84 2699.16 3526.34
PROFIT 199.15 211.13 168.91 175.83 221.58 330.3 331.06 -82.5 102.51 322.21
EPS 14.86 14.4 16.91 12.37 17.16 25.6 25.59 -6.95 8.01 25.13

Bata India Ltd Profit & Loss


Dec 2013Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 2215.14 2881.03 2532.26 2540.16 2738.01 3079.5 3156.56 1539.61 2699.07 3525.01
PROFIT 204.7 210.96 169.64 175.63 224.65 330.97 329.03 -83.47 100.41 321.13
EPS 14.84 14.39 16.93 12.35 17.4 25.65 25.44 -7.02 7.85 24.83

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Dec 2013
SOURCES OF FUNDS :
Share Capital 64.2664.2664.2664.2664.2664.2664.2664.2664.2664.26
Reserves Total 1,373.951,750.391,693.831,829.661,677.581,410.431,260.061,156.66956.92775.61
Total Shareholders Funds1,438.211,814.651,758.091,893.921,741.841,474.691,324.321,220.921,021.18839.87
Unsecured Loans 1,246.451,094.211,032.281,249.11000000
Total Debt1,246.451,094.211,032.281,249.11000000
Other Liabilities0.472.032.062.51102.52105.93103.97102.8797.7679.28
Total Liabilities2,685.132,910.892,792.433,145.541,844.361,580.621,428.291,323.791,118.94919.15
APPLICATION OF FUNDS :
Gross Block 1,822.351,626.381,474.551,674.92569.21489.68406.04381.76697.84603.89
Less: Accumulated Depreciation430.51400.48355.05305.48252.7193.26138.0977.66389.13355.59
Net Block1,391.841,225.91,119.51,369.44316.51296.42267.95304.1308.71248.3
Capital Work in Progress3.775.1833.6119.8617.2512.1229.8419.0448.1723.71
Investments 0.5000000000
Inventories 904.56870.91608.28873.68839.37765.17713.8685.35704.7582.69
Sundry Debtors 82.5571.7279.3763.2766.3589.3569.417158.4250.92
Cash and Bank Balance531.2968.781,096.82963.92840.32591.19522.04342.47210.06255.75
Loans and Advances 95.288.6573.31102.3594.46109.1856.6758.842.5133.79
Total Current Assets1,613.512,000.051,857.772,003.221,840.491,554.91,361.911,157.621,015.69923.16
Current Liabilities 578587.6513.77571.98578.39532.54479.14402.69441.8373.81
Provisions 8.5426.6626.2514.9351.3328.2415.716.5776.2389.07
Total Current Liabilities & Provisions586.53614.26540.02586.91629.72560.78494.84409.26518.03462.87
Net Current Assets1,026.981,385.791,317.751,416.311,210.76994.11867.07748.36497.66460.29
Deferred Tax Assets113.33104.16138.4110.99109.85105.48100.5489.0887.6268.08
Net Deferred Tax113.33104.16138.4110.99109.85105.48100.5489.0887.6268.08
Other Assets148.71189.86183.17228.95189.99172.49162.9163.22176.79118.77
Total Assets2,685.142,910.892,792.443,145.551,844.361,580.621,428.31,323.81,118.95919.15
Contingent Liabilities39.0682.8441.1741.2443.5946.0557.794.9476.7267.36
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Dec 2013
SOURCES OF FUNDS :
Share Capital 64.2664.2664.2664.2664.2664.2664.2664.2664.2664.26
Reserves Total 1,369.641,749.961,695.511,832.321,682.271,414.451,261.021,157.82957.88776.74
Total Shareholders Funds1,433.91,814.221,759.771,896.581,746.531,478.711,325.281,222.081,022.14841
Unsecured Loans 1,245.011,094.211,032.281,249.11000000
Total Debt1,245.011,094.211,032.281,249.11000000
Other Liabilities0.472.032.062.51102.52105.93103.97102.8797.7679.28
Total Liabilities2,679.382,910.462,794.113,148.21,849.051,584.641,429.251,324.951,119.9920.28
APPLICATION OF FUNDS :
Gross Block 1,819.351,624.331,472.51,672.86567.16487.63403.99379.75695.48601.53
Less : Accumulated Depreciation 430.3400.29354.87305.33252.59193.17138.0477.64388.79355.29
Net Block 1,389.051,224.041,117.631,367.53314.57294.46265.95302.11306.69246.24
Capital Work in Progress3.775.1833.6119.8617.2512.1229.8419.0448.1723.71
Investments 4.854.854.954.954.954.954.954.954.954.85
Inventories 904.26870.91608.28873.68839.09762.11705.44678.9704.7582.69
Sundry Debtors 82.5571.7279.3761.2365.388.6367.1569.6458.4250.92
Cash and Bank Balance523.19964.821,093.56962.35839588.49520.91340.51209.97255.73
Loans and Advances 95.0188.575.82102.3394.09108.3556.0858.8540.6432.18
Total Current Assets1,605.011,995.941,857.031,999.61,837.471,547.591,349.581,147.891,013.72921.52
Current Liabilities 577.52587.52513.61571.81578.25531.98477.68398.86441.78373.8
Provisions 8.5326.6626.2514.9351.3328.2415.666.5775.7588.68
Total Current Liabilities & Provisions586.04614.18539.86586.74629.59560.22493.35405.43517.53462.47
Net Current Assets1,018.971,381.771,317.171,412.861,207.88987.37856.23742.45496.19459.05
Deferred Tax Assets114.05104.85138.4110.99109.78105.39100.4389.0887.6268.08
Net Deferred Tax114.05104.85138.4110.99109.78105.39100.4389.0887.6268.08
Other Assets148.69189.78182.35232.01194.62180.36171.85167.32176.29118.36
Total Assets2,679.382,910.472,794.113,148.21,849.051,584.651,429.251,324.951,119.91920.28
Contingent Liabilities39.0682.8441.1741.2443.5946.0557.794.9476.7267.36

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...429.84
Depreciation294.78
Interest (Net)72.4
P/L on Sales of Assets-1.09
Prov. and W/O (Net)8.23
P/L in Forex-0.33
Total Adjustments (PBT and Ext...373.99
Operating Profit before Workin...803.82
Trade and 0ther Receivables-18.22
Inventories-33.65
Trade Payables-46.96
Total Adjustments (OP before W...-77.57
Cash Generated from/(used in) ...726.25
Direct Taxes Paid-97.44
Total Adjustments(Cash Generat...-97.44
Cash Flow before Extraordinary...628.82
Net Cash from Operating Activi...628.82
Purchased of Fixed Assets-95.41
Sale of Fixed Assets5.73
Interest Received31.89
Net Cash used in Investing Act...438.53
Of Financial Liabilities-205.95
Dividend Paid-698.91
Interest Paid-105.68
Net Cash used in Financing Act...-1,010.53
Net Profit before Tax and Extr...425.63
Depreciation294.74
Interest (Net)72.65
P/L on Sales of Assets2.77
Prov. and W/O (Net)8.34
P/L in Forex-0.33
Total Adjustments (PBT and Ext...378.16
Operating Profit before Workin...803.79
Trade and 0ther Receivables-18.22
Inventories-33.35
Trade Payables-47.53
Total Adjustments (OP before W...-77.75
Cash Generated from/(used in) ...726.04
Direct Taxes Paid-97.18
Total Adjustments(Cash Generat...-97.18
Cash Flow before Extraordinary...628.86
Net Cash from Operating Activi...628.86
Purchased of Fixed Assets-95.37
Sale of Fixed Assets1.34
Interest Received31.64
Net Cash used in Investing Act...438.46
Of Financial Liabilities-205.92
Dividend Paid-698.91
Interest Paid-105.68
Net Cash used in Financing Act...-1,010.5

Company Details

Registered Office
Address27B Camac Street,
1st Floor
CityKolkata
StateWest Bengal
Pin Code700016
Tel. No.91-033-2301 4400
Fax. No.91-033-2289 5748
Emailshare.dept@bata.com
Internethttp://www.bata.in
Registrars
Address27B Camac Street
CityKolkata
StateWest Bengal
Pin Code700016
Tel. No.91-033-2301 4400
Fax. No.91-033-2289 5748
Emailshare.dept@bata.com
Internethttp://www.bata.in
Management
Name Designation
Akshay ChudasamaIndependent Director
Ravindra DhariwalIndependent Director
ASHOK KUMAR BARATIndependent Director
Ashwani WindlassChairman & Independent Directo
Nitin BagariaCompany Sec. & Compli. Officer
Shaibal SinhaNon-Exec & Non-Independent Dir
Radha RajappaIndependent Director
Gunjan ShahManaging Director & CEO
Kanchan ChehalNon Executive Director
Anil SomaniDirector (Finance) & CFO