Crompton Greaves Consumer Electricals Ltd

NSE :CROMPTON   BSE :539876  Sector : Consumer Durables
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22 Nov
393.05
(2.91%)
21 Nov
381.95
(-2.24%)
19 Nov
390.70
(1.68%)
18 Nov
384.25
(3.56%)
14 Nov
371.05
(-3.62%)
13 Nov
385.00
(-1.38%)
12 Nov
390.40
(-0.04%)
11 Nov
390.55
(-2.02%)
08 Nov
398.60
(2.22%)
07 Nov
389.95
(-3.11%)
06 Nov
402.45
(4.40%)
05 Nov
385.50
(0.19%)
04 Nov
384.75
(-1.89%)
01 Nov
392.15
(0.29%)
31 Oct
391.00
(-0.64%)
30 Oct
393.50
(0.50%)
29 Oct
391.55
(0.57%)
28 Oct
389.35
(-0.66%)
25 Oct
391.95
(-0.91%)
24 Oct
395.55
(-0.20%)
23 Oct
396.35
(-0.43%)


Technical Analysis

Short Term Investors

Neutral

Medium Term Investors

Bearish

Long Term Investors

Bullish

Moving Averages

5 DMA
Bullish

384.17


10 DMA
Bullish

387.54


20 DMA
Bullish

389.69


50 DMA
Bearish

414.83


100 DMA
Bearish

428.47


200 DMA
Bullish

378.63



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Nov 22, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 411.94 403.32 396.83 - -
R2 403.32 398.07 395.57 404.19 -
R1 398.19 394.82 394.31 399.93 400.75
P 389.57 389.57 389.57 390.44 390.85
S1 384.44 384.32 391.79 386.18 387
S2 375.82 381.07 390.53 376.69 -
S3 370.69 375.82 389.27 - -

Key Metrics

EPS

8.35

P/E

47.04

P/B

7.62

Dividend Yield

0.76%

Market Cap

25,301 Cr.

Face Value

2

Book Value

51.54

ROE

15.61%

EBITDA Growth

219.94 Cr.

Debt/Equity

0.3

Shareholding Pattern

  0% Total Promoter Holding
41.66% Mutual Fund Holdings
36.01% FIIs
13.61% Non Institution
7.03% Insurance Companies
0% Custodians
1.69% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Crompton Greaves Consumer Electricals Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 1797.15 1709.36 1977.04 2161.47 1913.53
PROFIT 97.22 85.99 138.36 151.72 124.9
EPS 1.52 1.35 2.16 2.36 1.94

Crompton Greaves Consumer Electricals Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 1488.59 1473.03 1811.05 1981.29 1660.83
PROFIT 94.79 95.37 160.97 157.62 123.28
EPS 1.48 1.49 2.52 2.45 1.92

Profit & Loss (Figures in Rs. Crores)


Crompton Greaves Consumer Electricals Ltd Profit & Loss


Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 4125.2 4550.21 4705.6 4918.33 5426.46 7002.32 7497.76
PROFIT 323.79 401.39 496.39 597.18 588.43 463.21 439.92
EPS 5.17 6.4 7.91 9.82 9.13 7.49 6.87

Crompton Greaves Consumer Electricals Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 0 1853.21 3942.91 4125.2 4550.46 4697.13 4863.78 5413.65 6006.54 6549.31
PROFIT -1.87 114.13 284.78 323.79 395.14 494.7 585.38 593.48 471.48 466.45
EPS 0 1.68 4.52 5.17 6.42 7.89 9.63 9.37 7.48 7.25

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018
SOURCES OF FUNDS :
Share Capital 128.62127.22126.68125.54125.46125.4125.36
Reserves Total 3,037.892,699.662,326.281,805.891,342.87971.94664.14
Equity Application Money-166.89-166.8900000
Total Shareholders Funds2,999.622,659.992,452.961,931.431,468.331,097.34789.5
Minority Interest449.35447.71782.450000
Secured Loans 598.97922.18606.44478.78349.72649.26648.55
Unsecured Loans 84.2282.931,079.2939.33000
Total Debt683.191,005.111,685.73518.11349.72649.26648.55
Other Liabilities207.76144.42117.62112.419.1117.2917.48
Total Liabilities4,339.924,257.235,038.762,561.941,837.161,763.891,455.53
APPLICATION OF FUNDS :
Gross Block 3,518.363,466.33,389.371,005.56970.53899.08884.93
Less: Accumulated Depreciation321.53216.36115.990.5761.5635.9323.35
Net Block3,196.833,249.943,273.47914.99908.97863.15861.58
Capital Work in Progress58.4826.511310.8619.90.980.61
Investments 689.1548.18624.17769.73540.82541.21367.58
Inventories 830.44743.85721.04518.64463.61352.38303.24
Sundry Debtors 720.89670.56593.6460.81463.46565.98553.64
Cash and Bank Balance260.77109.48915.19603.9548.12143.05177.38
Loans and Advances 203.6186.57189.76226.39225.66117.2585.5
Total Current Assets2,015.71,710.462,419.591,809.791,200.851,178.661,119.76
Current Liabilities 1,504.481,205.251,188.16933.09749.02753.95861.76
Provisions 227.36179.68182.24102.4165.64151.81107.7
Total Current Liabilities & Provisions1,731.841,384.931,370.41,035.49914.66905.76969.46
Net Current Assets283.86325.531,049.19774.3286.19272.9150.3
Deferred Tax Assets85.1190.8672.7967.1152.5560.5252.23
Deferred Tax Liability95.05103.13112.228.561.880.274.38
Net Deferred Tax-9.94-12.27-39.4358.5550.6760.2547.85
Other Assets121.59119.34118.3633.5130.6125.427.61
Total Assets4,339.924,257.235,038.762,561.941,837.161,763.891,455.53
Contingent Liabilities292.15188.05180.94171.66115.0858.1860.29
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 128.62127.22126.68125.54125.46125.4125.36125.35125.350.05
Reserves Total 3,076.862,711.752,328.981,793.451,342.34973.08664.14392.4103.37-1.87
Total Shareholders Funds3,205.482,838.972,455.661,918.991,467.81,098.48789.5517.75228.72-1.82
Secured Loans 598.97922.18399.53478.79349.72649.26648.55647.84644.450
Unsecured Loans 80.48781,232.8939.33000000
Total Debt679.451,000.181,632.42518.12349.72649.26648.55647.84644.450
Other Liabilities205.08144.42117.62112.419.1117.2917.4817.5514.550
Total Liabilities4,090.013,983.574,205.72,549.511,836.631,765.031,455.531,183.14887.72-1.82
APPLICATION OF FUNDS :
Gross Block 1,328.161,285.11,214.891,005.56970.53899.08884.93872.52981.830
Less : Accumulated Depreciation 207.9163.09115.990.5761.5635.9323.3511.01123.820
Net Block 1,120.261,122.011,098.99914.99908.97863.15861.58861.51858.010
Capital Work in Progress50.9923.697.510.8619.90.980.610.050.070
Investments 2,556.352,458.982,017.82775.27553.78544.18367.58318.8700
Inventories 698618.75511.35517.77463.61352.38303.24273.35209.980
Sundry Debtors 580.12529.8490.7452.36458.71565.98553.64472.82416.510
Cash and Bank Balance215.2747.8903.78594.5247.06142.41177.3869.74900.05
Loans and Advances 184.37165.17135.4186.45210.78115.6785.568.6956.340
Total Current Assets1,677.761,361.522,041.231,751.11,180.161,176.441,119.76884.6772.830.05
Current Liabilities 1,344.561,042.331,006.68897.6742.64752.96861.76843737.32.86
Provisions 139.91119.78113.7296.88164.77151.81107.787.1628.030
Total Current Liabilities & Provisions1,484.471,162.111,120.4994.48907.41904.77969.46930.16765.332.86
Net Current Assets193.29199.41920.83756.62272.75271.67150.3-45.567.5-2.81
Deferred Tax Assets81.6386.8860.0266.8252.563.7652.2333.969.140.99
Deferred Tax Liability27.0717.2211.888.561.884.114.384.484.820
Net Deferred Tax54.5669.6648.1458.2650.6259.6547.8529.484.320.99
Other Assets114.56109.82112.4233.5130.6125.427.6118.7917.820
Total Assets4,090.013,983.574,205.72,549.511,836.631,765.031,455.531,183.14887.72-1.82
Contingent Liabilities536.71434.47178.26171.66115.0858.1860.2946.946.910

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...573.07
Depreciation128.82
Interest (Net)40.58
P/L on Sales of Assets0.57
P/L in Forex0.51
Total Adjustments (PBT and Ext...146.07
Operating Profit before Workin...719.14
Trade and 0ther Receivables-47.49
Inventories-86.59
Trade Payables281.53
Total Adjustments (OP before W...222.63
Cash Generated from/(used in) ...941.77
Direct Taxes Paid-98.36
Total Adjustments(Cash Generat...-98.36
Cash Flow before Extraordinary...843.41
Net Cash from Operating Activi...843.41
Purchased of Fixed Assets-83.79
Sale of Fixed Assets3.28
Purchase of Investments-114.5
Sale of Investments0.35
Interest Received43.17
Net Cash used in Investing Act...-206.89
Proceeds from Issue of shares ...89.34
On Redemption of Debenture-325
Of Financial Liabilities-39.01
Dividend Paid-191.24
Interest Paid-75.39
Net Cash used in Financing Act...-541.3
Net Profit before Tax and Extr...611.04
Depreciation65.23
Interest (Net)37.49
P/L on Sales of Assets0.72
P/L in Forex0.58
Total Adjustments (PBT and Ext...81.76
Operating Profit before Workin...692.8
Trade and 0ther Receivables-47.48
Inventories-79.25
Trade Payables278.46
Total Adjustments (OP before W...191.38
Cash Generated from/(used in) ...884.18
Direct Taxes Paid-88.21
Total Adjustments(Cash Generat...-88.21
Cash Flow before Extraordinary...795.97
Net Cash from Operating Activi...795.97
Purchased of Fixed Assets-64.48
Sale of Fixed Assets2.73
Purchase of Investments-73.04
Interest Received39.2
Net Cash used in Investing Act...-175.59
Proceeds from Issue of shares ...89.34
On Redemption of Debenture-325
Of Financial Liabilities-37.32
Dividend Paid-191.16
Interest Paid-69.51
Net Cash used in Financing Act...-533.65

Company Details

Registered Office
AddressTower 3 1st Floor East Wing,
Equinox Busi Park LBS Marg Kur
CityMumbai
StateMaharashtra
Pin Code400070
Tel. No.91-022-61678499
Fax. No.91-022-61678383
Emailcrompton.investorrelations@crompton.co.in
Internethttp://www.crompton.co.in
Registrars
AddressTower 3 1st Floor East Wing
CityMumbai
StateMaharashtra
Pin Code400070
Tel. No.91-022-61678499
Fax. No.91-022-61678383
Emailcrompton.investorrelations@crompton.co.in
Internethttp://www.crompton.co.in
Management
Name Designation
D SundaramIndependent Director
Pangulury Mohan MurtyIndependent Director
S KhoslaExecutive Vice Chairman
Promeet GhoshManaging Director & CEO
Smita AnandIndependent Director
P R RameshIndependent Director
Hiroo MirchandaniIndependent Director
Rashmi Khandelwal.Company Sec. & Compli. Officer
Anil ChaudhryIndependent Director
Sanjiv KakkarIndependent Director