Eveready Industries India Ltd

NSE :EVEREADY   BSE :531508  Sector : Dry cells
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22 Nov
374.70
(0.74%)
21 Nov
371.95
(-2.54%)
19 Nov
381.65
(5.14%)
18 Nov
363.00
(-0.89%)
14 Nov
366.25
(0.37%)
13 Nov
364.90
(-4.05%)
12 Nov
380.30
(-2.61%)
11 Nov
390.50
(-1.03%)
08 Nov
394.55
(-0.32%)
07 Nov
395.80
(-1.98%)
06 Nov
403.80
(2.01%)
05 Nov
395.85
(1.34%)
04 Nov
390.60
(-3.46%)
01 Nov
404.60
(0.42%)
31 Oct
402.90
(1.40%)
30 Oct
397.35
(1.75%)
29 Oct
390.50
(-0.90%)
28 Oct
394.05
(4.09%)
25 Oct
378.55
(-5.48%)
24 Oct
400.50
(0.30%)
23 Oct
399.30
(-2.04%)


Technical Analysis

Short Term Investors

Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Neutral

Moving Averages

5 DMA
Bullish

371.4


10 DMA
Bearish

378.31


20 DMA
Bearish

387.05


50 DMA
Bearish

421.04


100 DMA
Bearish

423.31


200 DMA
Bearish

382.02



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 387.55 383.2 377.07 - -
R2 383.2 379.91 376.28 383.23 -
R1 378.95 377.89 375.49 379.01 381.08
P 374.6 374.6 374.6 374.63 375.66
S1 370.35 371.31 373.91 370.41 372.48
S2 366 369.29 373.12 366.03 -
S3 361.75 366 372.34 - -

Key Metrics

EPS

10.36

P/E

36.08

P/B

6.25

Dividend Yield

0.27%

Market Cap

2,723 Cr.

Face Value

5

Book Value

59.79

ROE

18.67%

EBITDA Growth

47.45 Cr.

Debt/Equity

1

Shareholding Pattern

  43.19% Total Promoter Holding
2.56% Mutual Fund Holdings
3.92% FIIs
50.2% Non Institution
0% Insurance Companies
0% Custodians
0.13% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Eveready Industries India Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 364.94 305.29 280.52 349.59 363.28
PROFIT 25.44 8.41 8.05 29.36 29.56
EPS 3.5 1.16 1.11 4.04 4.07

Eveready Industries India Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 364.94 305.18 280.52 349.59 363.11
PROFIT 25.45 8.38 8.04 29.36 29.5
EPS 3.5 1.15 1.11 4.04 4.06

Profit & Loss (Figures in Rs. Crores)


Eveready Industries India Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 1293.19 1315.71 1418 1484.1 1499.19 1409.63 1259.99 1200.8 1352.51 1314.98
PROFIT 48.58 69.02 93.73 49.25 60.92 50.19 316.67 46.14 27.02 67.57
EPS 6.73 9.29 12.87 7.31 6.58 24.53 -42.86 6.39 3.8 9.19

Eveready Industries India Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 1293.19 1315.04 1416.44 1484.25 1450.38 1399.57 1259.98 1200.79 1345.01 1314.85
PROFIT 48.68 69.07 93.83 50.79 60.34 51.3 319.09 47.15 19.58 67.54
EPS 6.74 9.3 12.88 7.53 6.5 24.7 -42.53 6.53 2.77 9.18

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 36.3436.3436.3436.3436.3436.3436.3436.3436.3436.34
Reserves Total 350.37283.09253.72208.57519.17339.56306.38253.16169.95588.26
Total Shareholders Funds386.71319.43290.06244.91555.51375.9342.72289.5206.29624.6
Secured Loans 131.29201.01348.41325.87310.14325.04241.21171.39172.61130.16
Unsecured Loans 175.25197.0347.1121.1283.8382.9922.7944.727.8297.59
Total Debt306.54398.04395.51446.99393.97408.03264216.09200.43227.75
Other Liabilities12.397.969.1510.169.799.7510.3610.489.49.32
Total Liabilities705.64725.43694.72702.06959.27793.68617.08516.07416.12861.67
APPLICATION OF FUNDS :
Gross Block 481.52471.67446.64437.03426.61412.34405.46362.95235.931,325.53
Less: Accumulated Depreciation188.35162.04141.6123.0198.1169.7248.0328.813.89629.17
Net Block293.17309.63305.04314.02328.5342.62357.43334.15222.04696.36
Capital Work in Progress7.971.454.132.822.974.742.836.422.0727.79
Investments 7.57.501.375.446.63000.060
Inventories 250.45259.65240.72245.43210.38252.8300.11284.44238.06259.55
Sundry Debtors 113.43102.3935.5835.4250.38136.04120.6183.8770.5448.92
Cash and Bank Balance8.17.0753.1287.0511.157.245.575.657.227.08
Loans and Advances 91.8493.7481.82117.08546.6353.38198.1947.9567.4832.67
Total Current Assets463.81462.84411.24484.98818.51749.46624.47421.9383.3348.22
Current Liabilities 233.45236.72215.62290.29234.15377.94378.51260.97230.77219.63
Provisions 2420.7728.6729.5657.4130.8626.9227.0222.5510.47
Total Current Liabilities & Provisions257.46257.49244.29319.85291.56408.79405.43287.99253.32230.1
Net Current Assets206.36205.35166.95165.13526.95340.67219.05133.91129.97118.12
Deferred Tax Assets199.88200.91210.34203.6530.7130.6423.9622.218.075.94
Deferred Tax Liability39.1538.9337.7236.7336.1535.530.1923.4217.9714.81
Net Deferred Tax160.73161.98172.62166.92-5.44-4.86-6.23-1.220.1-8.87
Other Assets29.9139.5245.9851.81100.85103.884442.8341.8828.28
Total Assets705.64725.43694.72702.07959.27793.68617.09516.08416.12861.69
Contingent Liabilities196.43194.13195.97196.55359.09514.93232.0155.4460.3259.2
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 36.3436.3436.3436.3436.3436.3436.3436.3436.3436.34
Reserves Total 347.43280.21258.75212.75520.78340.35307.92253.18170.02588.44
Total Shareholders Funds383.77316.55295.09249.09557.12376.69344.26289.52206.36624.78
Secured Loans 131.29201.01348.41325.87310.14317.54241.21171.39172.61130.16
Unsecured Loans 175.25197.0347.1121.1283.8366.54.8525.3414.6677.11
Total Debt306.54398.04395.51446.99393.97384.04246.06196.73187.27207.27
Other Liabilities12.397.969.1510.169.799.7510.3610.489.49.32
Total Liabilities702.7722.55699.75706.24960.88770.48600.68496.73403.03841.37
APPLICATION OF FUNDS :
Gross Block 481.52471.67446.64437.03426.61412.34405.46362.95235.931,325.53
Less : Accumulated Depreciation 188.35162.04141.6123.0198.1169.7248.0328.813.89629.17
Net Block 293.17309.63305.04314.02328.5342.62357.43334.15222.04696.36
Capital Work in Progress7.971.454.132.822.974.742.836.422.0727.79
Investments 10.1610.1610.1610.1610.1610.162.662.662.712.66
Inventories 250.45259.65240.72245.43210.38252.8300.11284.3237.41259.55
Sundry Debtors 113.43102.3935.5835.4250.38105.3120.6183.8770.5448.92
Cash and Bank Balance2.56.1552.0284.8110.075.24.083.12.692.67
Loans and Advances 91.8393.7281.8117.41548.64355.06199.7448.3567.6332.74
Total Current Assets458.2461.91410.12483.06819.47718.37624.53419.61378.28343.88
Current Liabilities 233.44241.32219.62293.13238.35373.68397.62280.68241.51238.25
Provisions 2420.7728.6729.4157.2730.7426.9227.0122.5510.47
Total Current Liabilities & Provisions257.44262.1248.29322.54295.62404.42424.54307.69264.06248.72
Net Current Assets200.76199.81161.83160.52523.85313.94199.99111.92114.2295.16
Deferred Tax Assets199.88200.91210.34203.6530.7130.6423.9622.218.075.94
Deferred Tax Liability39.1538.9337.7236.7336.1535.530.1923.4217.9714.81
Net Deferred Tax160.73161.98172.62166.92-5.44-4.86-6.23-1.220.1-8.87
Other Assets29.9139.5245.9851.81100.85103.8843.9942.8341.8828.28
Total Assets702.7722.55699.76706.25960.89770.48600.68496.75403.02841.39
Contingent Liabilities196.43194.13195.97196.55359.09514.93232.0155.4460.3259.2

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...80.65
Depreciation30.26
Interest (Net)29.64
P/L on Sales of Assets0.96
Prov. and W/O (Net)-8.28
P/L in Forex0.5
Total Adjustments (PBT and Ext...52.86
Operating Profit before Workin...133.51
Trade and 0ther Receivables-9.22
Inventories15.68
Trade Payables0.82
Loans and Advances0.31
Total Adjustments (OP before W...9.51
Cash Generated from/(used in) ...143.02
Direct Taxes Paid10.89
Total Adjustments(Cash Generat...10.89
Cash Flow before Extraordinary...153.91
Net Cash from Operating Activi...153.91
Purchased of Fixed Assets-34.25
Sale of Fixed Assets0.61
Capital Subsidy Received5
Interest Received2.68
Net Cash used in Investing Act...-22.88
Of the Long Tem Borrowings-69.65
Of the Short Term Borrowings-19
Of Financial Liabilities-8.17
Interest Paid-29.99
Net Cash used in Financing Act...-126.81
Net Profit before Tax and Extr...80.61
Depreciation30.26
Interest (Net)29.63
P/L on Sales of Assets0.96
Prov. and W/O (Net)-8.28
P/L in Forex0.5
Total Adjustments (PBT and Ext...52.85
Operating Profit before Workin...133.47
Trade and 0ther Receivables-9.22
Inventories15.68
Trade Payables-3.81
Loans and Advances0.31
Total Adjustments (OP before W...4.88
Cash Generated from/(used in) ...138.35
Direct Taxes Paid10.89
Total Adjustments(Cash Generat...10.89
Cash Flow before Extraordinary...149.24
Net Cash from Operating Activi...149.24
Purchased of Fixed Assets-34.25
Sale of Fixed Assets0.61
Capital Subsidy Received5
Interest Received2.68
Net Cash used in Investing Act...-22.9
Of the Long Tem Borrowings-69.65
Of the Short Term Borrowings-19
Of Financial Liabilities-8.17
Interest Paid-29.99
Net Cash used in Financing Act...-126.81

Company Details

Registered Office
Address2 Rainey Park,
CityKolkata
StateWest Bengal
Pin Code700019
Tel. No.91-33-24559213/24864961
Fax. No.91-33-24864673
Emailinvestorrelation@eveready.co.in; tehnazpunwani@eve
Internethttp://www.evereadyindustries.com; www.evereadyind
Registrars
Address2 Rainey Park
CityKolkata
StateWest Bengal
Pin Code700019
Tel. No.91-33-24559213/24864961
Fax. No.91-33-24864673
Emailinvestorrelation@eveready.co.in; tehnazpunwani@eve
Internethttp://www.evereadyindustries.com; www.evereadyind
Management
Name Designation
T PunwaniVice President & CS
Mahesh ShahIndependent Director
Roshan L JosephIndependent Director
Suvamoy SahaManaging Director
Arundhuti DharIndependent Director
Utsav ParekhNon Executive Director
Sourav BhagatIndependent Director
Girish MehtaNon Executive Director
Sunil SikkaIndependent Director
Anand C BurmanChairman (Non-Executive)
Mohit BurmanNon Executive Director
Sunil Kumar AlaghIndependent Director
Arjun LambaNon Executive Director
Sharad KumarIndependent Director