Mindtree Ltd

NSE :MINDTREE   BSE :532819  Sector : IT - Software
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22 Nov
3433.85
(0.14%)
21 Nov
3429.00
(-2.20%)
18 Nov
3506.15
(-0.97%)
17 Nov
3540.60
(-2.55%)
16 Nov
3633.25
(-2.10%)
15 Nov
3711.35
(-1.47%)
14 Nov
3766.75
(2.79%)
11 Nov
3664.40
(5.30%)
10 Nov
3479.80
(-0.12%)
09 Nov
3484.00
(-0.61%)
07 Nov
3505.40
(1.06%)
04 Nov
3468.60
(-0.84%)
03 Nov
3497.95
(-0.09%)
02 Nov
3501.25
(-0.21%)
01 Nov
3508.70
(3.08%)
31 Oct
3403.75
(3.67%)
28 Oct
3283.35
(-2.24%)
27 Oct
3358.70
(-3.08%)
25 Oct
3465.35
(1.24%)
24 Oct
3422.80
(-0.40%)
21 Oct
3436.45
(-0.59%)


Technical Analysis

Short Term Investors

Bearish

Medium Term Investors

Bearish

Long Term Investors

Bearish

Moving Averages

5 DMA
Bearish

0


10 DMA
Bearish

0


20 DMA
Bearish

0


50 DMA
Bearish

0


100 DMA
Bearish

0


200 DMA
Bearish

0



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Nov 22, 2022 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 3538.84 3496.42 3454.12 - -
R2 3496.42 3468.27 3447.36 3499.2 -
R1 3465.14 3450.87 3440.61 3470.7 3480.78
P 3422.72 3422.72 3422.72 3425.5 3430.54
S1 3391.44 3394.57 3427.09 3397 3407.08
S2 3349.02 3377.17 3420.34 3351.8 -
S3 3317.74 3349.02 3413.58 - -

Key Metrics

EPS

114.63

P/E

29.95

P/B

9.99

Dividend Yield

0.79%

Market Cap

56,643 Cr.

Face Value

10

Book Value

0

ROE

33.76%

EBITDA Growth

744.3 Cr.

Debt/Equity

0.11

Shareholding Pattern

  60.95% Total Promoter Holding
6.86% Mutual Fund Holdings
12.06% FIIs
15.14% Non Institution
4.71% Insurance Companies
0.03% Custodians
0.25% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Mindtree Ltd Quaterly Results


Sep 2021Dec 2021Mar 2022Jun 2022Sep 2022
INCOME 2661 2820.8 2987.3 3160.6 3449
PROFIT 398.9 437.5 473.1 471.6 508.7
EPS 24.21 26.55 28.71 28.61 30.86

Mindtree Ltd Quaterly Results


Sep 2021Dec 2021Mar 2022Jun 2022Sep 2022
INCOME 2660.9 2820.8 2987.2 3160.6 3449
PROFIT 398.8 437.5 473 471.6 508.8
EPS 24.2 26.54 28.7 28.61 30.86

Profit & Loss (Figures in Rs. Crores)


Mindtree Ltd Profit & Loss


Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022
INCOME 2396.8 3081.2 3645.4 4756.9 5291.7 5653 7110.8 7839.9 8119.5 10832.6
PROFIT 328.78 440.76 514.29 549.85 418.6 570.1 754.1 630.9 1110.5 1652.9
EPS 19.95 25.95 30.3 31.5 23.49 34.78 45.93 38.33 67.43 100.3

Mindtree Ltd Profit & Loss


Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022
INCOME 2396.8 3081 3630.5 4437.1 5094.9 5652.9 7110.8 7839.9 8119.5 10832.4
PROFIT 328.38 441.16 512.28 578.58 446 569.9 754 630.8 1110.3 1652.8
EPS 20.41 25.97 30.18 33.2 25.12 34.77 45.92 38.32 67.41 100.29

Balance Sheet (Figures in Rs. Crores)

Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013
SOURCES OF FUNDS :
Share Capital 164.8164.7164.6164.2163.9168167.883.741.741.5
Reserves Total 5,309.14,154.32,992.23,141.92,577.52,409.12,247.11,928.71,598.81,272.2
Equity Application Money00000000.400
Total Shareholders Funds5,473.94,3193,156.83,306.12,741.42,577.12,414.92,012.81,640.51,313.7
Secured Loans 000003.641.50021.7
Unsecured Loans 555.7537.7566.81301.4962.32.83.23.7
Total Debt555.7537.7566.81301.499.643.82.83.225.4
Other Liabilities0.40.6179.817.48.530.185.833.416.85.7
Total Liabilities6,0304,857.33,903.43,324.53,051.32,706.82,544.52,0491,660.51,344.8
APPLICATION OF FUNDS :
Gross Block 3,0292,790.42,697.42,050.51,9021,821.11,800.21,080.3784.6640.7
Less: Accumulated Depreciation1,653.81,514.61,288.21,083.6945.2799.1638.2524.8441381.8
Net Block1,375.21,275.81,409.2966.9956.81,0221,162555.5343.6258.9
Capital Work in Progress21.522.413.629.79.219.223.235.449.657.1
Investments 2,550.72,046.8774.8803.6726.4592.7232.8535.1533.5425.7
Inventories 4.1000000000
Sundry Debtors 1,731.31,274.21,438.91,335.61,015.5896.2972.8696.3600.4450.8
Cash and Bank Balance1,051.3759.7587256.2328.9250.8233.2376.3118.4125.2
Loans and Advances 1,048.2610.8534.6491.8438.1327.1394.8245.7234171
Total Current Assets3,834.92,644.72,560.52,083.61,782.51,474.11,600.81,318.3952.8747
Current Liabilities 1,6561,043.61,013.6639.7531.9541568.8401.4281.5235
Provisions 455.2460.5239.6214.8153.3142.8163.6204.5157.4111.2
Total Current Liabilities & Provisions2,111.21,504.11,253.2854.5685.2683.8732.4605.9438.9346.2
Net Current Assets1,723.71,140.61,307.31,229.11,097.3790.3868.4712.4513.9400.8
Deferred Tax Assets146.772.1232.888.983.292.780.344.940.236
Deferred Tax Liability162.83749.350.151.430.339.4000
Net Deferred Tax-16.135.1183.538.831.862.440.944.940.236
Other Assets375336.6215256.4229.8220.2217.2165.7179.7166.3
Total Assets6,0304,857.33,903.43,324.53,051.32,706.82,544.52,0491,660.51,344.8
Contingent Liabilities82.482.4107.4107.4228.510444.147617.5471.4
Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013
SOURCES OF FUNDS :
Share Capital 164.8164.7164.6164.2163.9168167.883.741.741.5
Reserves Total 5,308.64,153.92,9923,141.82,577.52,452.12,296.31,927.11,599.21,272.2
Equity Application Money00000000.400
Total Shareholders Funds5,473.44,318.63,156.63,3062,741.42,620.12,464.12,011.21,640.91,313.7
Secured Loans 000000400021.7
Unsecured Loans 555.7537.7566.81301.4962.32.83.23.7
Total Debt555.7537.7566.81301.49642.32.83.225.4
Other Liabilities0.40.6179.817.48.526.683.933.416.85.7
Total Liabilities6,029.54,856.93,903.23,324.43,051.32,742.72,590.32,047.41,660.91,344.8
APPLICATION OF FUNDS :
Gross Block 3,028.82,790.22,697.22,050.31,901.81,543.91,005.9984.9784.6640.7
Less : Accumulated Depreciation 1,653.81,514.61,288.21,083.6945.2775.1585.8522.3441381.8
Net Block 1,3751,275.61,409966.7956.6768.8420.1462.6343.6258.9
Capital Work in Progress21.522.413.629.79.219.223.235.449.657.1
Investments 2,552.32,048.4776.4805.2728890.51,085.2645.6534.9427.1
Inventories 4.1000000000
Sundry Debtors 1,731.31,274.21,438.91,335.61,015.5871.5882.5679.8600.4450.8
Cash and Bank Balance1,049.4757.5585.5254.7327.6246.8192.4366.9117.5123.8
Loans and Advances 1,048.2610.8534.6491.9438.1319347.7245.3233.8171
Total Current Assets3,8332,642.52,5592,082.21,781.21,437.31,422.61,292951.7745.6
Current Liabilities 1,6561,043.21,013.7639.8532511492.8395.9281.4235
Provisions 455.2460.5239.6214.8153.3142.8154.6202.8157.4111.2
Total Current Liabilities & Provisions2,111.21,503.71,253.3854.6685.3653.8647.4598.7438.8346.2
Net Current Assets1,721.81,138.81,305.71,227.61,095.9783.5775.2693.3512.9399.4
Deferred Tax Assets146.7144.7232.888.983.272.979.144.940.236
Deferred Tax Liability162.8109.649.350.151.412.45.7000
Net Deferred Tax-16.135.1183.538.831.860.573.444.940.236
Other Assets375336.6215256.4229.8220.2213.2165.6179.7166.3
Total Assets6,029.54,856.93,903.23,324.43,051.32,742.72,590.32,047.41,660.91,344.8
Contingent Liabilities82.482.4107.4107.4228.5104.644.147617.5401.8

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...1,652.9
Depreciation242
Interest (Net)7.6
P/L on Sales of Assets-0.9
Prov. and W/O (Net)8.5
P/L in Forex-32.9
Total Adjustments (PBT and Ext...741.9
Operating Profit before Workin...2,394.8
Trade and 0ther Receivables-452.4
Inventories0.4
Trade Payables251.7
Total Adjustments (OP before W...-311.4
Cash Generated from/(used in) ...2,083.4
Direct Taxes Paid-546.4
Total Adjustments(Cash Generat...-546.4
Cash Flow before Extraordinary...1,537
Net Cash from Operating Activi...1,537
Purchased of Fixed Assets-198.2
Sale of Fixed Assets1
Purchase of Investments-3,742.8
Sale of Investments3,334.3
Interest Received27.3
Net Cash used in Investing Act...-649.7
Proceeds from Issue of shares ...0.1
Of Financial Liabilities-92.8
Dividend Paid-452.8
Interest Paid-50.2
Net Cash used in Financing Act...-595.7
Net Profit before Tax and Extr...1,652.8
Depreciation242
Interest (Net)7.6
P/L on Sales of Assets-0.9
Prov. and W/O (Net)8.5
P/L in Forex-32.9
Total Adjustments (PBT and Ext...741.9
Operating Profit before Workin...2,394.7
Trade and 0ther Receivables-452.4
Inventories0.4
Trade Payables252
Total Adjustments (OP before W...-311
Cash Generated from/(used in) ...2,083.7
Direct Taxes Paid-546.4
Total Adjustments(Cash Generat...-546.4
Cash Flow before Extraordinary...1,537.3
Net Cash from Operating Activi...1,537.3
Purchased of Fixed Assets-198.2
Sale of Fixed Assets1
Purchase of Investments-3,742.8
Sale of Investments3,334.3
Interest Received27.3
Net Cash used in Investing Act...-649.7
Proceeds from Issue of shares ...0.1
Of Financial Liabilities-92.8
Dividend Paid-452.8
Interest Paid-50.2
Net Cash used in Financing Act...-595.7

Company Details

Registered Office
AddressGlobal Village RVCE Post,
Mysore Road
CityBangalore
StateKarnataka
Pin Code560059
Tel. No.91-080-67064000
Fax. No.91-080-67064100
Emailsubhodh.shetty@mindtree.com; info@mindtree.com
Internethttp://www.mindtree.com
Registrars
AddressGlobal Village RVCE Post
CityBangalore
StateKarnataka
Pin Code560059
Tel. No.91-080-67064000
Fax. No.91-080-67064100
Emailsubhodh.shetty@mindtree.com; info@mindtree.com
Internethttp://www.mindtree.com
Management
Name Designation
APURVA PUROHIT Independent Director
Akshaya Bhargava Independent Director
Bijou Kurien Independent Director
Sekharipuram Narayanan Subrahmanyan Non Executive Director
Ramamurthi Shankar Raman Non Executive Director
Deepa Gopalan Wadhwa Independent Director
Anilkumar Manibhai Naik Chairman (Non-Executive)
Debashis Chatterjee. Managing Director & CEO
Venugopal Lambu Executive Director
Chandrasekaran Ramakrishnan Independent Director
Subhodh Shetty Company Sec. & Compli. Officer