PC Jeweller Ltd

NSE :PCJEWELLER   BSE :534809  Sector : Diamond, Gems and Jewellery
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11 Dec
179.27
(2.14%)
10 Dec
175.52
(-1.41%)
09 Dec
178.03
(3.79%)
06 Dec
171.53
(3.15%)
05 Dec
166.29
(-2.04%)
04 Dec
169.76
(1.49%)
03 Dec
167.26
(-2.71%)
02 Dec
171.92
(4.97%)
29 Nov
163.78
(4.83%)
28 Nov
156.23
(1.56%)
27 Nov
153.83
(4.50%)
26 Nov
147.21
(-2.26%)
25 Nov
150.62
(4.91%)
22 Nov
143.57
(3.39%)
21 Nov
138.86
(-2.79%)
19 Nov
142.84
(-1.48%)
18 Nov
144.99
(0.28%)
14 Nov
144.59
(3.43%)
13 Nov
139.80
(-3.95%)
12 Nov
145.55
(-2.96%)
11 Nov
149.99
(0.25%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Neutral

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bullish

173.86


10 DMA
Bullish

169.58


20 DMA
Bullish

157.31


50 DMA
Bullish

159.15


100 DMA
Bullish

135.24


200 DMA
Bullish

95.11



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Dec 11, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 192.84 186.42 182.02 - -
R2 186.42 182.6 181.1 187.14 -
R1 182.84 180.24 180.19 184.28 184.64
P 176.42 176.42 176.42 177.14 177.32
S1 172.84 172.6 178.35 174.28 174.64
S2 166.42 170.24 177.44 167.14 -
S3 162.84 166.42 176.52 - -

Key Metrics

EPS

0.18

P/E

0

P/B

2.64

Dividend Yield

0%

Market Cap

9,682 Cr.

Face Value

10

Book Value

67.68

ROE

-19.01%

EBITDA Growth

128.34 Cr.

Debt/Equity

1.19

Shareholding Pattern

  47.39% Total Promoter Holding
0% Mutual Fund Holdings
3.29% FIIs
47.94% Non Institution
1.26% Insurance Companies
0% Custodians
0.12% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


PC Jeweller Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 494.24 43.48 59.54 439.78 548.54
PROFIT -138.13 -197.98 -121.64 156.06 178.88
EPS -2.97 -4.25 -2.61 3.35 3.84

PC Jeweller Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 53.3 43.63 62.45 439.33 548.7
PROFIT -151.83 -200.3 -123.97 154.8 178.97
EPS -3.26 -4.3 -2.66 3.33 3.85

Profit & Loss (Figures in Rs. Crores)


PC Jeweller Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 7446.5 7756.26 8977.82 10748 8826.01 5701.37 3738.36 1362.9 2768.47 517.62
PROFIT 369.02 398.13 420.97 535.6 -82.78 82.76 62.01 -391.01 -203.28 -628.61
EPS 10.23 11.12 11.75 13.58 0.02 2.1 1.33 -8.4 -4.37 -13.52

PC Jeweller Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 7433.72 7684.81 8545.87 10591.49 8610.09 5353.89 3528.91 1342.91 2624.46 74.85
PROFIT 368.78 399.25 430.49 567.36 -58.66 78.22 60.58 -389.61 -339.1 -648.52
EPS 10.23 11.15 12.02 14.39 0 1.99 1.31 -8.37 -7.29 -13.95

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 465.4465.4465.4465.4395394.65407.73179.14179.1179.1
Reserves Total 2,465.953,225.153,423.333,803.913,608.023,526.013,486.822,581.472,230.041,811.47
Equity Application Money0000000591.300
Total Shareholders Funds2,931.353,690.553,888.734,269.314,003.023,920.663,894.553,351.912,409.141,990.57
Secured Loans 4,082.563,626.093,278.42,289.872,090.322,138.791,150.33722.78970.41681.86
Unsecured Loans 67.85110.3112.21124.41338.78-18.25-47.980.0300.03
Total Debt4,150.413,736.393,390.612,414.282,429.12,120.541,102.43802.81970.41681.89
Other Liabilities2.894.094.454.744.2945.186.576.234.342.87
Total Liabilities7,084.657,431.037,283.796,688.296,476.416,086.385,003.554,160.953,383.892,675.33
APPLICATION OF FUNDS :
Gross Block 167.96224.35225.96236.26256.36146.64157.86133.26113.81147.43
Less: Accumulated Depreciation97.02109.75105.196.9987.7672.3365.2745.0722.6157.81
Net Block70.94114.6120.86139.27168.674.3192.5988.1991.289.62
Capital Work in Progress00.7000.750.910.78000
Investments 2.532.482.7414.637.538.3918.639.48.113.12
Inventories 5,632.815,790.635,666.765,944.295,413.745,012.385,257.594,187.433,867.173,229.85
Sundry Debtors 182.48429.83285.191,428.931,880.621,987.351,851.311,538.04976780.42
Cash and Bank Balance4.8942.0760.2177.57240.25321.561,556.391,191.68341.59284
Loans and Advances 55.9748.3356.289.1283.03138.67107.15274.67391.41237.41
Total Current Assets5,876.156,310.866,068.357,639.917,617.647,459.968,772.447,191.825,576.174,531.68
Current Liabilities 101.41120.84132.071,079.331,291.891,473.883,858.253,172.672,244.521,870.71
Provisions 83.3784.05129.21130.11128.9789.19122.6662.98122.53177.93
Total Current Liabilities & Provisions184.78204.89261.281,209.441,420.861,563.073,980.913,235.652,367.052,048.64
Net Current Assets5,691.376,105.975,807.076,430.476,196.785,896.894,791.533,956.173,209.122,483.04
Deferred Tax Assets7.714.71159.7761.7959.5848.4129.8936.3513.612.52
Deferred Tax Liability000.160.160.151.555.282.981.650
Net Deferred Tax7.714.71159.6161.6359.4346.8624.6133.3711.9512.52
Other Assets1,312.11,202.571,193.5142.2943.3259.0275.4173.8263.5277.03
Total Assets7,084.657,431.037,283.796,688.296,476.416,086.385,003.554,160.953,383.892,675.33
Contingent Liabilities20.1914.0911.8717.1508.8717.518.191.5615.14
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 465.4465.4465.4465.4395394.65407.73179.14179.1179.1
Reserves Total 2,432.533,079.653,418.393,809.943,607.033,541.843,531.442,596.342,231.051,811.28
Equity Application Money0000000591.300
Total Shareholders Funds2,897.933,545.053,883.794,275.344,002.033,936.493,939.173,366.782,410.151,990.38
Secured Loans 4,082.563,626.093,278.42,289.872,090.322,120.511,150.33722.75873.73631.86
Unsecured Loans 67.46110.3112.13124.34335.710-47.9380.0396.6550
Total Debt4,150.023,736.393,390.532,414.212,426.032,120.511,102.4802.78970.38681.86
Other Liabilities2.894.074.424.6244.09456.426.154.312.87
Total Liabilities7,050.847,285.517,278.746,694.176,472.156,1025,047.994,175.713,384.842,675.11
APPLICATION OF FUNDS :
Gross Block 150.5206.09205.73218.11232.78127.46140.52127.69112169.52
Less : Accumulated Depreciation 89.62102.4398.2791.781.7268.2863.2244.0222.1279.94
Net Block 60.88103.66107.46126.41151.0659.1877.383.6789.8889.58
Capital Work in Progress00.7000.750.450000
Investments 136.45136.15136.41144.31143.78143.62152.56143.338.1713.18
Inventories 5,462.425,621.815,516.225,793.725,258.844,988.115,161.284,118.643,866.063,229.85
Sundry Debtors 182.48323.95308.231,305.331,780.551,7731,761.811,274.4908.22767.53
Cash and Bank Balance3.0640.4157.62174.31226.91318.881,491.47931.65291.26274.11
Loans and Advances 69.1358.0285.06100.45107.16160133.67295.99391.89237.43
Total Current Assets5,717.096,044.195,967.137,373.817,373.467,239.998,548.236,620.685,457.434,508.92
Current Liabilities 101.43120.53129.861,039.631,280.481,472.853,790.312,978.382,229.621,858.51
Provisions 83.3784.05129.21130.1128.9489.19122.6862.99122.41177.89
Total Current Liabilities & Provisions184.8204.58259.071,169.731,409.421,562.043,912.993,041.372,352.032,036.4
Net Current Assets5,532.295,839.615,708.066,204.085,964.045,677.954,635.243,579.313,105.42,472.52
Deferred Tax Assets00150.8751.3746.8638.5423.7132.412.4512.52
Deferred Tax Liability000.160.160.151.554.792.891.640
Net Deferred Tax00150.7151.2146.7136.9918.9229.5110.8112.52
Other Assets1,321.221,205.391,176.1168.16165.81183.81163.97339.89170.5887.31
Total Assets7,050.847,285.517,278.746,694.176,472.156,1025,047.994,175.713,384.842,675.11
Contingent Liabilities14.3713.5511.8717.1517.118.8717.518.191.5615.14

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...-631.77
Depreciation20.37
Interest (Net)501.26
P/L on Sales of Assets0.74
Prov. and W/O (Net)21.85
P/L in Forex-29.44
Others-79.12
Total Adjustments (PBT and Ext...468.19
Operating Profit before Workin...-163.58
Trade and 0ther Receivables137.66
Inventories157.82
Trade Payables-5.14
Total Adjustments (OP before W...227.44
Cash Generated from/(used in) ...63.86
Cash Flow before Extraordinary...63.86
Net Cash from Operating Activi...63.86
Purchased of Fixed Assets-0.13
Sale of Fixed Assets2.13
Interest Received0.71
Net Cash used in Investing Act...7.06
Proceed from 0ther Long Term B...0.39
Interest Paid-29.36
Net Cash used in Financing Act...-108.09
Net Profit before Tax and Extr...-649.27
Depreciation19.69
Interest (Net)497.79
P/L on Sales of Assets0.44
Prov. and W/O (Net)2.81
P/L in Forex-23.86
Total Adjustments (PBT and Ext...469.84
Operating Profit before Workin...-179.43
Trade and 0ther Receivables29.76
Inventories159.39
Trade Payables-4.25
Total Adjustments (OP before W...164.01
Cash Generated from/(used in) ...-15.42
Cash Flow before Extraordinary...-15.42
Net Cash from Operating Activi...-15.42
Sale of Fixed Assets1.87
Interest Received0.7
Net Cash used in Investing Act...7.42
Interest Paid-29.34
Net Cash used in Financing Act...-29.34

Company Details

Registered Office
AddressC-54 Preet Vihar,
Vikas Marg
CityDelhi
StateDelhi
Pin Code110092
Tel. No.91-11-49714971
Fax. No.91-11-49714972
Emailinvestors@pcjewellers.com ; info@pcjewellers.com
Internethttp://www.pcjeweller.com
Registrars
AddressC-54 Preet Vihar
CityDelhi
StateDelhi
Pin Code110092
Tel. No.91-11-49714971
Fax. No.91-11-49714972
Emailinvestors@pcjewellers.com ; info@pcjewellers.com
Internethttp://www.pcjeweller.com
Management
Name Designation
Balram GargManaging Director
Vijay PanwarCompany Sec. & Compli. Officer
Ramesh Kumar SharmaExecutive Director
Sannovanda Machaiah SwathiIndependent Director
Mahesh AgarwalAdditional Director
VISHAN DEOExecutive Director & CFO
Farangi Lal KansalAdditional Director