Power Finance Corporation Ltd

NSE :PFC   BSE :532810  Sector : Finance
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03 May
480.45
(2.69%)
02 May
467.85
(5.96%)
30 Apr
441.55
(6.27%)
29 Apr
415.50
(2.30%)
26 Apr
406.15
(-0.22%)
25 Apr
407.05
(1.24%)
24 Apr
402.05
(0.74%)
23 Apr
399.10
(-1.30%)
22 Apr
404.35
(1.43%)
19 Apr
398.65
(0.81%)
18 Apr
395.45
(-0.28%)
16 Apr
396.55
(1.06%)
15 Apr
392.40
(-2.63%)
12 Apr
403.00
(-0.90%)
10 Apr
406.65
(0.97%)
09 Apr
402.75
(-1.85%)
08 Apr
410.35
(-1.55%)
05 Apr
416.80
(0.43%)
04 Apr
415.00
(-0.54%)
03 Apr
417.25
(2.38%)
02 Apr
407.55
(1.58%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bullish

442.31


10 DMA
Bullish

422.25


20 DMA
Bullish

413.96


50 DMA
Bullish

407.96


100 DMA
Bullish

410.16


200 DMA
Bullish

326.91



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On May 03, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 505.26 495.38 485.22 - -
R2 495.38 488.75 483.63 495.99 -
R1 487.91 484.66 482.04 489.13 491.65
P 478.03 478.03 478.03 478.64 479.9
S1 470.56 471.4 478.86 471.78 474.3
S2 460.68 467.31 477.27 461.29 -
S3 453.21 460.68 475.68 - -

Key Metrics

EPS

41.59

P/E

11.55

P/B

2.13

Dividend Yield

2.21%

Market Cap

1,58,553 Cr.

Face Value

10

Book Value

225.58

ROE

27.18%

EBITDA Growth

22,801.37 Cr.

Debt/Equity

9.06

Shareholding Pattern

  55.99% Total Promoter Holding
12.63% Mutual Fund Holdings
17.19% FIIs
8.55% Non Institution
4.87% Insurance Companies
0% Custodians
0.77% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Power Finance Corporation Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 19662.66 20074.11 21001.44 22403.69 23593.4
PROFIT 3860.25 4676.71 4576.32 4833.08 4727.4
EPS 14.62 17.71 17.33 14.65 14.33

Power Finance Corporation Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 10364.4 10186.23 10142.18 11788.49 11854.33
PROFIT 3004.93 3492.27 3006.94 3847.43 3377.2
EPS 11.38 13.23 11.39 11.66 10.23

Profit & Loss (Figures in Rs. Crores)


Power Finance Corporation Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 21429.92 25012.93 27885.77 27611.29 48666.77 54201.08 62296.79 71706.91 76344.92 77625.2
PROFIT 5461.9 6004.38 6184.06 2236.17 6689.28 9921.72 7123.93 11751.6 14017.76 15896.98
EPS 15.94 17.47 17.61 5.96 26.66 38.3 28.72 47.62 56.87 64.18

Power Finance Corporation Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 21337.6 24907.85 27564.31 27018.57 25980.25 28766.31 33371.06 37930.63 38591.17 39665.63
PROFIT 5417.81 5959.3 6113.57 2126.45 4387.02 6953.15 5655.8 8444.84 10024.23 11607.82
EPS 15.8 18.06 18.52 6.44 13.3 21.07 17.14 25.58 30.37 35.17

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 2,640.082,640.082,640.082,640.082,640.082,640.082,640.081,320.041,320.041,320.04
Reserves Total 81,518.4169,036.1658,127.446,759.7244,481.1737,194.4534,204.8334,708.2731,091.3126,202.23
Total Shareholders Funds84,158.4971,676.2460,767.4849,399.847,121.2539,834.5336,844.9136,028.3132,411.3527,522.27
Minority Interest27,822.7924,598.9121,022.7716,765.5716,363.0215,435.220000
Secured Loans82,606.1174,721.410003,51,323.7622,653.3521,786.6624,704.8322,776.9
Unsecured Loans6,68,551.415,85,754.876,59,682.165,96,561.15,39,487.6989,827.61,80,339.391,78,873.481,63,090.271,36,438.4
Total Loan Funds7,51,157.526,60,476.286,59,682.165,96,561.15,39,487.694,41,151.362,02,992.742,00,660.141,87,795.11,59,215.3
Other Liabilities00000230.078,810.231,779.441,297.78820.81
Total Liabilities8,63,138.87,56,751.437,41,472.416,62,726.476,02,971.964,96,651.182,48,647.882,38,467.892,21,504.231,87,558.38
APPLICATION OF FUNDS :
Loan / Non-Current Assets 8,32,903.367,32,850.767,22,386.846,46,196.115,73,661.284,89,982.672,00,938.252,00,380.711,97,930.341,68,816.19
Gross Block 957.03863.78468.86358.18305.57262.71402.65265.1156.57111.8
Less: Accumulated Depreciation174.73144.6127.54120.08109.93101.27106.2766.6255.0740.2
Net Block782.3719.18341.32238.1195.64161.44296.38198.48101.571.6
Capital Work in Progress21.8653.36336.44288.39198.53128.69105.4446.632.420.66
Investments 5,973.43,774.013,498.834,403.624,603.735,492.513,145.172,229.97527.8427.43
Sundry Debtors 171.17125.63167.61135.66172.13145.77279.56111.2128.597.04
Cash and Bank Balance4,101.026,684.58,202.564,188.1716,377.042,849.313,792.83301.555,367.36459.49
Loans and Advances 44,818.7239,477.4634,312.4534,065.2427,290.6316,031.3145,252.6443,575.6924,634.6924,699.32
Total Current Assets49,090.9146,287.5942,682.6238,389.0743,839.819,026.3949,325.0343,988.4530,030.6425,165.85
Current Liabilities 32,401.6133,673.1433,821.7131,352.4125,524.2125,232.548,713.57,634.516,689.726,248.86
Provisions 571.45575.7412.96441.72372.55647.761,928.55815.39529.43239.47
Total Current Liabilities & Provisions32,973.0634,248.8434,234.6731,794.1325,896.7625,880.310,642.058,449.97,219.156,488.33
Net Current Assets16,117.8512,038.758,447.956,594.9417,943.04-6,853.9138,682.9835,538.5522,811.4918,677.52
Deferred Tax Assets8,019.567,870.176,989.176,183.177,453.257,393.5520.919.1312.324.57
Deferred Tax Liability679.53554.8528.141,177.861,083.510268.45321.09200.57297.57
Net Deferred Tax7,340.037,315.376,461.035,005.316,369.747,393.55-247.55-301.96-188.27-273
Other Assets00000346.235,727.21375.51318.91237.98
Total Assets8,63,138.87,56,751.437,41,472.416,62,726.476,02,971.964,96,651.182,48,647.882,38,467.892,21,504.231,87,558.38
Contingent Liabilities6,296.3511,532.36,800.341,594.631,580.12,245.521,906.72718.21,145.052,704.24
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 2,640.082,640.082,640.082,640.082,640.082,640.082,640.081,320.041,320.041,320.04
Reserves Total 65,562.1556,710.249,753.0442,524.0540,647.9134,316.0733,830.1334,445.9930,899.1726,054.57
Total Shareholders Funds68,202.2359,350.2852,393.1245,164.1343,287.9936,956.1536,470.2135,766.0332,219.2127,374.61
Secured Loans32,802.5635,565.44049,598.9838,703.551,90,028.5322,510.6621,786.6624,704.8322,776.66
Unsecured Loans3,37,565.222,91,868.23,32,959.342,60,675.72,56,535.3346,756.191,80,077.381,78,697.781,63,068.321,36,438.4
Total Loan Funds3,70,367.783,27,433.643,32,959.343,10,274.682,95,238.882,36,784.722,02,588.042,00,484.441,87,773.151,59,215.06
Other Liabilities00000112.578,805.411,778.031,297.42820.66
Total Liabilities4,38,570.013,86,783.923,85,352.463,55,438.813,38,526.872,73,853.442,47,863.662,38,028.52,21,289.781,87,410.33
APPLICATION OF FUNDS :
Loan / Non-Current Assets 4,10,829.153,60,929.743,60,124.773,34,112.63,03,210.362,61,870.022,00,333.012,00,036.081,97,842.911,68,792.11
Gross Block 157.98149.68140.16128.4182.9780.62115.46113.9112.74110.09
Less: Accumulated Depreciation 79.5469.9867.4160.954.6453.6552.8949.9946.9539.46
Net Block78.4479.772.7567.5128.3326.9762.5763.9165.7970.63
Capital Work in Progress11.20000000.1600
Investments 17,304.1416,084.2715,973.516,473.3216,586.22,520.043,591.132,677.47851.32352.17
Cash and Bank Balance1,618.13,961.224,762.2198.9914,200.61553.23,573.1578.455,070.860.19
Loans and Advances 10,958.729,203.267,154.097,982.726,639.4510,155.4845,333.143,465.7224,608.8724,679.32
Total Current Assets12,576.8213,164.4811,916.298,181.7120,840.0610,708.6848,906.2543,544.1729,679.6724,739.51
Current Liabilities 5,834.387,184.176,533.226,084.055,934.285,633.878,420.177,500.776,660.156,244
Provisions 428.67441.92198.39264.4264.53421.141,927.11805.44525.23235.55
Total Current Liabilities & Provisions6,263.057,626.096,731.616,348.456,198.816,055.0110,347.288,306.217,185.386,479.55
Net Current Assets6,313.775,538.395,184.681,833.2614,641.254,653.6738,558.9735,237.9622,494.2918,259.96
Deferred Tax Assets4,254.744,364.883,996.762,952.124,060.734,547.2617.318.2911.2523.28
Deferred Tax Liability221.43213.060000267.81320.35200.5297.5
Net Deferred Tax4,033.314,151.823,996.762,952.124,060.734,547.26-250.51-302.06-189.25-274.22
Other Assets00000235.485,568.49314.98224.72209.68
Total Assets4,38,570.013,86,783.923,85,352.463,55,438.813,38,526.872,73,853.442,47,863.662,38,028.52,21,289.781,87,410.33
Contingent Liabilities2,596.627,210.454,092.471,408.621,424.252,101.761,894.71674.781,119.32,704.24

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...26,496.07
Depreciation51.78
Interest (Net)-0.97
P/L on Sales of Assets9.67
Prov. and W/O (Net)9.06
P/L in Forex5,063.45
Others-0.54
Total Adjustments (PBT and Ext...4,976.6
Operating Profit before Workin...31,472.67
Loans and Advances-1,00,606.6
Investments-1,306.2
Total Adjustments (OP before W...-1,01,072.65
Cash Generated from/(used in) ...-69,599.98
Direct Taxes Paid-5,256.63
Total Adjustments(Cash Generat...-5,098.95
Cash Flow before Extraordinary...-74,698.93
Net Cash from Operating Activi...-74,698.93
Purchased of Fixed Assets-122.77
Sale of Fixed Assets0.32
Purchase of Investments-1,575.7
Net Cash used in Investing Act...-1,693.58
Proceed from Issue of Debentur...41,226.83
Proceed from 0ther Long Term B...38,475.94
On Redemption of Debenture-62.97
Of Financial Liabilities-2.94
Dividend Paid-4,118.05
Net Cash used in Financing Act...75,518.27
Net Profit before Tax and Extr...14,170.62
Depreciation19.06
Interest (Net)42.51
P/L on Sales of Assets2.88
Prov. and W/O (Net)-133.47
P/L in Forex4,099.52
Others0.17
Total Adjustments (PBT and Ext...3,937.54
Operating Profit before Workin...18,108.16
Loans and Advances-50,181.78
Investments-2,096.53
Total Adjustments (OP before W...-51,434.78
Cash Generated from/(used in) ...-33,326.62
Direct Taxes Paid-2,472.02
Total Adjustments(Cash Generat...-2,414.13
Cash Flow before Extraordinary...-35,740.75
Net Cash from Operating Activi...-35,740.75
Purchased of Fixed Assets-83.8
Sale of Fixed Assets0.21
Purchase of Investments-630.38
Net Cash used in Investing Act...-713.97
Proceed from Issue of Debentur...26,390.86
Proceed from 0ther Long Term B...12,023.48
On Redemption of Debenture-18.47
Of Financial Liabilities-0.01
Dividend Paid-2,640.08
Net Cash used in Financing Act...35,755.95

Company Details

Registered Office
AddressUrjanidhi No 1 Barakhamba Lane,
Connaught Place
CityNew Delhi
StateNew Delhi
Pin Code110001
Tel. No.91-11-23456000
Fax. No.91-11-23412545
Emailinvestorsgrievance@pfcindia.com
Internethttp://www.pfcindia.com
Registrars
AddressUrjanidhi No 1 Barakhamba Lane
CityNew Delhi
StateNew Delhi
Pin Code110001
Tel. No.91-11-23456000
Fax. No.91-11-23412545
Emailinvestorsgrievance@pfcindia.com
Internethttp://www.pfcindia.com
Management
Name Designation
Parminder ChopraChairman & Managing Director
Rajiv Ranjan JhaDirector (Projects)
MANOJ SHARMADirector (Commercial)
Ajay TewariNominee (Govt)
Bhaskar BhattacharyaIndependent Director
Usha Sajeev NairIndependent Director
Prasanna TantriIndependent Director
Manish Kumar AgarwalCompany Sec. & Compli. Officer