Railtel Corporation of India Ltd

NSE :RAILTEL   BSE :543265  Sector : Telecomm-Service
Buy, Sell or Hold RAILTEL? Ask The Analyst

BSE
Apr 02, 00:00

307.30

5.90 (1.96%)


prev close

301.40

OPEN PRICE

302.30

volume

182438

Today's low / high

294.35 / 308.50

52 WK low / high

265.30 / 618.00

bid price (qty)

0 (0)

offer price (qty)

0 (0)

NSE


prev close

open price

volume

Today's' low / high

52 WK low / high

bid price (qty)

offer price (qty)

02 Apr
307.10
(1.89%)
01 Apr
301.40
(-0.38%)
28 Mar
302.55
(-1.80%)
27 Mar
308.10
(0.03%)
26 Mar
308.00
(-4.75%)
25 Mar
323.35
(-1.27%)
24 Mar
327.50
(5.73%)
21 Mar
309.75
(4.12%)
20 Mar
297.50
(0.40%)
19 Mar
296.30
(5.18%)
18 Mar
281.70
(2.21%)
17 Mar
275.60
(-2.70%)
13 Mar
283.25
(-2.14%)
12 Mar
289.45
(-1.09%)
11 Mar
292.65
(0.17%)
10 Mar
292.15
(-2.19%)
07 Mar
298.70
(0.95%)
06 Mar
295.90
(2.23%)
05 Mar
289.45
(2.93%)
04 Mar
281.20
(1.42%)
03 Mar
277.25
(-1.39%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bullish

305.49


10 DMA
Bearish

308.22


20 DMA
Bullish

298.06


50 DMA
Bearish

324.02


100 DMA
Bearish

364.52


200 DMA
Bearish

415.7



Intraday Support and Resistance
(Based on Pivot Points) undefined | BSE : 307.30

Updated On Apr 02, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 326.84 317.87 311.05 - -
R2 317.87 312.39 309.73 318.76 -
R1 312.49 309 308.42 314.27 315.18
P 303.52 303.52 303.52 304.41 304.86
S1 298.14 298.04 305.78 299.92 300.83
S2 289.17 294.65 304.47 290.06 -
S3 283.79 289.17 303.15 - -

Key Metrics

EPS

8.7

P/E

35.32

P/B

5.22

Dividend Yield

0.93%

Market Cap

9,856 Cr.

Face Value

10

Book Value

58.83

ROE

11.91%

EBITDA Growth

127.94 Cr.

Debt/Equity

0.02

Shareholding Pattern

  72.84% Total Promoter Holding
0.1% Mutual Fund Holdings
3.34% FIIs
23.46% Non Institution
0.26% Insurance Companies
0% Custodians
-0% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Railtel Corporation of India Ltd Quaterly Results


Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023
INCOME440.09 462.17 751.38 482.73 612.82
PROFIT55.24 31.95 49.09 38.39 68.15
EPS1.72 1 2.37 1.2 2.12

Railtel Corporation of India Ltd Quaterly Results


Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023
INCOME674.81 864.19 577.56 862.51 782.29
PROFIT69.35 68.19 61.38 82.89 66.72
EPS1.94 2.42 1.52 2.26 2.03

Profit & Loss (Figures in Rs. Crores)


Railtel Corporation of India Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 554.97 648.37 902.9 1031.24 1038.27 1165.79 1411.29 1627.83 2002.2
PROFIT 121.07 102.81 130.16 157.37 135.35 174.88 142.42 171.81 190.6
EPS 0 0 0 0 0 0 4.44 6.51 5.89

Railtel Corporation of India Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 553.64 641.7 903.69 1024.64 1017.1 1112.08 1365.7 1597.66 1994.64 2622.17
PROFIT 120.94 101.77 128.06 155.77 132.93 172.11 140.38 171.13 189.78 264.9
EPS 3.66 3.18 3.99 4.87 3.42 4.31 4.37 6.49 5.87 7.67

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 320.94320.94320.94320.94320.94320.94320.94320.94320.94
Reserves Total 1,327.941,205.771,091.881,048.39968.15932838.33763.92683.28
Total Shareholders Funds1,648.881,526.711,412.821,369.331,289.091,252.941,159.271,084.861,004.22
Unsecured Loans 41.7931.51042.545.480000
Total Debt41.7931.51042.545.480000
Other Liabilities141.55121.51177.26105.99125.98352.59823.62876.08724.29
Total Liabilities1,832.221,679.731,590.081,517.861,420.551,605.531,982.891,960.941,728.51
APPLICATION OF FUNDS :
Gross Block 2,331.062,142.991,980.861,941.941,856.271,643.151,5311,4311,236.1
Less: Accumulated Depreciation1,509.751,368.071,220.951,152.591,066.33955.15837.09720.47639.99
Net Block821.31774.92759.91789.35789.94688693.91710.53596.11
Capital Work in Progress156.93163.26214.84252.54299.9364.17359.25261.71167.74
Investments 40.0730.05007.050000
Inventories 0.920.941.210.490.8700.221.421.17
Sundry Debtors 1,048.34684.76772.16507.07459.57466.68374.66263.96167.96
Cash and Bank Balance272.65328.09588.41268.43406.93509.23616.02571.99683.24
Loans and Advances 733.83510.7285.32339.53228.31188.17203.54230.16225.09
Total Current Assets2,055.741,524.491,647.11,115.521,095.681,164.081,194.441,067.531,077.46
Current Liabilities 1,475.771,150.51,106.94856.62753.48666.25297.56202.61318.22
Provisions 31.1527.9412.9120.0836.7138.3620.8420.998.43
Total Current Liabilities & Provisions1,506.921,178.441,119.85876.7790.19704.61318.4223.6326.65
Net Current Assets548.82346.05527.25238.82305.49459.47876.04843.93750.81
Deferred Tax Assets40.1938.1544.6520.6115.6122.8820.2814.273.5
Deferred Tax Liability8.9913.2120.4224.1432.5531.6239.9249.330
Net Deferred Tax31.224.9424.23-3.53-16.94-8.74-19.64-35.063.5
Other Assets233.89340.5163.85240.6835.12102.6373.33179.83210.35
Total Assets1,832.221,679.731,590.081,517.861,420.551,605.531,982.891,960.941,728.51
Contingent Liabilities545.85196.72386.85213.69157.74296.22245.5192.78171.84
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 320.94320.94320.94320.94320.94320.94320.94320.94320.94320.94
Reserves Total 1,506.31,327.941,195.081,081.791,040.34962.79928.44838.33763.32683.15
Total Shareholders Funds1,827.241,648.881,516.021,402.731,361.281,283.731,249.381,159.271,084.261,004.09
Unsecured Loans 45.6241.7931.51042.541.360000
Total Debt45.6241.7931.51042.541.360000
Other Liabilities93.13141.55109168.42105.99130.09352.59350.04873.57724.16
Total Liabilities1,965.991,832.221,656.531,571.151,509.811,415.181,601.971,509.311,957.831,728.25
APPLICATION OF FUNDS :
Gross Block 2,569.342,331.082,142.771,980.621,923.521,856.181,643.141,5311,467.631,236.08
Less : Accumulated Depreciation 1,656.011,509.771,367.921,220.841,134.331,066.32955.15837.09757.1639.97
Net Block 913.33821.31774.85759.78789.19789.86687.99693.91710.53596.11
Capital Work in Progress129.59156.93163.94214.84252.54299.9364.17359.72261.71167.74
Investments 90.2940.0740.05101017.041001010
Inventories 3.010.920.941.210.490.8700.220.591.17
Sundry Debtors 1,267.791,048.34666.47761.44474.96456.99465.38374.19257.78167.9
Cash and Bank Balance485.15272.65276.17520.22170.2334.57444.84616.02559.76672.41
Loans and Advances 677.92743.48471.46260.63318.04221.2183.91197.67230.33224.74
Total Current Assets2,433.872,065.391,415.041,543.5963.691,013.631,094.131,188.11,048.461,066.22
Current Liabilities 2,015.511,474.721,074.941,032.14722.68686.71609.82764.2196.71316.87
Provisions 68.0841.8527.9412.9120.0836.7138.3621.4320.938.43
Total Current Liabilities & Provisions2,083.591,516.571,102.881,045.05742.76723.42648.18785.63217.64325.3
Net Current Assets350.28548.82312.16498.45220.93290.21445.95402.47830.82740.92
Deferred Tax Assets53.7640.1938.1344.6520.6115.6122.85014.273.5
Deferred Tax Liability8.468.9913.1120.4224.1432.5531.6219.6449.330
Net Deferred Tax45.331.225.0224.23-3.53-16.94-8.77-19.64-35.063.5
Other Assets437.2233.89340.5163.85240.6835.11102.6372.85179.83209.98
Total Assets1,965.991,832.221,656.531,571.151,509.811,415.181,601.971,509.311,957.831,728.25
Contingent Liabilities1,393.77943.38511.82230.22211.89319.05296.22245.5192.78171.84

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...189.07
Depreciation154.31
Interest (Net)-22.97
P/L on Sales of Assets0.14
P/L in Forex0.07
Total Adjustments (PBT and Ext...126.14
Operating Profit before Workin...315.21
Total Adjustments (OP before W...-56.73
Cash Generated from/(used in) ...258.48
Advance Tax Paid-31
Total Adjustments(Cash Generat...-28.94
Cash Flow before Extraordinary...229.54
Net Cash from Operating Activi...229.54
Purchased of Fixed Assets-177.07
Sale of Investments0.66
Interest Received18.88
Cancellation of Investment in ...1.49
Net Cash used in Investing Act...-150.17
Of Financial Liabilities-9.51
Dividend Paid-69
Net Cash used in Financing Act...-78.51
Net Profit before Tax and Extr...246.21
Depreciation157.7
Interest (Net)-37.93
P/L on Sales of Assets0.07
P/L in Forex0.03
Fin. Lease and Rental Charges2.69
Total Adjustments (PBT and Ext...118.38
Operating Profit before Workin...364.59
Total Adjustments (OP before W...191.83
Cash Generated from/(used in) ...556.42
Advance Tax Paid-26.8
Total Adjustments(Cash Generat...-0.08
Cash Flow before Extraordinary...556.34
Net Cash from Operating Activi...556.34
Purchased of Fixed Assets-209.67
Purchase of Investments-96.79
Sale of Investments3.61
Interest Received29.28
Net Cash used in Investing Act...-419.06
Of Financial Liabilities-11.63
Dividend Paid-65.79
Net Cash used in Financing Act...-77.42

Company Details

Registered Office
Address6th Flr Office Block Tower-2,
East Kidwai Nagar South Delhi
CityNew Delhi
StateNew Delhi
Pin Code110023
Tel. No.91-011-22900600
Fax. No.91-011-22900699
Emailcs@railtelindia.com
Internethttp://www.railtelindia.com
Registrars
Address6th Flr Office Block Tower-2
CityNew Delhi
StateNew Delhi
Pin Code110023
Tel. No.91-011-22900600
Fax. No.91-011-22900699
Emailcs@railtelindia.com
Internethttp://www.railtelindia.com
Management
Name Designation
Sanjai KumarChairman & Managing Director
N. ManoharanIndependent Director
RAMA MANOHARA VIPPAGUNTADirector (Finance) & CFO
Manoj TandonDirector (Operation)
Yaspal Singh TomarDirector (Marketing)
Rameshwer MeenaNominee (Govt)
J S MarwahCompany Sec. & Compli. Officer
Ranjit KumarNominee (Govt)