BSE
Mar 28, 00:00

931.70

-17.85 (-1.88%)


prev close

949.55

OPEN PRICE

949.55

volume

11040

Today's low / high

927.10 / 965.00

52 WK low / high

915.70 / 1942.00

bid price (qty)

0 (0)

offer price (qty)

0 (0)

NSE
Mar 28, 00:00

932.20

-18.15 (-1.91%)


prev close

950.35

open price

945.35

volume

230043

Today's' low / high

927.00 / 966.15

52 WK low / high

914.95 / 1942.45

bid price (qty)

0 (0)

offer price (qty)

932.20 (195)

28 Mar
932.20
(-1.91%)
27 Mar
950.35
(-0.16%)
26 Mar
951.85
(-2.65%)
25 Mar
977.75
(-2.17%)
24 Mar
999.45
(0.01%)
21 Mar
999.35
(2.14%)
20 Mar
978.45
(1.48%)
19 Mar
964.15
(1.63%)
18 Mar
948.65
(2.36%)
17 Mar
926.75
(-3.16%)
13 Mar
957.00
(-2.40%)
12 Mar
980.55
(1.10%)
11 Mar
969.85
(-0.53%)
10 Mar
975.05
(-4.37%)
07 Mar
1019.60
(-1.43%)
06 Mar
1034.40
(3.32%)
05 Mar
1001.15
(1.67%)
04 Mar
984.75
(1.73%)
03 Mar
968.00
(-1.23%)
28 Feb
980.10
(-2.03%)
27 Feb
1000.45
(-1.45%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bearish

962.23


10 DMA
Bearish

963.03


20 DMA
Bearish

975.02


50 DMA
Bearish

1083.28


100 DMA
Bearish

1247.5


200 DMA
Bearish

1432.53



Intraday Support and Resistance
(Based on Pivot Points) NSE : 932.20 | BSE : 931.70

Updated On Mar 28, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 995.71 980.93 942.97 - -
R2 980.93 965.97 939.38 978.54 -
R1 956.56 956.74 935.79 951.78 968.75
P 941.78 941.78 941.78 939.39 947.88
S1 917.41 926.82 928.61 912.63 929.6
S2 902.63 917.59 925.02 900.24 -
S3 878.26 902.63 921.43 - -

Key Metrics

EPS

20.45

P/E

45.56

P/B

4.66

Dividend Yield

1.18%

Market Cap

5,873 Cr.

Face Value

10

Book Value

199.94

ROE

19.59%

EBITDA Growth

137.45 Cr.

Debt/Equity

0.13

Shareholding Pattern

  74.86% Total Promoter Holding
7.81% Mutual Fund Holdings
4.73% FIIs
12.49% Non Institution
0.06% Insurance Companies
0.06% Custodians
-0.01% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Route Mobile Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME1058.85 1030.35 1113.98 1152.24 1192.42
PROFIT93.31 86.53 78.52 96.46 82.48
EPS16.89 14.05 12.51 16.12 13.1

Route Mobile Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME215.43 196.86 224.85 247.99 225.71
PROFIT44.97 23.56 28.21 48 29.05
EPS7.18 3.76 4.49 7.64 4.61

Profit & Loss (Figures in Rs. Crores)


Route Mobile Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 134.03 371.92 463.1 509.49 852.38 968.1 1422.16 2022.09 3608.63 4128.84
PROFIT 10.85 62.8 60.7 48.68 56.92 70.77 133.33 166.17 327.08 361.22
EPS 0 0 0 0 0 0 23 27.05 53.35 61.93

Route Mobile Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 106.86 192.64 208.52 198.76 378.32 425.09 387.96 374.02 631.02 767.51
PROFIT 8.56 29.29 51.6 10.94 8.57 17.04 22.33 31.53 93.83 126.35
EPS 42.8 14.62 10.32 2.19 1.79 1.51 3.87 4.42 14.39 20.12

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 62.7962.4462.8757.7150505050202
Reserves Total 2,086.81,757.981,609.69594.4219.38172.85120.9476.5850.3931.53
Total Shareholders Funds2,149.591,820.421,672.56652.11269.38222.85170.94126.5870.3933.53
Minority Interest21.257.972.06-2.66-2.17-1.88-0.660.5200
Secured Loans 10.443.6803.9741.6679.0583.2418.490.235.84
Unsecured Loans 368.0996.4316.2215.9911.5100.93000
Total Debt378.49140.1116.2219.9653.1779.0584.1718.490.235.84
Other Liabilities62.02146.64245.432.742.232.231.821.050.950.75
Total Liabilities2,611.352,115.141,936.27672.15322.61302.25256.27146.6471.5740.12
APPLICATION OF FUNDS :
Gross Block 1,205.91,170.381,085.13286.71241.29213.95208.8146.7521.1914.65
Less: Accumulated Depreciation308.2217.85132.8693.8765.6744.0426.7614.0211.977.78
Net Block897.7952.53952.27192.84175.62169.91182.0532.739.226.87
Capital Work in Progress25.5915.101.0502.13001.210
Investments 14.8720.2513.3812.811.910.6700.050.050
Sundry Debtors 1,071.58701.54516.51217.3203.7144.7197.2932.4322.3420.52
Cash and Bank Balance756.61879.881,026.17467.65102.6495.65102.6110.94162.0819.08
Loans and Advances 287.32191.39112.671.9985.8630.6719.744.873.457.47
Total Current Assets2,115.511,772.811,655.28756.94392.2271.03219.63148.24187.8647.06
Current Liabilities 721.82664.93628.16308.29277.2172.69162.4651.48155.311.57
Provisions 89.548.7129.1841.3425.2112.214.561.841.63.37
Total Current Liabilities & Provisions811.32713.64657.34349.63302.41184.91167.0153.33156.914.94
Net Current Assets1,304.191,059.17997.94407.3189.7986.1252.6194.9130.9632.12
Deferred Tax Assets11.559.46.415.454.33.52.091.240.420.57
Deferred Tax Liability50.557.54661.10.990.010.050.070.010.43
Net Deferred Tax-38.95-48.14-59.594.353.313.492.041.170.410.14
Other Assets407.95116.2332.2753.841.9929.9319.5617.7829.730.98
Total Assets2,611.352,115.141,936.27672.15322.61302.25256.27146.6471.5840.11
Contingent Liabilities183.87172.16116.2270.7957.1262.3454.8733.153.665.13
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 62.7962.4462.8757.7150505050202
Reserves Total 1,125.981,064.021,162.1287.0324.3233.833.7430.278.4623.7
Total Shareholders Funds1,188.771,126.461,224.97344.7474.3283.883.7480.2728.4625.7
Secured Loans 0000.2137.6420.8424.3617.580.235.84
Unsecured Loans 11.031314.8311.373.0900.93000
Total Debt11.031314.8311.5840.7320.8425.2917.580.235.84
Other Liabilities5.093.923.662.522.031.861.61.160.950.75
Total Liabilities1,204.891,143.381,243.46358.84117.08106.5110.6399.0129.6432.29
APPLICATION OF FUNDS :
Gross Block 142.54121.57113.275.2440.8434.7132.6430.3220.0514.02
Less : Accumulated Depreciation 84.367.4452.8238.1527.7623.5218.8613.0610.397.6
Net Block 58.2454.1360.3837.0913.0811.1913.7817.269.666.42
Capital Work in Progress01.0901.0502.130000
Investments 51.852.8354.8549.338.434.724.0214.090.620.36
Sundry Debtors 255.26160.68111.6898.3111.896.4352.723.3115.7516.53
Cash and Bank Balance283.55510.64800.16321.9558.959.0719.5149.5625.216.61
Loans and Advances 422.47462.55266.0856.0275.4640.5933.973.023.494.65
Total Current Assets961.281,133.871,177.92476.27246.21146.1106.1875.8944.4337.79
Current Liabilities 157.5711983.89230.1206.17114.3848.0624.2153.7413.08
Provisions 9.028.150.790.460.780.560.750.470.650.11
Total Current Liabilities & Provisions166.59127.1584.68230.56206.95114.9448.8124.6954.3913.18
Net Current Assets794.691,006.721,093.24245.7139.2631.1657.3751.21-9.9524.61
Deferred Tax Assets8.288.566.033.23.453.442.081.130.370.06
Deferred Tax Liability1.220.980.860.80.48000.1300
Net Deferred Tax7.067.585.172.42.973.442.0810.370.06
Other Assets293.121.0329.8223.2923.3723.8913.3715.4528.940.85
Total Assets1,204.891,143.381,243.46358.84117.08106.51110.6399.0229.6432.29
Contingent Liabilities650.88458.56261.9940.2126.4733.6628.6232.023.665.13

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...455.08
Depreciation86.05
Interest (Net)2.34
P/L on Sales of Assets0.03
Prov. and W/O (Net)16.52
P/L in Forex-12.76
Fin. Lease and Rental Charges3.12
Total Adjustments (PBT and Ext...71.29
Operating Profit before Workin...526.37
Trade and 0ther Receivables-386.12
Trade Payables180.91
Total Adjustments (OP before W...-549.35
Cash Generated from/(used in) ...-22.98
Direct Taxes Paid-74.61
Total Adjustments(Cash Generat...-74.61
Cash Flow before Extraordinary...-97.59
Net Cash from Operating Activi...-97.59
Purchased of Fixed Assets-35.61
Sale of Investments25.62
Interest Received22.23
Net Cash used in Investing Act...-1.79
Proceeds from Issue of shares ...11.24
Proceed from 0ther Long Term B...331.66
Of the Long Tem Borrowings-90.19
Of Financial Liabilities-7.78
Dividend Paid-69.61
Interest Paid-17.3
Net Cash used in Financing Act...158.02
Net Profit before Tax and Extr...155.82
Depreciation17.11
Interest (Net)-51.59
Dividend Received39.28
P/L on Sales of Assets0.03
Prov. and W/O (Net)5.39
P/L in Forex-5.19
Fin. Lease and Rental Charges1.33
Total Adjustments (PBT and Ext...-77.36
Operating Profit before Workin...78.46
Trade and 0ther Receivables-99.15
Trade Payables40.86
Total Adjustments (OP before W...-26.15
Cash Generated from/(used in) ...52.31
Direct Taxes Paid-34.54
Total Adjustments(Cash Generat...-34.54
Cash Flow before Extraordinary...17.77
Net Cash from Operating Activi...17.77
Purchased of Fixed Assets-20.13
Interest Received30.24
Loans to Subsidiaires-218.56
Net Cash used in Investing Act...19.5
Proceeds from Issue of shares ...11.25
Of Financial Liabilities-3.56
Dividend Paid-68.79
Interest Paid-1.97
Net Cash used in Financing Act...-63.07

Company Details

Registered Office
Address4th Dimension 3rd Floor,
Mind Space Malad (W)
CityMumbai
StateMaharashtra
Pin Code400064
Tel. No.91-22-4033 7676
Fax. No.91-22-4033 7650
Emailcomplianceofficer@routemobile.com
Internethttp://www.routemobile.com
Registrars
Address4th Dimension 3rd Floor
CityMumbai
StateMaharashtra
Pin Code400064
Tel. No.91-22-4033 7676
Fax. No.91-22-4033 7650
Emailcomplianceofficer@routemobile.com
Internethttp://www.routemobile.com
Management
Name Designation
Rajdipkumar GuptaManaging Director
Guillaume Antoine BoutinChairman (Non-Executive)
Mark James ReidNon Executive Director
Anil ChananaIndependent Director
Harita GuptaIndependent Director
Prakash AdvaniIndependent Director
Rathindra DasCompany Sec. & Compli. Officer