Team Lease Services Ltd

NSE :TEAMLEASE   BSE :539658  Sector : Miscellaneous
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Today's low / high

52 WK low / high

bid price (qty)

offer price (qty)

NSE


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open price

volume

Today's' low / high

52 WK low / high

bid price (qty)

offer price (qty)

26 Dec
2887.40
(-0.67%)
24 Dec
2906.75
(0.25%)
23 Dec
2899.55
(-1.23%)
20 Dec
2935.70
(-1.00%)
19 Dec
2965.50
(2.16%)
18 Dec
2902.75
(0.03%)
17 Dec
2901.80
(1.77%)
16 Dec
2851.35
(1.44%)
13 Dec
2811.00
(-1.35%)
12 Dec
2849.60
(1.28%)
11 Dec
2813.50
(-1.22%)
10 Dec
2848.20
(3.48%)
09 Dec
2752.50
(-2.10%)
06 Dec
2811.55
(-2.24%)
05 Dec
2876.10
(-0.76%)
04 Dec
2898.10
(0.41%)
03 Dec
2886.35
(0.84%)
02 Dec
2862.25
(-1.24%)
29 Nov
2898.25
(-0.38%)
28 Nov
2909.20
(2.06%)
27 Nov
2850.40
(4.41%)


Technical Analysis

Short Term Investors

Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Bearish

Moving Averages

5 DMA
Bearish

2922.06


10 DMA
Bearish

2893.31


20 DMA
Bullish

2874.57


50 DMA
Bullish

2834.42


100 DMA
Bearish

2971.2


200 DMA
Bearish

3011.71



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Dec 26, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 3002.99 2963.57 2908.71 - -
R2 2963.57 2933.97 2901.61 2963.9 -
R1 2925.49 2915.68 2894.5 2926.15 2944.53
P 2886.07 2886.07 2886.07 2886.4 2895.59
S1 2847.99 2856.47 2880.3 2848.65 2867.03
S2 2808.57 2838.18 2873.19 2808.9 -
S3 2770.49 2808.57 2866.09 - -

Key Metrics

EPS

58.79

P/E

49.17

P/B

5.97

Dividend Yield

0%

Market Cap

4,842 Cr.

Face Value

10

Book Value

484.43

ROE

14.03%

EBITDA Growth

43.14 Cr.

Debt/Equity

0.13

Shareholding Pattern

  31.61% Total Promoter Holding
32.14% Mutual Fund Holdings
24.72% FIIs
9.03% Non Institution
1.39% Insurance Companies
0.04% Custodians
1.07% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Team Lease Services Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME2285.64 2458.88 2441.06 2593.93 2807.52
PROFIT27.27 27.71 27.48 20.79 24.58
EPS16.26 18.49 16.39 16.77 14.66

Team Lease Services Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME2069.38 2239.7 2223.51 2400.03 2589.39
PROFIT25.33 25.72 23.93 26.68 22.25
EPS15.11 17.37 14.27 15.91 13.27

Profit & Loss (Figures in Rs. Crores)


Team Lease Services Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 2018.46 2520.36 3062.96 3639.75 4465.66 5231.56 4916.18 6503.92 7923.16 9371.22
PROFIT 30.81 24.8 57.58 73.47 98 34.71 79.56 97.91 107.84 104.66
EPS 0 14.51 33.67 42.96 57.34 20.46 45.9 23.08 65.23 67.18

Team Lease Services Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 2021.89 2519.69 3013.62 3465.12 4161.93 4827.03 4514.13 5672.85 6938.34 8504.58
PROFIT 32.28 24.29 49.55 72.56 96.99 41.27 83.43 86.22 93.56 97.97
EPS 63.11 14.2 28.98 42.44 56.75 24.32 49.17 13.16 56.84 63.09

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 16.7717.117.117.117.117.117.117.117.10.51
Reserves Total 781.25790.53676.11634.93554.99522.02424.57349.25294.48148.31
Total Shareholders Funds798.02807.63693.21652.03572.09539.12441.67366.35311.58148.82
Minority Interest13.2312.8512.594000000
Secured Loans 30.5219.3427.670.0176.2310.636.061.119.360
Unsecured Loans 74.2980.7832.1622.8447.4401.23000
Total Debt104.81100.1259.8322.85123.6710.637.291.119.360
Other Liabilities137.42126.37117.992.4776.9666.0648.6138.1633.2322.8
Total Liabilities1,053.481,046.97883.53771.35772.72615.81497.57405.61364.17171.62
APPLICATION OF FUNDS :
Gross Block 504.57480.13406.97354.21345.2171.54152.75113.0336.2827.42
Less: Accumulated Depreciation211.8176.8144.7999.3280.5519.7815.26.125.1622.15
Net Block292.77303.33262.18254.89264.65151.76137.55106.9311.125.27
Capital Work in Progress11.316.9117.8315.0911.426.010.22004.19
Investments 3193.8853.3569.9925.3141.4159.2910.310.020.02
Inventories 000000000.230.22
Sundry Debtors 449.58380.27369.65277.69295.94264.35223.49172.94120.4781.25
Cash and Bank Balance421.41247.94293.01288.6997123.04142.43160.15258.97114.7
Loans and Advances 353.32278.94275.57207.28174.46155.2988.0474.8192.3940.92
Total Current Assets1,224.31907.15938.23773.65567.4542.68453.96407.9472.07237.09
Current Liabilities 881.5717.02654.03539.44482.53473.74388.49266.72205.14131.97
Provisions 00000001.129.289
Total Current Liabilities & Provisions881.5717.02654.03539.44482.53473.74388.49267.84214.41140.97
Net Current Assets342.81190.13284.21234.2184.8668.9465.46140.06257.6596.11
Deferred Tax Assets8.016.752.594.9614.4265.3139.9224.844.545.72
Deferred Tax Liability1.893.792.8500004.2200
Net Deferred Tax6.122.96-0.264.9614.4265.3139.9220.624.545.72
Other Assets397.48339.76266.24192.22372.05282.38195.12127.6990.8360.31
Total Assets1,053.481,046.97883.54771.35772.71615.81497.56405.6364.16171.62
Contingent Liabilities61.0867.8866.0780.5766.5762.0453.92043.347.19
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 16.7717.117.117.117.117.117.117.117.10.51
Reserves Total 745.51760.38661.42637.29551.7511.83415.56341.28293.06147.4
Total Shareholders Funds762.28777.48678.52654.39568.8528.93432.66358.38310.16147.91
Secured Loans 13.8312.9625.170.0164.870.010019.360
Unsecured Loans 68.5272.6928.1321.0543.700000
Total Debt82.3585.6553.321.06108.570.010019.360
Other Liabilities127.81115.85111.4490.1474.8264.7647.5837.2633.2322.8
Total Liabilities972.44978.98843.26765.59752.19593.7480.24395.64362.75170.71
APPLICATION OF FUNDS :
Gross Block 194.33172.25100.1380.5898.9417.7512.1410.4231.322.44
Less : Accumulated Depreciation 99.383.6662.3552.6952.0810.77.713.9922.5319.52
Net Block 95.0388.5937.7827.8946.867.054.436.438.772.92
Capital Work in Progress7.2614.816.2814.4111.423.050.22004.19
Investments 337.25528.13374.39374286.94210.1201.55109.382.372.37
Inventories 000000000.230.22
Sundry Debtors 303.36250.77242.04215.94239.76242.14196.67165.21120.4681.21
Cash and Bank Balance324.75173.52240.92264.0390.27110.66129.26155.86258.58114.28
Loans and Advances 287.86214.17203.37163.6129.65116.2261.7567.5391.3940.55
Total Current Assets915.97638.46686.34643.57459.68469.02387.68388.61470.67236.26
Current Liabilities 757.67613.8532.92493.9428.42435.75347.55259.01204.83131.7
Provisions 000000009.279
Total Current Liabilities & Provisions757.67613.8532.92493.9428.42435.75347.55259.01214.11140.7
Net Current Assets158.324.66153.41149.6731.2633.2740.13129.59256.5695.56
Deferred Tax Assets5.676.547.957.9513.964.294123.634.545.72
Deferred Tax Liability001.0300004.2200
Net Deferred Tax5.676.546.927.9513.964.294119.414.545.72
Other Assets368.93316.26254.47191.66361.8275.94192.92130.8190.559.95
Total Assets972.44978.98843.25765.59752.18593.7480.25395.63362.74170.71
Contingent Liabilities90.3490.7186.8191.6396.3260.0347.3840.0942.716.95

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...117.73
Depreciation52.53
Interest (Net)-17.47
P/L on Sales of Assets0.03
P/L on Sales of Invest-4.51
Prov. and W/O (Net)-0.73
Others-119.85
Total Adjustments (PBT and Ext...23.87
Operating Profit before Workin...141.6
Trade and 0ther Receivables-72.58
Trade Payables89.06
Total Adjustments (OP before W...25.06
Cash Generated from/(used in) ...166.66
Direct Taxes Paid-48.83
Total Adjustments(Cash Generat...-48.83
Cash Flow before Extraordinary...117.83
Net Cash from Operating Activi...117.83
Purchased of Fixed Assets-20.53
Sale of Fixed Assets0.06
Sale of Investments195.39
Interest Received18.88
Net Cash used in Investing Act...40.79
Of Financial Liabilities-21.29
Interest Paid-10.21
Net Cash used in Financing Act...-151.35
Net Profit before Tax and Extr...108.69
Depreciation31.87
Interest (Net)-34.16
P/L on Sales of Assets0.01
P/L on Sales of Invest-4.51
Prov. and W/O (Net)-1.68
Others-119.85
Total Adjustments (PBT and Ext...-12.93
Operating Profit before Workin...95.76
Trade and 0ther Receivables-55.45
Trade Payables73.07
Total Adjustments (OP before W...23.85
Cash Generated from/(used in) ...119.61
Direct Taxes Paid-37.4
Total Adjustments(Cash Generat...-37.4
Cash Flow before Extraordinary...82.21
Net Cash from Operating Activi...82.21
Purchased of Fixed Assets-14.74
Sale of Fixed Assets0.06
Sale of Investments195.39
Interest Received33.53
Loans to Subsidiaires-6
Net Cash used in Investing Act...36.96
Of Financial Liabilities-18.97
Interest Paid-8.19
Net Cash used in Financing Act...-147.01

Company Details

Registered Office
Address6th Flr BMTC Commercial Comple,
80 Feet Road Koramangala
CityBangalore
StateKarnataka
Pin Code560095
Tel. No.91-80-33002345
Fax. No.91-80-33243001
Emailcorporateaffairs@teamlease.com
Internethttps://group.teamlease.com
Registrars
Address6th Flr BMTC Commercial Comple
CityBangalore
StateKarnataka
Pin Code560095
Tel. No.91-80-33002345
Fax. No.91-80-33243001
Emailcorporateaffairs@teamlease.com
Internethttps://group.teamlease.com
Management
Name Designation
Narayan RamachandranChairman & Independent Directo
Ashok Kumar NedurumalliED / MD / Promoter
Manish SabharwalVice Chairman & Whole Time Dir
RITUPARNA CHAKRABORTYNon Executive Director
Latika PradhanIndependent Director
V RaghunathanIndependent Director
Zarir BatliwalaLead Independent Non Executive
MEKIN MAHESHWARIIndependent Director
Meenakshi NevatiaIndependent Director
Subramaniam SomasundaramIndependent Director
Alaka ChandaCompany Sec. & Compli. Officer