Coal India Ltd (COALINDIA)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 388.75
% Change: 0.36% (Prev Close: 387.35)

Volume: 43,76,579
% Change: -5.00% (Prev Volume: 46,07,020)

Delivery: 27,29,631
Delivery % : 62.37
% Change: 5.34% (Prev Delivery: 25,91,276)

Turnover: 16,985 Lacs
% Change: -5.57% (Prev Turnover: 17,988)

πŸ’Ή EOD Valuation

P/E Ratio: 7.23
P/B Ratio: 2.42
Market Cap: 239575 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: COALINDIA
Market Cap: 230979 Rs. Cr.
Face Value: 10.00 Rs.

52 Week High: 517.85
52 Week Low: 349.20

All-Time High: 544.70 Rs.
All-Time Low: 109.50 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
2.71% | -2.29% | 2.40% | -22.60% | 18.95%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 63.13%

Change (3Y | 1Y): -3.00% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 8.16%

Change (3Y | 1Y): 1.62% | 0.42%

DII Holding

DII Holding: 22.66%

Change (3Y | 1Y): 0.17% | -0.69%

Public Holding: 5.93%


🏦 Financial Strength

Debt to Equity: 0.09
Debt: 9145.73 Rs. Cr.

Book Value: 160.81 Rs.
Current Ratio: 1.45
Interest Coverage: 48.37
Free Cash Flow: 15960.25 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: -1.68%

Sales Growth Qtr (YOY | QoQ):
-1.71% | -5.24%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
8.33% | 9.33% | -1.68%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -12.40%

Profit Growth Qtr (YOY | QoQ):
-20.22% | -8.95%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
16.17% | 26.74% | -12.40%


EPS Rs.

EPS (TTM): 53.78 Rs.

EPS Qtr (Last Year | Latest):
17.78 Rs. | 14.19 Rs.

EPS Annual (Last Annual | Annual March):
60.69 Rs. | 57.37 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
16.17% | 26.74%


Net Profit Rs. Cr.

Net Profit (TTM): 33092.72 Rs. Cr.

Net Profit (Annual - March): 35302.10 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
10943.55| 9592.53 | 8734.17


EBITDA Rs. Cr.

EBITDA (Quarter): 14281.50 Rs. Cr.
EBITDA (Previous Yr Ql): 16308.53 Rs. Cr.

EBITDA (Annual - March): 56995.86 Rs. Cr.
EBITDA (Previous Annual): 56348.55 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
15.25% | 25.84%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 32.04%

OPM Qtr (Previous | Current):
31.17% | 34.93%

OPM Annual (5 Yrs | Last Yr | March):
29.17% | 33.14% | 32.83%


Return on Equity %

ROE: 38.89%

ROE (5 Yrs | 3 Yrs | Last Yr):
46.58% | 48.67% | 52.08%


Return on Capital Employed %

ROCE: 48.04%

ROCE (5 Yrs | 3 Yrs | Last Yr):
57.68% | 63.06% | 63.59%


Return on Assets %

ROA (TTM): 14.25%

ROA (5 Yrs | 3 Yrs | Last Yr):
12.95% | 15.46% | 16.32%



PEG Ratio: 0.26
Dividend Yield: 7.07%

PE 3 Yrs: 6.69
PE 5 Yrs: 6.73

Dividend Yield: 7.07%


πŸ‘₯ Company

Coal India Ltd

COALINDIA

Promoter Holding: %

Cochin Shipyard Ltd (COCHINSHIP)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 1629.40
% Change: -1.25% (Prev Close: 1650.00)

Volume: 5,61,567
% Change: -21.27% (Prev Volume: 7,13,266)

Delivery: 2,04,964
Delivery % : 36.50
% Change: -11.35% (Prev Delivery: 2,31,211)

Turnover: 9,202 Lacs
% Change: -22.28% (Prev Turnover: 11,840)

πŸ’Ή EOD Valuation

P/E Ratio: 50.43
P/B Ratio: 7.64
Market Cap: 42870 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: COCHINSHIP
Market Cap: 42309 Rs. Cr.
Face Value: 5.00 Rs.

52 Week High: 2547.25
52 Week Low: 1180.20

All-Time High: 2979.45 Rs.
All-Time Low: 104.50 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
0.26% | -27.35% | 30.12% | -9.89% | 109.70%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 67.91%

Change (3Y | 1Y): -4.95% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 3.87%

Change (3Y | 1Y): 1.12% | 0.99%

DII Holding

DII Holding: 6.33%

Change (3Y | 1Y): 1.96% | -0.49%

Public Holding: 21.90%


🏦 Financial Strength

Debt to Equity: 0.09
Debt: 500.83 Rs. Cr.

Book Value: 213.27 Rs.
Current Ratio: 1.34
Interest Coverage: 28.94
Free Cash Flow: -749.10 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 22.61%

Sales Growth Qtr (YOY | QoQ):
37.70% | -40.80%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
5.76% | 12.38% | 22.61%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -3.91%

Profit Growth Qtr (YOY | QoQ):
3.88% | -34.01%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
5.80% | 12.85% | -3.91%


EPS Rs.

EPS (TTM): 32.31 Rs.

EPS Qtr (Last Year | Latest):
6.87 Rs. | 7.14 Rs.

EPS Annual (Last Annual | Annual March):
30.91 Rs. | 32.04 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
5.80% | 12.85%


Net Profit Rs. Cr.

Net Profit (TTM): 849.92 Rs. Cr.

Net Profit (Annual - March): 842.91 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
180.85| 284.70 | 187.86


EBITDA Rs. Cr.

EBITDA (Quarter): 288.43 Rs. Cr.
EBITDA (Previous Yr Ql): 262.51 Rs. Cr.

EBITDA (Annual - March): 1253.94 Rs. Cr.
EBITDA (Previous Annual): 1192.74 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
5.50% | 11.63%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 19.28%

OPM Qtr (Previous | Current):
15.35% | 23.90%

OPM Annual (5 Yrs | Last Yr | March):
20.56% | 24.29% | 19.29%


Return on Equity %

ROE: 15.85%

ROE (5 Yrs | 3 Yrs | Last Yr):
13.99% | 13.47% | 17.21%


Return on Capital Employed %

ROCE: 20.13%

ROCE (5 Yrs | 3 Yrs | Last Yr):
17.83% | 16.80% | 21.62%


Return on Assets %

ROA (TTM): 6.76%

ROA (5 Yrs | 3 Yrs | Last Yr):
6.74% | 5.80% | 7.46%



PEG Ratio: 3.87
Dividend Yield: 0.47%

PE 3 Yrs: 41.64
PE 5 Yrs: 12.16

Dividend Yield: 0.47%


πŸ‘₯ Company

Cochin Shipyard Ltd

COCHINSHIP

Promoter Holding: %

Coforge Ltd (COFORGE)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 1694.40
% Change: 1.95% (Prev Close: 1662.00)

Volume: 17,05,824
% Change: 36.96% (Prev Volume: 12,45,512)

Delivery: 7,91,149
Delivery % : 46.38
% Change: 26.47% (Prev Delivery: 6,25,587)

Turnover: 28,942 Lacs
% Change: 39.19% (Prev Turnover: 20,793)

πŸ’Ή EOD Valuation

P/E Ratio: 56.50
P/B Ratio: 8.88
Market Cap: 56678 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: COFORGE
Market Cap: 57682 Rs. Cr.
Face Value: 2.00 Rs.

52 Week High: 2005.36
52 Week Low: 1190.84

All-Time High: 2005.36 Rs.
All-Time Low: 8.30 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
1.47% | -2.46% | 12.35% | 36.77% | 35.57%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 0.00%

Change (3Y | 1Y): -40.09% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 37.42%

Change (3Y | 1Y): 15.55% | -2.79%

DII Holding

DII Holding: 52.32%

Change (3Y | 1Y): 26.44% | 2.39%

Public Holding: 10.25%


🏦 Financial Strength

Debt to Equity: 0.17
Debt: 1070.40 Rs. Cr.

Book Value: 190.77 Rs.
Current Ratio: 1.74
Interest Coverage: 10.68
Free Cash Flow: 679.90 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 44.68%

Sales Growth Qtr (YOY | QoQ):
56.49% | 8.17%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
23.56% | 23.28% | 44.68%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 22.86%

Profit Growth Qtr (YOY | QoQ):
88.48% | 15.98%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
13.60% | 8.14% | 22.86%


EPS Rs.

EPS (TTM): 29.99 Rs.

EPS Qtr (Last Year | Latest):
3.99 Rs. | 9.49 Rs.

EPS Annual (Last Annual | Annual March):
26.14 Rs. | 24.29 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
12.08% | 4.81%


Net Profit Rs. Cr.

Net Profit (TTM): 1153.20 Rs. Cr.

Net Profit (Annual - March): 936.10 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
139.30| 307.30 | 356.40


EBITDA Rs. Cr.

EBITDA (Quarter): 595.60 Rs. Cr.
EBITDA (Previous Yr Ql): 333.40 Rs. Cr.

EBITDA (Annual - March): 1858.40 Rs. Cr.
EBITDA (Previous Annual): 1489.10 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
18.94% | 17.25%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 14.54%

OPM Qtr (Previous | Current):
15.45% | 15.64%

OPM Annual (5 Yrs | Last Yr | March):
15.58% | 15.55% | 14.05%


Return on Equity %

ROE: 16.71%

ROE (5 Yrs | 3 Yrs | Last Yr):
21.51% | 21.08% | 24.09%


Return on Capital Employed %

ROCE: 20.66%

ROCE (5 Yrs | 3 Yrs | Last Yr):
27.38% | 26.68% | 28.60%


Return on Assets %

ROA (TTM): 10.39%

ROA (5 Yrs | 3 Yrs | Last Yr):
14.13% | 13.21% | 14.30%



PEG Ratio: 7.34
Dividend Yield: 0.88%

PE 3 Yrs: 46.40
PE 5 Yrs: 44.36

Dividend Yield: 0.88%


πŸ‘₯ Company

Coforge Ltd

COFORGE

Promoter Holding: %

Cohance Lifesciences Ltd (COHANCE)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 1021.00
% Change: 2.61% (Prev Close: 995.05)

Volume: 5,15,762
% Change: -89.56% (Prev Volume: 49,38,667)

Delivery: 1,59,107
Delivery % : 30.85
% Change: -91.02% (Prev Delivery: 17,71,916)

Turnover: 5,201 Lacs
% Change: -89.22% (Prev Turnover: 48,254)

πŸ’Ή EOD Valuation

P/E Ratio: 81.75
P/B Ratio: 15.32
Market Cap: 39063 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: COHANCE
Market Cap: 33689 Rs. Cr.
Face Value: 1.00 Rs.

52 Week High: 1360.00
52 Week Low: 856.30

All-Time High: 1360.00 Rs.
All-Time Low: 87.05 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
-5.89% | -14.23% | -22.38% | -19.82% | 22.42%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 66.41%

Change (3Y | 1Y): 6.41% | 16.31%

Pledged %: 100.00%

FII Holding

FII Holding: 7.23%

Change (3Y | 1Y): -1.26% | -3.82%

DII Holding

DII Holding: 11.40%

Change (3Y | 1Y): 4.44% | -5.20%

Public Holding: 14.95%


🏦 Financial Strength

Debt to Equity: 0.16
Debt: 279.07 Rs. Cr.

Book Value: 66.65 Rs.
Current Ratio: 1.91
Interest Coverage: 18.82
Free Cash Flow: 132.45 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 63.99%

Sales Growth Qtr (YOY | QoQ):
12.55% | -34.64%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
7.51% | -3.20% | 63.99%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 37.87%

Profit Growth Qtr (YOY | QoQ):
-27.52% | -60.39%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
-5.33% | -16.20% | 37.87%


EPS Rs.

EPS (TTM): 12.49 Rs.

EPS Qtr (Last Year | Latest):
2.96 Rs. | 1.28 Rs.

EPS Annual (Last Annual | Annual March):
11.80 Rs. | 10.52 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
-5.33% | -16.20%


Net Profit Rs. Cr.

Net Profit (TTM): 328.82 Rs. Cr.

Net Profit (Annual - March): 264.77 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
75.37| 117.15 | 46.40


EBITDA Rs. Cr.

EBITDA (Quarter): 126.18 Rs. Cr.
EBITDA (Previous Yr Ql): 144.51 Rs. Cr.

EBITDA (Annual - March): 392.91 Rs. Cr.
EBITDA (Previous Annual): 422.88 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
-2.45% | -15.05%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 28.80%

OPM Qtr (Previous | Current):
27.27% | 20.39%

OPM Annual (5 Yrs | Last Yr | March):
40.21% | 38.61% | 31.34%


Return on Equity %

ROE: 12.67%

ROE (5 Yrs | 3 Yrs | Last Yr):
21.47% | 16.75% | 14.11%


Return on Capital Employed %

ROCE: 14.89%

ROCE (5 Yrs | 3 Yrs | Last Yr):
29.48% | 22.05% | 18.78%


Return on Assets %

ROA (TTM): 8.86%

ROA (5 Yrs | 3 Yrs | Last Yr):
18.84% | 14.20% | 12.66%



PEG Ratio: -5.91
Dividend Yield: 0.00%

PE 3 Yrs: 43.56
PE 5 Yrs: 34.73

Dividend Yield: 0.00%


πŸ‘₯ Company

Cohance Lifesciences Ltd

COHANCE

Promoter Holding: %

Colgate Palmolive Ltd (COLPAL)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 2401.50
% Change: 0.57% (Prev Close: 2388.00)

Volume: 4,49,814
% Change: 0.41% (Prev Volume: 4,47,969)

Delivery: 2,51,377
Delivery % : 55.88
% Change: -0.46% (Prev Delivery: 2,52,549)

Turnover: 10,781 Lacs
% Change: 0.21% (Prev Turnover: 10,758)

πŸ’Ή EOD Valuation

P/E Ratio: 46.88
P/B Ratio: 39.24
Market Cap: 65321 Rs. Cr.


Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: COLPAL
Market Cap: 63422 Rs. Cr.
Face Value: 1.00 Rs.

52 Week High: 3893.00
52 Week Low: 2151.00

All-Time High: 3893.00 Rs.
All-Time Low: 89.55 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
6.79% | -2.08% | -3.73% | -35.12% | 12.81%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 51.00%

Change (3Y | 1Y): 0.00% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 20.39%

Change (3Y | 1Y): 1.69% | -1.84%

DII Holding

DII Holding: 9.34%

Change (3Y | 1Y): 0.51% | 1.50%

Public Holding: 19.00%


🏦 Financial Strength

Debt to Equity: 0.04
Debt: 60.84 Rs. Cr.

Book Value: 61.20 Rs.
Current Ratio: 1.38
Interest Coverage: 430.48
Free Cash Flow: 1323.07 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 2.12%

Sales Growth Qtr (YOY | QoQ):
-4.19% | -1.95%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
5.95% | 5.80% | 2.12%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -1.45%

Profit Growth Qtr (YOY | QoQ):
-11.91% | -9.68%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
11.96% | 10.03% | -1.45%


EPS Rs.

EPS (TTM): 51.23 Rs.

EPS Qtr (Last Year | Latest):
13.38 Rs. | 11.79 Rs.

EPS Annual (Last Annual | Annual March):
48.67 Rs. | 52.83 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
11.96% | 10.03%


Net Profit Rs. Cr.

Net Profit (TTM): 1393.45 Rs. Cr.

Net Profit (Annual - March): 1436.81 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
363.98| 355.00 | 320.62


EBITDA Rs. Cr.

EBITDA (Quarter): 470.51 Rs. Cr.
EBITDA (Previous Yr Ql): 531.74 Rs. Cr.

EBITDA (Annual - March): 2096.54 Rs. Cr.
EBITDA (Previous Annual): 1977.59 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
10.88% | 9.60%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 31.82%

OPM Qtr (Previous | Current):
34.05% | 31.56%

OPM Annual (5 Yrs | Last Yr | March):
31.55% | 33.47% | 32.42%


Return on Equity %

ROE: 81.19%

ROE (5 Yrs | 3 Yrs | Last Yr):
73.20% | 72.39% | 74.52%


Return on Capital Employed %

ROCE: 105.34%

ROCE (5 Yrs | 3 Yrs | Last Yr):
93.06% | 93.76% | 96.80%


Return on Assets %

ROA (TTM): 46.23%

ROA (5 Yrs | 3 Yrs | Last Yr):
40.32% | 42.24% | 44.01%



PEG Ratio: 4.54
Dividend Yield: 2.19%

PE 3 Yrs: 48.16
PE 5 Yrs: 45.51

Dividend Yield: 2.19%


πŸ‘₯ Company

Colgate Palmolive Ltd

COLPAL

Promoter Holding: %