ITC

ITC Share Price

₹480.20 -4.4 (-0.91%)

05 Nov, 2024 19:05

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Performance

  • Low
  • ₹477
  • High
  • ₹485
  • 52 Week Low
  • ₹399
  • 52 Week High
  • ₹529
  • Open Price₹483
  • Previous Close₹485
  • Volume7,327,830

Investment Returns

  • Over 1 Month -4.64%
  • Over 3 Month -1.82%
  • Over 6 Month + 10.02%
  • Over 1 Year + 10.84%
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ITC Fundamentals Fundamentals refer to the financial data that companies report on a quarterly or annual basis.

  • P/E Ratio
  • 29.2
  • PEG Ratio
  • 16.6
  • Market Cap Cr
  • 600,715
  • P/B Ratio
  • 8
  • Average True Range
  • 9.15
  • EPS
  • 16.3
  • Dividend Yield
  • 2.9
  • MACD Signal
  • -5.25
  • RSI
  • 39.61
  • MFI
  • 38.73

ITC Financial

IndicatorSep 24Jun 24Mar 24Dec 23Sep 23
Net Sales/Income from operations20,537.3516,857.5916,398.1416,314.2016,393.74
Total Income From Operations20,537.3517,000.0916,579.2916,483.2516,550.07
P/L Before Interest, Excpt. Items & Tax6,769.466,565.886,545.876,742.886,524.01
P/L Before Exceptional Items & Tax6,754.686,554.746,533.756,730.506,513.50
P/L After Tax from Ordinary Activities5,078.344,917.455,020.205,572.074,926.96
Net Profit/Loss For the Period5,078.344,917.455,020.205,572.074,926.96
IndicatorMar 24Mar 23
Revenue From Operations [Gross]69,446.2069,480.89
Revenue From Operations [Net]64,781.7265,272.88
Total Operating Revenues65,440.8166,043.27
Total Revenue68,979.0968,480.88
Total Expenses42,655.7543,803.34
Profit/Loss Before Tax26,315.7724,750.41
Profit/Loss For The Period20,421.9718,753.31
IndicatorMar 24Mar 23
Net CashFlow - Operating Activity16,118.2317,911.70
Net Cash Used In Investing Activity2,127.55-5,159.37
Net Cash Used in Finance Activity-18,255.03-12,730.43
Net Inc/Dec In Cash And Equivalent-9.2521.90
Cash And Equivalent End Of Year197.63206.88
IndicatorMar 24Mar 23
Total Share Capital1,248.471,242.80
Total Non-Current Liabilities2,678.692,252.32
Total Current Liabilities12,415.6112,415.62
Total Capital And Liabilities87,327.6082,261.74
Total Non-Current Assets51,256.9347,058.30
Total Current Assets36,070.6735,203.44
Total Assets87,327.6082,261.74
Indicator20242023
EBIT Margin (%)40.2937.42
Return On Capital Employed (%)35.2035.39
Return On Equity (%)28.2727.74
Long Term Debt To Equity (%)0.000.00
Book Value/Share (INR)57.8654.39
IndicatorSep 24Jun 24Mar 24Dec 23Sep 23
Net Sales/Income from operations22,281.8918,339.8317,767.6117,872.7117,641.96
Total Income From Operations22,281.8918,457.3317,922.7018,019.3717,774.47
P/L Before Interest, Excpt. Items & Tax6,857.376,944.726,848.616,701.206,666.08
P/L Before Exceptional Items & Tax6,840.996,933.476,836.026,687.606,656.21
P/L After Tax from Ordinary Activities5,046.325,169.375,187.225,400.514,955.90
Net Profit/Loss For the Period5,046.325,169.375,187.225,400.514,955.90
IndicatorMar 24Mar 23
Revenue From Operations [Gross]76,274.9875,826.58
Revenue From Operations [Net]70,315.4970,245.22
Total Operating Revenues70,881.0070,936.85
Total Revenue73,608.8472,917.34
Total Expenses46,489.0047,124.13
Profit/Loss Before Tax27,112.2725,866.08
Profit/Loss For The Period20,723.7519,427.68
IndicatorMar 24Mar 23
Net CashFlow - Operating Activity17,178.8618,877.55
Net Cash Used In Investing Activity1,562.77-5,732.29
Net Cash Used in Finance Activity-18,550.96-13,006.03
Net Inc/Dec In Cash And Equivalent190.67139.23
Cash And Equivalent End Of Year596.58405.91
IndicatorMar 24Mar 23
Total Share Capital1,248.471,242.80
Total Non-Current Liabilities3,245.792,604.78
Total Current Liabilities13,690.4013,739.41
Total Capital And Liabilities91,826.1685,882.98
Total Non-Current Assets50,760.6246,212.09
Total Current Assets41,065.5439,670.89
Total Assets91,826.1685,882.98
Indicator20242023
EBIT Margin (%)38.3236.42
Return On Capital Employed (%)34.7635.81
Return On Equity (%)27.4527.75
Long Term Debt To Equity (%)0.000.00
Book Value/Share (INR)59.9955.95

ITC Technicals

EMA & SMA

Current Price
₹480.20
-4.4 (-0.91%)
pointer
  • stock-down_img
  • Bullish Moving Average 3
  • stock-up_img
  • Bearish Moving Average 13
  • 20 Day
  • ₹489.43
  • 50 Day
  • ₹492.99
  • 100 Day
  • ₹484.06
  • 200 Day
  • ₹467.26

Resistance and Support

480.73 Pivot Speed
  • R3 492.62
  • R2 488.83
  • R1 484.52
  • S1 476.42
  • S2 472.63
  • S3 468.32

Is ITC Worth Buying?

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Ratings

Master Rating

EPS Strenth

Price Strength

Buyer Demand

Group Rank

ITC Ltd. is a diversified Indian conglomerate with businesses in FMCG, hotels, paper, packaging, agri-business, and information technology. Known for brands like Aashirvaad and Sunfeast, it operates across multiple sectors, contributing significantly to the Indian economy. ITC has an operating revenue of Rs. 76,681.29 Cr. on a trailing 12-month basis. An annual revenue growth of 1% is not great, Pre-tax margin of 38% is great, ROE of 27% is exceptional. The company is debt free and has a strong balance sheet enabling it to report stable earnings growth across business cycles. The stock from a technical standpoint is trading below to its 50DMA and around 7% up from its 200DMA. It needs to take out the 50DMA levels and stay above it to make any further meaningful move. It is currently FORMING a base in its weekly chart and is trading around 8% away from the crucial pivot point. From an O'Neil Methodology perspective, the stock has an EPS Rank of 50 which is a POOR score indicating inconsistency in earnings, a RS Rating of 44 which is POOR indicating the underperformance as compared to other stocks, Buyer Demand at C+ which is evident from recent supply seen, Group Rank of 80 indicates it belongs to a poor industry group of Tobacco and a Master Score of C is fair but needs to improve. Institutional holding has declined in the last reported quarter is a negative sign. Overall, the stock has poor technical strength and poor fundamentals, there are superior stocks in the current market environment. Disclaimer: This stock analysis report is algorithmically generated for informational purposes only and should not be considered as a buy or sell recommendation. (+)

ITC Corporate Actions - Bonus, Splits, Dividends

Date Purpose Remarks
2024-10-24 Quarterly Results
2024-08-01 Quarterly Results
2024-05-23 Audited Results & Final Dividend
2024-01-29 Quarterly Results & Interim Dividend
2023-10-19 Quarterly Results
Date Purpose Remarks
2024-06-04 FINAL Rs.7.50 per share(750%)Final Dividend
2024-02-08 INTERIM Rs.6.25 per share(625%)Interim Dividend
2023-05-30 FINAL Rs.6.75 per share(675%)Final Dividend
2023-05-30 SPECIAL Rs.2.75 per share(275%)Special Dividend
2023-02-15 INTERIM Rs.6.00 per share(600%)Interim Dividend

ITC F&O

ITC Shareholding Pattern

0%
12.76%
19.92%
15.07%
7.8%
12.43%
32.02%

About ITC

ITC Limited was established in 1970 under the name of Imperial Tobacco Company of India Limited. In 1970, the name changed to India Tobacco Company Limited. The company has now been renamed ITC Limited, and "ITC" is no longer an acronym today. It has a diverse presence in hotels, packaging, FMCG, speciality paper, software, boards, and agribusiness and is an Indian conglomerate company headquartered in Kolkata. 

ITC contributes to the major sectors of the country like Manufacturing, agriculture, and services creating 6 million sustainable livelihoods, most of them the poorest in rural India. ITC is one of India's leading private companies, with total sales of INR 49,257 crores and a net income of INR 17,065 crores as of March 31, 2021. Despite its size and diversity, ITC's commitment to being an example of sustainability practices is the only company in the world that is actively involved in recycling carbon, water, and solid waste.

ITC Limited operates in four segments: FMCG (fast-moving consumer goods), hotels, corrugated cardboard, paper/packaging, and agribusiness. The FMCG segment includes tobacco, such as cigarettes and cigars, as well as branded packaged foods (staples and meals, snack foods, dairy products and beverages, cookies and cakes, chocolate, coffee, and confectionery); Education and stationery; Personal care products; Safety matches and agarbatis and clothing.

The hotel segment includes hotel management. Corrugated board, paper, and packaging segments include corrugated board, the paper containing speciality paper, and packaging containing flexible materials. The agribusiness segment includes agricultural products such as soybeans, spices, coffee, and tobacco leaves. The "Other" segment includes I.T. services and branded housing. The brands include Ashirwad and Bingo!, Candyman, Aim, Superia, Engage, Mangaldeep, Fiama, Classmate, Vivel, and Homelite.

Company Background

Industry Name - Cigarettes & Tobacco Products
House Name - MNC Associate
Collaborative Country Name - N.A.
Joint Sector Name - N.A.
Year Of Incorporation - 1910
Year Of Commercial Production - N.A.
Address - Virginia House,, 37, Jawaharlal Nehru Road
District - Kolkata
State - West Bengal
Pin Code - 700071
Tel. No. - 033-22889371,033-22886426
Fax No. - 033-22882358
Email : isc@itc.in
Internet : http://www.itcportal.com
Auditors - SR BC & Co. LLP
Company Status - N.A.

Listing Information About ITC

1. Face Value 1.0
2. Market Lot Of Equity Shares1
3. BSE Code500875
4. BSE GroupA

The company forms a part of the following indices -

1. MCX-SX 40 Index
2. Nifty 100
3. Nifty 100 Low Volatility 30
4. Nifty 200
5. Nifty 50
6. Nifty 50 Equal Weight
7. Nifty 500
8. NIFTY 500 Multicap 50:25:25 Index
9. Nifty Dividend Opportunities 50
10. Nifty FMCG
11. Nifty Growth Sectors 15
12. Nifty India Consumption
13. Nifty LargeMidcap 250
14. Nifty Low Volatility 50
15. Nifty100 Equal Weight
16. NIFTY100 Quality 30
17. NIFTY200 Quality 30
18. Nifty50 USD
19. Nifty50 Value 20
20. S&P BSE 100
21. S&P BSE 100 LargeCap TMC Index
22. S&P BSE 200
23. S&P BSE 250 LargeMidCap Index
24. S&P BSE 500
25. S&P BSE Allsop
26. S&P BSE Bharat 22 Index
27. S&P BSE Carbonex
28. S&P BSE Dollex - 100
29. S&P BSE Dollex - 200
30. S&P BSE Dollex - 30
31. S&P BSE Fast Moving Consumer Goods
32. S&P BSE India Manufacturing
33. S&P BSE LargeCap
34. S&P BSE LargeMidCap
35. S&P BSE Low Volatility
36. S&P BSE Quality
37. S&P BSE Sensex
38. S&P BSE Sensex 50
 

(+)
  • NSE Symbol
  • ITC
  • BSE Symbol
  • 500875
  • Chairman & Managing Director
  • Mr. Sanjiv Puri
  • ISIN
  • INE154A01025

ITC FAQs

ITC share price is ₹480 As on 05 November, 2024 | 18:51

The Market Cap of ITC is ₹600715.4 Cr As on 05 November, 2024 | 18:51

The P/E ratio of ITC is 29.2 As on 05 November, 2024 | 18:51

The PB ratio of ITC is 8 As on 05 November, 2024 | 18:51

The ROE of ITC is 21%.

10 Years CAGR of ITC is 6%, 5 Years is 1%, 3 Years is -6%, and 1 Year is 20%.

Sanjiv Puri is the Chairman & Managing Director of ITC Limited.

The total net worth of ITC as of March 2021 stands at ₹ 590.09 billion.

ITC, in comparison with the other giants in the tobacco sector, has peers like VST Industries Ltd., Godfrey Phillips India Ltd., and Golden Tobacco Ltd. These brands are generally compared for analysis by investors.

Here is a list of the ownership status of ITC:

1. Domestic institutional investor holdings increased from 39.75 (March 31, 2021) to 41.29 (December 31, 2021)
2. Foreign institutional holdings decreased from 15.54 (March 31, 2021) to 12.48 (December 31, 2021)
3. Holdings by other investors increased from 44.71 (March 31 2021) to 46.23 (December 31 2021)

ITC percentages can be quickly analyzed using the following metrics:

1. P / E 
2. Price-to-book value ratio 
3. Dividend yield
4. EPS for ITC stock

Here are the following risk scores:

1. Total ESG risk: 28.15
2. Environmental score: 9.33/100
3. Social score: 14.03/100
4. Governance score: 10.8/100
5. Controversy score: 2/5
6. Dividend payout ratio: 124.72% of net profits

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