VPRPL

Vishnu Prakash R Punglia Share Price

₹311.60 +18.3 (6.24%)

05 Nov, 2024 21:03

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Performance

  • Low
  • ₹291
  • High
  • ₹315
  • 52 Week Low
  • ₹141
  • 52 Week High
  • ₹336
  • Open Price₹293
  • Previous Close₹293
  • Volume1,986,612

Investment Returns

  • Over 1 Month + 18.19%
  • Over 3 Month + 12.49%
  • Over 6 Month + 94.87%
  • Over 1 Year + 61.62%
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Vishnu Prakash R Punglia Fundamentals Fundamentals refer to the financial data that companies report on a quarterly or annual basis.

  • P/E Ratio
  • 32.2
  • PEG Ratio
  • 1.3
  • Market Cap Cr
  • 3,884
  • P/B Ratio
  • 5.4
  • Average True Range
  • 17.06
  • EPS
  • 9.8
  • Dividend Yield
  • 0
  • MACD Signal
  • 11.27
  • RSI
  • 63.34
  • MFI
  • 64.67

Vishnu Prakash R Punglia Financial

IndicatorJun 24Mar 24Dec 23Sep 23Jun 23
Net Sales/Income from operations256.56657.21242.05296.44278.17
Total Income From Operations256.56657.21242.05296.44278.17
P/L Before Interest, Excpt. Items & Tax32.51105.3033.8437.4630.89
P/L Before Exceptional Items & Tax19.6990.7023.1028.7721.95
P/L After Tax from Ordinary Activities14.7667.1317.3721.2516.44
Net Profit/Loss For the Period14.7667.1317.3721.2516.44
IndicatorMar 24Mar 23
Revenue From Operations [Gross]1,467.121,167.90
Revenue From Operations [Net]1,467.121,167.90
Total Operating Revenues1,473.871,168.40
Total Revenue1,482.651,171.46
Total Expenses1,318.131,049.03
Profit/Loss Before Tax164.52122.44
Profit/Loss For The Period122.1990.64
IndicatorMar 24Mar 23
Net CashFlow - Operating Activity-316.24-8.41
Net Cash Used In Investing Activity-32.19-97.85
Net Cash Used in Finance Activity386.51108.07
Net Inc/Dec In Cash And Equivalent38.081.81
Cash And Equivalent End Of Year53.0915.00
IndicatorMar 24Mar 23
Total Share Capital124.6493.44
Total Non-Current Liabilities30.0864.39
Total Current Liabilities790.69446.59
Total Capital And Liabilities1,541.83825.48
Total Non-Current Assets198.59152.39
Total Current Assets1,343.24673.09
Total Assets1,541.83825.48
Indicator20242023
EBIT Margin (%)14.0713.06
Return On Capital Employed (%)27.6240.29
Return On Equity (%)16.9428.82
Long Term Debt To Equity (%)3.4719.17
Book Value/Share (INR)57.8533.66
Indicator20242023
EBIT Margin (%)14.0713.06
Return On Capital Employed (%)27.6240.29
Return On Equity (%)16.9428.82
Long Term Debt To Equity (%)3.4719.17
Book Value/Share (INR)57.8533.66

Vishnu Prakash R Punglia Technicals

EMA & SMA

Current Price
₹311.60
+ 18.3 (6.24%)
pointer
  • stock-down_img
  • Bullish Moving Average 16
  • stock-up_img
  • Bearish Moving Average 0
  • 20 Day
  • ₹287.64
  • 50 Day
  • ₹268.45
  • 100 Day
  • ₹247.16
  • 200 Day
  • ₹227.12

Resistance and Support

306 Pivot Speed
  • R3 345.40
  • R2 330.40
  • R1 321.00
  • S1 296.60
  • S2 281.60
  • S3 272.20

Is Vishnu Prakash R Punglia Worth Buying?

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Ratings

Master Rating

EPS Strenth

Price Strength

Buyer Demand

Group Rank

Vishnu Prakash R Punglia Ltd. is a leading construction and engineering company in India, specializing in infrastructure projects such as roads, bridges, and irrigation. The company focuses on quality, innovation, and timely delivery to meet the diverse needs of its clients. Vishnu Prakash R Punglia Ltd has an operating revenue of Rs. 1,452.26 Cr. on a trailing 12-month basis. An annual revenue growth of 27% is outstanding, Pre-tax margin of 11% is healthy, ROE of 16% is good. The company has a reasonable debt to equity of 3%, which signals a healthy balance sheet. The stock from a technical standpoint is comfortably placed above its key moving averages, around 14% and 42% from 50DMA and 200DMA. It has recently broken out of a base in its weekly chart and is trading around -1% from the pivot point (which is the ideal buying range for a stock). From an O'Neil Methodology perspective, the stock has an EPS Rank of 88 which is a GOOD score indicating consistency in earnings, a RS Rating of 77 which is FAIR indicating the recent price performance, Buyer Demand at A- which is evident from recent demand for the stock, Group Rank of 98 indicates it belongs to a poor industry group of Bldg-Heavy Construction 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 is lagging behind in some of the technical parameters, but great earnings make it a stock to examine in more detail. Disclaimer: This stock analysis report is algorithmically generated for informational purposes only and should not be considered as a buy or sell recommendation. (+)

Vishnu Prakash R Punglia Corporate Actions - Bonus, Splits, Dividends

Date Purpose Remarks
2024-11-08 Quarterly Results
2024-08-13 Quarterly Results
2024-05-27 Audited Results
2024-02-09 Quarterly Results
2023-09-25 Quarterly Results inter alia, to consider and approve Unaudited financial results for Quarter ended 30th, June 2023.

Vishnu Prakash R Punglia F&O

Vishnu Prakash R Punglia Shareholding Pattern

67.81%
4.08%
0%
1.08%
23.57%
3.46%
  • NSE Symbol
  • VPRPL
  • BSE Symbol
  • 543974
  • Managing Director
  • Mr. Manohar Lal Punglia
  • ISIN
  • INE0AE001013

Vishnu Prakash R Punglia FAQs

Vishnu Prakash R Punglia share price is ₹311 As on 05 November, 2024 | 20:49

The Market Cap of Vishnu Prakash R Punglia is ₹3883.9 Cr As on 05 November, 2024 | 20:49

The P/E ratio of Vishnu Prakash R Punglia is 32.2 As on 05 November, 2024 | 20:49

The PB ratio of Vishnu Prakash R Punglia is 5.4 As on 05 November, 2024 | 20:49

Q2FY23
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