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Capacite Infraproj. Share Price

Capacite Infraproj. (INR)393.4-13.8   (-3.4%)

Exchange ScripsBSE540710NSECAPACITEISININE264T01014

Stock Performance
Fundamentals
Technicals
Shareholding Patterns
Financials
Similar Stocks

Trendline of performance -

Capacite Infraproj. Performance

Market performance
Open price405.9
High414.2
Volumes725563
Prev Close393.4
Low387.8
Closing date2025-01-10
Historical performance
1 Year High465.00
3 Year High465.00
5 Year High465.00
1 Year Low210.10
3 Year Low98.20
5 Year Low70.20

Capacite Infraproj. Fundamentals

Company Valuation
Market Cap
Market Cap (₹Cr)
3316
Face Value
Face Value (₹)
10
P/E Ratio
P/E Ratio
27.67
Dividend Yield
Dividend Yield
N/A

Capacite Infraproj. Investment Returns

1 Year
39.3%
3 Years
132%
5 Years
101.5%
10 Years
N/A

Capacite Infraproj. Technicals

IndicatorsValueSignal
5-DMA412.43Bearish
10-DMA425.73Bearish
20-DMA434.2Bearish
50-DMA410.4Bearish
100-DMA395.31Bearish
200-DMA349.23Bullish

Shareholding Pattern

FieldSep-2024Jun-2024Mar-2024Dec-2023Sep-2023
Promoters88777
Foreign Investors---------------
Domestic Investors88777
Public Investors6658961600621385207252566
Government---------------

Capacite Infraproj. Financials

Below figures are in Rs. Crores

ParticularsMar-2024Mar-2023Mar-2022Mar-2021
Operating Expenses5460493733022006
Other Income32095131288
Operating Profit3634360923171653
Interest956894670703
Depreciation10141360988902
Profit Before Tax1674136065146
Consolidated Net Profit120395347815
Adjusted EPS14147---

Balance Sheet

Below figures are in Rs. Crores

ParticularsMar-2024Mar-2023Mar-2022Mar-2021
Share Capital846679679679
Total Reserves14324993289738608
Minority Interest1---------
Total Non-Current Liabilities3551499950525197
Total Liabilities32366292412506623782
Capital Work in Progress9120213759
Total Assets32366292412506623782

Cash Flow

Below figures are in Rs. Crores

ParticularsMar-2024Mar-2023Mar-2022Mar-2021
Cash Flow from Operating Activities-3881009345770
Cash Flow from Investing Activities-1523-606-229-1221
Cash Flow from Financing Activitie1816-3367-527
Net Cash Inflow / Outflow-9668123-978
0%
Negative
Neutral
Positive
  • The stock has a PE ratio of 27.67.
  • 3Y Stock Price CAGR of the stock is 32.8.
  • The stock has a beta of 1.6.
  • In the last financial year, the company had an EBITDA of ₹3634 Million.
  • The company generated revenue of ₹19316 Million in the previous financial year.

Capacite Infraproj.

393.4-13.8   (-3.4%)

Investment Amount: ₹ 27840
Current Value: ₹ 39340
Performance: 41.3%
P/L: ₹ 11500
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