IndiaOne Finance
Home
Mutual Funds
Stocks
Blog
Mutual Fund
Equity
Learning
Calculators
Back
Overview
Key Ratios
Charts
Financials
Corp Action
Mutual Fund Holdings
Overview (06 Dec 2019)
RELIANCE INDUSTRIES LTD.
RELIANCE
INE002A01018
Integrated Oil & Gas
Result was last declared on 18 Oct 2019
4.05
Prev. Close
Previous Close
1550.85
Current Close
1554.9
Current High
1568
Current Low
1541.1
52 Week High
1614.45
52 Week Low
1055
Resistance 1
1568.24
Resistance 2
1581.57
Support 1
1541.34
Support 2
1514.44
Std Deviation
5.34%
DMA 200
1322.38
DMA 50
1439.96
DMA 20
1526.94
Fundamentals and Ratios
Trailing EPS
55.48
Forwad EPS
57.43
Trailing P/E
28.03
Forward P/E
27.08
PEG Ratio
7.7178
Mkt. Cap (Cr)
Market Cap (Cr)
985345.51
Total Debt(Cr)
Tot. Debt(Cr)
369013.00
Reserve (Cr)
381186.00
Book Value
610.88
P/BV Ratio
2.55
ROCE(%)
8.00
ROE
9.00
Financial Result
Type
Sep-19
Jun-19
Mar-19
Dec-18
Sep-18
FY18-19
Revenue
90760
92636
86572
103998
98862
384904
Other Income
3629.00
3345.00
2883.00
2456.00
2012.00
9419.00
Total Income
94389.00
95981.00
89455.00
106454.00
100874.00
394323.00
Interest
2723.00
2701.00
2791.00
2405.00
2417.00
9751.00
Expenditure
-82134.00
-83872.00
-78124.00
-94482.00
-86387.00
-346956.00
PBDT
0.00
0.00
0.00
0.00
14487.00
0.00
Depreciation
-2317.00
-2175.00
-2465.00
-2586.00
-2745.00
-10558.00
PBT
12255.00
12109.00
11331.00
11972.00
11742.00
47367.00
Tax
-2553.00
-3073.00
-2775.00
-3044.00
-2883.00
-12204.00
Equity
0.00
0.00
0.00
0.00
6338.00
0.00
OPM
13.50
12.62
12.67
11.00
14.65
12.00
Net Profit
9702
9036
8556
8928
8859
35163
NPM
10.69
9.41
9.56
8
8.96
9
EPS
15.31
14.26
13.5
14.08
13.98
55.48
Annual Reports
2016
2017
2018
2019
Corporate Action
Quarterly Result
Dividend
Year
Dividend Type
Amount
Remark
Ex Date
2019
Final Dividend
6.50
Final Dividend - Rs. - 6.5000
02 Aug 2019
2018
Final Dividend
6.00
Dividend - Rs. - 6.0000
27 Jun 2018
2017
Final Dividend
11.00
Dividend - Rs. - 11.0000
13 Jul 2017
2016
Interim Divvidend
10.50
Interim Dividend - Rs. - 10.5000
17 Mar 2016
2015
Final Dividend
10.00
Dividend - Rs. - 10.0000
08 May 2015
2014
Final Dividend
9.50
Dividend - Rs. - 9.5000
16 May 2014
2013
Final Dividend
9.00
Dividend - Rs. - 9.0000
10 May 2013
2012
Final Dividend
8.50
Dividend - Rs. - 8.5000
31 May 2012
2011
Final Dividend
8.00
Dividend - Rs. - 8.0000
05 May 2011
2010
Final Dividend
7.00
Dividend - Rs. - 7.0000
10 May 2010
2009
Final Dividend
13.00
Dividend - Rs. - 13.0000
16 Oct 2009
2008
Final Dividend
13.00
Dividend - Rs. - 13.0000
08 May 2008
Bonus
Year
Ratio
Remark
Ex Date
2017
1:1
Bonus issue 1:1
07 Sep 2017
2009
1:1
Bonus issue 1:1
26 Nov 2009
Split
Mutual Fund Holddings
Fund Name
Quantity (in thousand)
SBI ETF Nifty 50
35,322.46
SBI ETF SENSEX
12,633.67
KOTAK STANDARD MULTICAP FUND
12,500.00
HDFC Balanced Advantage Fund
10,509.00
HDFC Top 100 Fund
10,293.26
HDFC Equity Fund
10,194.77
UTI NIFTY Exhcange Traded Fund
8,522.02
SBI Equity Hybrid Fund
7,000.00
Aditya Birla Sun Life Frontline Equity Fund
6,418.69
Reliance Arbitrage Fund
6,260.00
Kotak Equity Arbitrage Fund
5,642.50
Aditya Birla Sun Life Tax Relief '96
5,171.29
1
2
3
4
5
6
7
8
9
10
...
Sector: Integrated Oil & Gas
Company
Current Close
P/E Ratio
ADANIGAS
150.65
3.19
DEEPIND
103.15
5.53
RELIANCE
1554.9
28.03
Copyright: IndiaOne Media 2019