Overview (10 Jul 2020)
GODAWARI POWER & ISPAT LTD.
GPIL
INE177H01013

Iron and Steel/Interm.Products
Result was last declared on 27 Jun 2020
-1.35

Prev. Close
Previous Close
159.5
Current Close
158.15
Current High
162.8
Current Low
156
52 Week High
267.1
52 Week Low
81
Resistance 1
161.96
Resistance 2
165.78
Support 1
155.16
Support 2
148.36
Std Deviation
13.51%
DMA 200
159.25
DMA 50
139.12
DMA 20
163.82
Fundamentals and Ratios
Trailing EPS
34.45
Forwad EPS
30.87
Trailing P/E
4.59
Forward P/E
5.12
PEG Ratio
-0.4922
Mkt. Cap (Cr)
Market Cap (Cr)
557.14
Total Debt(Cr)
Tot. Debt(Cr)
1794.18
Reserve (Cr)
1135.18
Book Value
332.18
P/BV Ratio
0.48
ROCE(%)
12.00
ROE
10.00

 

Financial Result - Standalone
TypeMar-20Dec-19Sep-19Jun-19Mar-19FY19-20
Revenue646.69716.76680.29727.5766.082774.01
Other Income0.322.980.871.490.942.89
Total Income647.01719.74681.16728.99767.022776.90
Interest35.4037.9839.7540.5345.41153.66
Expenditure-599.03-684.09-632.13-664.01-682.67-2579.26
PBDT0.000.000.000.000.000.00
Depreciation-22.22-23.35-23.20-22.83-22.41-91.60
PBT47.9835.6549.0364.9884.35197.64
Tax-21.03-14.56-16.18-24.47-38.46-76.24
Equity0.000.000.000.000.000.00
OPM7.424.977.218.9111.007.00
Net Profit26.9521.0932.8540.5145.89121.4
NPM4.172.944.835.565.984
EPS7.656.189.3211.513.0234.45
Financial Result - Consolidated
TypeMar-20Dec-19Sep-19Jun-19Mar-19FY19-20
Revenue790.06836.75827.88833.84894.363288.53
Other Income-2.323.761.551.662.984.65
Total Income787.74840.51829.43835.50897.343293.18
Interest49.7351.6354.8155.7562.67211.93
Expenditure-719.36-793.32-751.94-748.48-802.61-3013.11
PBDT0.000.000.000.000.000.00
Depreciation-35.15-33.47-34.86-33.43-33.35-136.90
PBT58.0947.1977.4987.0294.73269.79
Tax-23.87-16.85-24.54-30.11-35.66-95.36
Equity0.000.000.000.000.000.00
OPM7.375.619.3410.4210.568.19
Net Profit34.6131.3253.3357.9660.88177.24
NPM4.393.736.436.946.785.38
EPS9.478.411316.4517.2847.33
Annual Reports

Corporate Action
Quarterly Result
Dividend
YearDividend TypeAmountRemarkEx Date
2015Final Dividend1.00Final Dividend - Rs. - 1.000027 Aug 2015
2014Final Dividend1.00Final Dividend - Rs. - 1.000017 Sep 2014
2014Interim Divvidend1.50Interim Dividend - Rs. - 1.500020 Mar 2014
2013Final Dividend2.50Dividend - Rs. - 2.500018 Sep 2013
2012Final Dividend2.50Final Dividend - Rs. - 2.500020 Sep 2012
2011Final Dividend2.50Final Dividend - Rs. - 2.500017 Aug 2011
2010Final Dividend2.50Dividend - Rs. - 2.500014 Sep 2010
2009Final Dividend2.50Dividend - Rs. - 2.500011 Sep 2009
2008Final Dividend2.50Final Dividend - Rs. - 2.500012 Sep 2008
2008Interim Divvidend1.50Interim Dividend - Rs. - 1.500010 Mar 2008
Bonus
Split

Mutual Fund Holddings
Fund NameQuantity (in thousand)
ICICI Prudential Commodities Fund
40.37
Sector: Iron and Steel/Interm.Products
CompanyCurrent CloseP/E Ratio
AANCHALISP
5.83
4.22
ADHUNIKIND
21.7
98.64
ADITYA
4.36
9.28
ANKITMETAL
0.65
-0.1
ASHIS
8.64
1.51
BALASORE
10.82
-3.55
BEEKAY
204.65
5.02
BIHSPONG
0.91
-91
ELANGO
3.2
-16.84
FACORALL
1.49
2.81
GAL
3.05
-2.35
GALLANTT
31.65
34.4
GPIL
158.15
4.59
HISARMETAL
68.8
9.5
IBRIGST
17.75
-16.9
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