NSE BSE
capacite infraproject ltd stock

CAPACITE INFRAPROJECT LTD Share Price

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Sector: -

21749

540710

CAPACITE

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CAPACITE INFRAPROJECT LTD Share Price Update


As of the latest trading session, CAPACITE INFRAPROJECT LTD share price is currently at 299.6, which is up by 3.39 from its previous closing. Today, the stock has fluctuated between 295.35 and 302.00. Over the past year, CAPACITE INFRAPROJECT LTD has achieved a return of 74.59 %. In the last month alone, the return has been -2.51 %.

CAPACITE INFRAPROJECT LTD Performance

Day Range

Low295.35 High302.00
299.60

52 Week Range

Low 162.10 High 323.55
299.60

Open Price

297.25

Prev. Close

296.20

Volume (Shares)

183069.00

Total traded value

548.47

Upper Circuit

311.00

Lower Circuit

281.40

Note: The current prices & values are delayed, Login to your account for live updates.

CAPACITE INFRAPROJECT LTD Fundamentals


(Standalone)

Market Cap (Cr) 2034.02
PE Ratio (TTM) 29.94
Book Value / Share 172.26
Beta 1.49
ROE 9.25%
EPS (TTM) 9.99
Dividend Yield 0.00%
Net Profit Qtr (Cr) 25.65

CAPACITE INFRAPROJECT LTD Financials

  • Key Results
  • Key Ratios
  • Balance sheet
  • Cash Flow
  • Competition

Revenue

Net income

Particulars DEC 2023 (Values in Cr)
Revenue 441.57
Operating Expense 407.72
Net Profit 25.65
Net Profit Margin (%) 5.80
Earnings Per Share (EPS) 3.45
EBITDA 87.91
Effective Tax Rate (%) 29.08
Particulars SEP 2023 (Values in Cr)
Revenue 418.05
Operating Expense 406.70
Net Profit 18.81
Net Profit Margin (%) 4.49
Earnings Per Share (EPS) 2.55
EBITDA 76.53
Effective Tax Rate (%) 28.56
Particulars JUN 2023 (Values in Cr)
Revenue 420.57
Operating Expense 399.73
Net Profit 19.05
Net Profit Margin (%) 4.52
Earnings Per Share (EPS) 2.81
EBITDA 74.98
Effective Tax Rate (%) 25.67
Particulars MAR 2023 (Values in Cr)
Revenue 438.90
Operating Expense 404.34
Net Profit 21.03
Net Profit Margin (%) 4.79
Earnings Per Share (EPS) 3.10
EBITDA 85.32
Effective Tax Rate (%) 42.20
Particulars DEC 2022 (Values in Cr)
Revenue 443.43
Operating Expense 415.03
Net Profit 22.85
Net Profit Margin (%) 5.15
Earnings Per Share (EPS) 3.37
EBITDA 89.80
Effective Tax Rate (%) 26.16
Particulars MAR 2023 (Values in Cr)
Revenue 1790.76
Operating Expense 1664.99
Net Profit 94.33
Net Profit Margin (%) 5.26
Earnings Per Share (EPS) 13.89
EBITDA 360.35
Effective Tax Rate (%) 30.09
Particulars MAR 2022 (Values in Cr)
Revenue 1339.83
Operating Expense 1287.06
Net Profit 48.46
Net Profit Margin (%) 3.61
Earnings Per Share (EPS) 7.14
EBITDA 231.61
Effective Tax Rate (%) 26.39
Particulars MAR 2021 (Values in Cr)
Revenue 879.72
Operating Expense 903.62
Net Profit 1.79
Net Profit Margin (%) 0.20
Earnings Per Share (EPS) 0.26
EBITDA 165.23
Effective Tax Rate (%) 62.86
Particulars MAR 2020 (Values in Cr)
Revenue 1528.74
Operating Expense 1450.73
Net Profit 90.92
Net Profit Margin (%) 5.94
Earnings Per Share (EPS) 13.39
EBITDA 282.10
Effective Tax Rate (%) 12.06
Particulars MAR 2019 (Values in Cr)
Revenue 1786.61
Operating Expense 1676.23
Net Profit 95.58
Net Profit Margin (%) 5.34
Earnings Per Share (EPS) 14.08
EBITDA 285.37
Effective Tax Rate (%) 35.09
Particulars MAR 2023 (Values in Cr)
Book Value / Share 156.29
ROE % 9.35
ROCE % 14.31
Total Debt to Total Equity 0.35
EBITDA Margin 20.09
Particulars MAR 2022 (Values in Cr)
Book Value / Share 142.16
ROE % 5.04
ROCE % 8.69
Total Debt to Total Equity 0.33
EBITDA Margin 17.24
Particulars MAR 2021 (Values in Cr)
Book Value / Share 136.79
ROE % 0.16
ROCE % 4.85
Total Debt to Total Equity 0.33
EBITDA Margin 18.76
Particulars MAR 2020 (Values in Cr)
Book Value / Share 136.38
ROE % 10.29
ROCE % 11.93
Total Debt to Total Equity 0.34
EBITDA Margin 18.45
Particulars MAR 2019 (Values in Cr)
Book Value / Share 124.18
ROE % 12.23
ROCE % 17.03
Total Debt to Total Equity 0.32
EBITDA Margin 15.98
Particulars MAR 2023 (Values in Cr)
Book Value / Share 156.30
ROE % 9.25
ROCE % 14.24
Total Debt to Total Equity 0.35
EBITDA Margin 20.12
Particulars MAR 2022 (Values in Cr)
Book Value / Share 142.32
ROE % 5.11
ROCE % 8.74
Total Debt to Total Equity 0.33
EBITDA Margin 17.29
Particulars MAR 2021 (Values in Cr)
Book Value / Share 136.84
ROE % 0.19
ROCE % 4.86
Total Debt to Total Equity 0.33
EBITDA Margin 18.78
Particulars MAR 2020 (Values in Cr)
Book Value / Share 136.38
ROE % 10.28
ROCE % 11.93
Total Debt to Total Equity 0.34
EBITDA Margin 18.45
Particulars MAR 2019 (Values in Cr)
Book Value / Share 124.19
ROE % 12.00
ROCE % 16.87
Total Debt to Total Equity 0.32
EBITDA Margin 15.97
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 174.56
Total Assets 2623.80
Total Liabilities 2623.80
Total Equity 1073.45
Share Outstanding 67891497
Price to Book Ratio 0.76
Return on Assets (%) 3.63
Return on Capital (%) 6.62
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 183.88
Total Assets 2381.33
Total Liabilities 2381.33
Total Equity 965.17
Share Outstanding 67891497
Price to Book Ratio 0.77
Return on Assets (%) 2.00
Return on Capital (%) 3.69
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 156.22
Total Assets 2245.56
Total Liabilities 2245.56
Total Equity 928.67
Share Outstanding 67891497
Price to Book Ratio 1.47
Return on Assets (%) 0.06
Return on Capital (%) 0.13
Particulars MAR 2020 (Values in Cr)
Cash & Short Term Investments 262.87
Total Assets 2364.46
Total Liabilities 2364.46
Total Equity 925.90
Share Outstanding 67891497
Price to Book Ratio 0.53
Return on Assets (%) 3.84
Return on Capital (%) 7.57
Particulars MAR 2019 (Values in Cr)
Cash & Short Term Investments 193.25
Total Assets 2051.20
Total Liabilities 2051.20
Total Equity 843.04
Share Outstanding 67891497
Price to Book Ratio 1.83
Return on Assets (%) 4.74
Return on Capital (%) 9.02
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 166.15
Total Assets 2608.93
Total Liabilities 2608.93
Total Equity 1073.56
Share Outstanding 67891497
Price to Book Ratio 0.76
Return on Assets (%) 3.61
Return on Capital (%) 6.55
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 183.87
Total Assets 2383.99
Total Liabilities 2383.99
Total Equity 966.24
Share Outstanding 67891497
Price to Book Ratio 0.77
Return on Assets (%) 2.03
Return on Capital (%) 3.74
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 156.21
Total Assets 2245.03
Total Liabilities 2245.03
Total Equity 929.04
Share Outstanding 67891497
Price to Book Ratio 1.47
Return on Assets (%) 0.07
Return on Capital (%) 0.15
Particulars MAR 2020 (Values in Cr)
Cash & Short Term Investments 262.84
Total Assets 2363.72
Total Liabilities 2363.72
Total Equity 925.87
Share Outstanding 67891497
Price to Book Ratio 0.53
Return on Assets (%) 3.84
Return on Capital (%) 7.56
Particulars MAR 2019 (Values in Cr)
Cash & Short Term Investments 193.05
Total Assets 2050.00
Total Liabilities 2050.00
Total Equity 843.12
Share Outstanding 67891497
Price to Book Ratio 1.83
Return on Assets (%) 4.66
Return on Capital (%) 8.86
Particulars MAR 2023 (Values in Cr)
Net Income 135.95
Cash from Operations 118.82
Cash from Investing -42.79
Cash from Financing -33.60
Net change in Cash 24.95
Free Cash Flow 211.19
Particulars MAR 2022 (Values in Cr)
Net Income 65.13
Cash from Operations 59.87
Cash from Investing -22.93
Cash from Financing 0.71
Net change in Cash 12.27
Free Cash Flow 162.01
Particulars MAR 2021 (Values in Cr)
Net Income 4.57
Cash from Operations 85.22
Cash from Investing -122.13
Cash from Financing -52.65
Net change in Cash -97.75
Free Cash Flow 197.79
Particulars MAR 2020 (Values in Cr)
Net Income 103.35
Cash from Operations 394.24
Cash from Investing -276.93
Cash from Financing -2.80
Net change in Cash 77.74
Free Cash Flow 659.53
Particulars MAR 2019 (Values in Cr)
Net Income 148.95
Cash from Operations 113.21
Cash from Investing -15.67
Cash from Financing -37.89
Net change in Cash 16.83
Free Cash Flow 337.25
Particulars MAR 2023 (Values in Cr)
Net Income 134.94
Cash from Operations 105.11
Cash from Investing -37.75
Cash from Financing -33.60
Net change in Cash 16.54
Free Cash Flow 192.44
Particulars MAR 2022 (Values in Cr)
Net Income 65.83
Cash from Operations 59.89
Cash from Investing -22.83
Cash from Financing 0.71
Net change in Cash 12.28
Free Cash Flow 162.03
Particulars MAR 2021 (Values in Cr)
Net Income 4.82
Cash from Operations 85.40
Cash from Investing -120.60
Cash from Financing -52.63
Net change in Cash -97.73
Free Cash Flow 197.96
Particulars MAR 2020 (Values in Cr)
Net Income 103.39
Cash from Operations 393.08
Cash from Investing -275.36
Cash from Financing -2.80
Net change in Cash 77.92
Free Cash Flow 658.37
Particulars MAR 2019 (Values in Cr)
Net Income 147.25
Cash from Operations 104.72
Cash from Investing -9.42
Cash from Financing -37.81
Net change in Cash 16.72
Free Cash Flow 328.75
Company Name Price P/E P/B Market Cap 52 Week Low/High
CAPACITE INFRAPROJECT LTD 299.10 28.08 1.73 2530.51 159.10 / 323.45
Capacite Infraprojects Ltd 38.90 12.92 -0.32 68.50 37.08 / 64.70
PENINSULA LAND LIMITED 66.28 21.95 13.16 2046.07 17.10 / 72.95
AMJ LAND HOLDINGS LIMITED 41.05 21.05 1.02 168.31 22.10 / 45.75
CITADEL REALTY AND DEVELOPERS 37.88 26.12 2.45 29.90 18.07 / 51.00
Company Name Price P/E P/B Market Cap 52 Week Low/High
CAPACITE INFRAPROJECT LTD 299.10 29.94 1.73 2530.51 159.10 / 323.45
SANATHNAGAR ENTERPRISES LIMITE 61.29 6.56 -2.12 19.31 15.21 / 61.29
BARODA RAYON CORPORATION LTD. 181.75 21.46 1.31 416.41 150.00 / 249.30
Capacite Infraprojects Ltd 38.90 12.80 -0.43 68.50 37.08 / 64.70
PENINSULA LAND LIMITED 66.28 30.69 17.91 2046.07 17.10 / 72.95

Technicals

  • EMA & SMA
  • Resistance and Support
  • Price Change Analysis
- redarrow -
red-green-graph indicator
Bullish Moving Averages -
Bearish Moving Averages -
  • 5 Days 287.00
  • 26 Days 291.90
  • 10 Days 287.90
  • 50 Days 284.40
  • 12 Days 289.60
  • 100 Days 274.60
  • 20 Days 292.80
  • 200 Days 217.10
296.52
PIVOT
First Resistance 300.93
Second Resistance 305.67
Third Resistance 310.08
First Support 291.78
Second Support 287.37
Third Support 282.63
RSI 40.68
MACD -2.32
Commodity Channel Index (CCI) -1.48
ADX 20.73
Williams % R -38.06

Over 1 Month

down

-2.51

Over 3 Months

down

10.50

Over 6 Months

down

15.11

Over 1 Year

down

74.59

Over 3 Years

down

15.77

Over 5 Years

down

5.14

CAPACITE INFRAPROJECT LTD Future

Future: Price

25 May
0 100 200 300 400 500 600

Discount/Premium

25 May
0 1 2 3 4 5 6 7

Active Calls

25 May
0 500 1000 1500 2000 2500 3000

Active Puts

25 Jul
0 500 1000 1500 2000 2500

CAPACITE INFRAPROJECT LTD Shareholding Pattern

  • Shareholding Summary
  • Historical Promotor Holding
  • Historical MF Holding
  • Historical FII Holding

Holding

Others
54.04
Promoter Holdings
31.69
FII
11.11
DII
3.14
Promoter Shares(Pledge Percentage)
44.89
Name Category Shares Shares%
Katyal Merchandise Private Limited Shareholding of Promoter and Promoter Group 9072994.0 10.72
Rahul Ramnath Katyal Shareholding of Promoter and Promoter Group 8930953.0 10.56
Mukul Mahavir Public Shareholding 5250000.0 6.21
Rohit Ramnath Katyal Shareholding of Promoter and Promoter Group 5000000.0 5.91
Sakshi Rohit Katyal Shareholding of Promoter and Promoter Group 3806093.0 4.5
Paragon Partners Growth Fund A/c Public Shareholding 2932915.0 3.47
Valiant Mauritius Partners Offshore Public Shareholding 2765547.0 3.27
Quant Mutual Fund Qunat Small Cap Public Shareholding 2026624.0 2.4
Vikas Vijaykumar Public Shareholding 1470000.0 1.74
Valiant Mauritius Partners Limited Public Shareholding 1003561.0 1.19
Puja Mukul Varma Public Shareholding 881581.0 1.04
Rahul Ramnath Katyal ( Acting As A Partner Of M/s Asutosh Trade Link) Shareholding of Promoter and Promoter Group 0.0 0.0
Nidhi Rahul Katyal Shareholding of Promoter and Promoter Group 70.0 0.0
Monita Malhotra Shareholding of Promoter and Promoter Group 929.0 0.0
Subir Malhotra Shareholding of Promoter and Promoter Group 439.0 0.0

CAPACITE INFRAPROJECT LTD

  • Dividend
  • Bonus
  • Split
Ex-Date Dividend Amt. Dividend Type Record Date Instrument Type
2019-08-20 1.0 Final 2019-08-22 Equity shares 2018-08-24 1.0 Final 2018-08-27 Equity shares
Ex-Date Ex-Bonus Ratio
Ex-Date Old FV NEW FV Record Date

Learn More About Stocks

About CAPACITE INFRAPROJECT LTD

Read More
  • Management structure
  • Board of directors
  • Committees of the board of directors

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Frequently Asked Questions

What is the Share Price of Capacite Infraprojects Ltd?

Answer Field

The share price of Capacite Infraprojects Ltd for NSE is ₹ 299.6 and for BSE is ₹ 299.4.

What is the Market Cap of Capacite Infraprojects Ltd?

Answer Field

The market cap of Capacite Infraprojects Ltd for NSE is ₹ 2,034.02 Cr. and for BSE is ₹ 2,032.67 Cr. as of now.

What is the 52 Week High and Low of Capacite Infraprojects Ltd?

Answer Field

The 52 Week High and Low of Capacite Infraprojects Ltd for NSE is ₹ 323.55 and ₹ 162.10 and for BSE is ₹ 323.45 and ₹ 159.10.

How to Buy Capacite Infraprojects Ltd share?

Answer Field

You can trade in Capacite Infraprojects Ltd shares with Bajaj Broking by opening a Demat Account.

What is 1 year return for Capacite Infraprojects Ltd?

Answer Field

The 1 year returns on the stock has been 74.59%.

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