eClerx Services Ltd

NSE :ECLERX   BSE :532927  Sector : IT - Software
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19 Apr
2408.20
(-1.70%)
18 Apr
2449.90
(0.29%)
16 Apr
2442.75
(-0.76%)
15 Apr
2461.35
(1.00%)
12 Apr
2436.95
(-1.95%)
10 Apr
2485.45
(0.30%)
09 Apr
2478.05
(-0.01%)
08 Apr
2478.30
(0.06%)
05 Apr
2476.85
(-0.02%)
04 Apr
2477.30
(1.09%)
03 Apr
2450.55
(2.94%)
02 Apr
2380.55
(-0.53%)
01 Apr
2393.25
(1.10%)
28 Mar
2367.30
(-0.83%)
27 Mar
2387.10
(1.93%)
26 Mar
2341.80
(-2.85%)
22 Mar
2410.45
(2.22%)
21 Mar
2358.00
(0.10%)
20 Mar
2355.65
(0.94%)
19 Mar
2333.70
(-5.18%)
18 Mar
2461.30
(1.46%)


Technical Analysis

Short Term Investors

Neutral

Medium Term Investors

Very Bearish

Long Term Investors

Bullish

Moving Averages

5 DMA
Bearish

2436.54


10 DMA
Bearish

2456.27


20 DMA
Bearish

2415.49


50 DMA
Bearish

2436.62


100 DMA
Bearish

2522.37


200 DMA
Bullish

2189.71



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Apr 19, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 2489.36 2465.83 2422.6 - -
R2 2465.83 2445.83 2417.8 2464.51 -
R1 2437.01 2433.48 2413 2434.37 2451.43
P 2413.48 2413.48 2413.48 2412.16 2420.69
S1 2384.66 2393.48 2403.4 2382.02 2399.08
S2 2361.13 2381.13 2398.6 2359.81 -
S3 2332.31 2361.13 2393.8 - -

Key Metrics

EPS

75.28

P/E

31.95

P/B

8.84

Dividend Yield

0.04%

Market Cap

11,806 Cr.

Face Value

10

Book Value

271.97

ROE

29.81%

EBITDA Growth

225.17 Cr.

Debt/Equity

0.11

Shareholding Pattern

  53.61% Total Promoter Holding
20.63% Mutual Fund Holdings
12.19% FIIs
9.78% Non Institution
0.44% Insurance Companies
1.66% Custodians
1.69% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


eClerx Services Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 704.56 698.19 692.16 735.9 773.55
PROFIT 131.16 132.55 106.32 135.97 139.95
EPS 26.41 27.05 22.12 28.2 28.76

eClerx Services Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 509.03 506.43 500.98 518.8 544.65
PROFIT 105.56 106.92 79.8 86.57 95.78
EPS 21.26 21.82 16.6 17.95 19.87

Profit & Loss (Figures in Rs. Crores)


eClerx Services Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 852.01 974.58 1351.27 1358.23 1426.55 1479.18 1484.28 1598.94 2184.97 2713.85
PROFIT 255.64 229.75 341.44 354.24 274.4 227.23 208.95 266.45 413.28 480.67
EPS 39.39 34.18 55.85 59.42 50.68 40.27 38.59 55.45 84.15 101.84

eClerx Services Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 729.14 850.26 1144.82 1190.5 1209.11 1195.65 1174.17 1230.36 1571.86 1944.88
PROFIT 246.49 215.84 314.45 337.73 262.31 208.56 156.53 222.67 350.54 370.18
EPS 37.87 35.54 48.19 55.49 48 36.1 22.27 46.81 71.49 78.78

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 48.0333.134.0136.137.7938.1439.7140.7930.3530.18
Reserves Total 1,666.841,534.491,466.811,377.071,455.161,228.851,185.971,051.95684.52558.78
Equity Application Money000-106.95-111.65-62.24-10.3300.140
Total Shareholders Funds1,714.871,567.591,500.821,306.221,381.31,204.751,215.351,092.74715.01588.96
Minority Interest1.681.220.90.610.590.540.450.5900
Unsecured Loans 193.56163.12174.73156.61.676.341.063.5100
Total Debt193.56163.12174.73156.61.676.341.063.5100
Other Liabilities56.2457.9759.1153.9753.3847.1728.6426.9821.4616.61
Total Liabilities1,966.351,789.91,735.561,517.41,436.941,258.81,245.51,123.82736.47605.57
APPLICATION OF FUNDS :
Gross Block 1,292.61,117.541,035.34713.96532.78488.2423.47416.43322.35259.99
Less: Accumulated Depreciation520.09404.97307.3234.22184.86144.7798.4151.43155.31105.23
Net Block772.51712.57728.04479.74347.92343.43325.06365167.04154.76
Capital Work in Progress20.822.170.480.80.170.091.8501.151.08
Investments 274.51195.88228.62436.79286.26165.27251.64219.38155.29115.48
Inventories 0.450.520.320.30.360.440.250.4600
Sundry Debtors 440.49329.27293.02237.78242.59232.85213.83186.1126.1498.73
Cash and Bank Balance427.93493.64490.86334.5451.55440.27355.66328.47286.58240.56
Loans and Advances 240.36252.55190.75165.56179.66198.87190.98139.98150.99113.35
Total Current Assets1,109.231,075.99974.95738.15874.16872.42760.71655563.71452.63
Current Liabilities 297.7255.03231.16185.96142.42150.97130.84137.9137.1224.68
Provisions 9.8510.2523.8419.664.636.034.912.83183.78159.26
Total Current Liabilities & Provisions307.55265.28255205.62147.05157135.75140.73220.9183.94
Net Current Assets801.68810.72719.95532.53727.11715.42624.96514.26342.81268.7
Deferred Tax Assets54.1437.9933.9738.4320.2712.130.122.46.973.71
Deferred Tax Liability13.8414.7317.5912.9413.2115.2316.9945.961.811.88
Net Deferred Tax40.323.2616.3825.497.06-3.1-16.89-23.565.161.83
Other Assets56.5545.3342.0942.0468.4237.6858.8848.7465.0263.71
Total Assets1,966.361,789.921,735.561,517.391,436.931,258.791,245.51,123.82736.46605.56
Contingent Liabilities63.0971.7833.3625.3425.3824.299.085.935.132.49
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 48.0333.134.0136.9838.7138.6339.7840.7930.3530.18
Reserves Total 1,110.811,141.431,148.621,074.321,266.051,056.521,059.31927.76616.24508.25
Equity Application Money00000.440.20.2400.140
Total Shareholders Funds1,158.841,174.531,182.631,111.31,305.21,095.351,099.33968.55646.73538.43
Unsecured Loans 124.65106.81120.85127000000
Total Debt124.65106.81120.85127000000
Other Liabilities33.7835.7438.7340.2739.0834.928.423.2419.5115.06
Total Liabilities1,317.271,317.081,342.211,278.571,344.281,130.251,127.73991.79666.24553.49
APPLICATION OF FUNDS :
Gross Block 430.39355.27319.8290.56175.54139.43128.04112.52164.95115.07
Less : Accumulated Depreciation 273.09219.46171.5131.55114.9692.669.6435.899.772.31
Net Block 157.3135.81148.3159.0160.5846.8358.476.7265.2542.76
Capital Work in Progress20.262.1700.270.1701.1201.151.08
Investments 675.8683.19712.86673.7519.55402.76484.94461.79247.44212.06
Sundry Debtors 322.84236.27194.31171.41186.45169.82169.65148.53114.0381.88
Cash and Bank Balance144.36217.02249.35220.61363.17380.34296.95235.55237.87222.49
Loans and Advances 190.94205.38163.39142.4157.35174.34174.57117.84138.22103.81
Total Current Assets658.14658.67607.05534.43706.96724.5641.17501.92490.12408.18
Current Liabilities 279.32228.46174.03235.13159.16154.81124.7696.848.2330.37
Provisions 0.180.0392.310.015.590.990.27157.59143.52
Total Current Liabilities & Provisions279.5228.49183.03237.44159.17160.4125.7597.07205.82173.89
Net Current Assets378.64430.19424.02296.99547.8564.1515.42404.85284.3234.29
Deferred Tax Assets39.9232.3631.9936.2819.3718.6411.360.244.762.88
Deferred Tax Liability2.355.787.97007.0113.34000
Net Deferred Tax37.5726.5824.0236.2819.3711.63-1.980.244.762.88
Other Assets47.7139.1432.99112.33196.82104.9469.8248.1863.3460.42
Total Assets1,317.281,317.071,342.191,278.581,344.291,130.261,127.72991.78666.25553.49
Contingent Liabilities58.568.3433.3625.3425.3824.299.086.384.252.33

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...652.99
Depreciation114.01
Interest (Net)12.39
P/L on Sales of Invest-10.68
Prov. and W/O (Net)2.51
P/L in Forex-9.58
Others-399.2
Total Adjustments (PBT and Ext...105.05
Operating Profit before Workin...758.04
Trade and 0ther Receivables-112.4
Inventories0.07
Trade Payables19.79
Total Adjustments (OP before W...-87.26
Cash Generated from/(used in) ...670.78
Direct Taxes Paid-178.2
Total Adjustments(Cash Generat...-178.2
Cash Flow before Extraordinary...492.57
Net Cash from Operating Activi...492.57
Purchased of Fixed Assets-90.76
Sale of Fixed Assets0.7
Purchase of Investments-1,611.99
Sale of Investments1,547.72
Interest Received6.46
Net Cash used in Investing Act...-54.8
Proceed from Bank Borrowings0.82
Share Application Money Refund21.86
Of Financial Liabilities-39.1
Dividend Paid-3.31
Interest Paid-21.14
Net Cash used in Financing Act...-440.07
Net Profit before Tax and Extr...504
Depreciation58.73
Interest (Net)8.71
P/L on Sales of Invest-10.61
Prov. and W/O (Net)2.42
P/L in Forex-11.85
Others-399.2
Total Adjustments (PBT and Ext...38.6
Operating Profit before Workin...542.59
Trade and 0ther Receivables-87.66
Trade Payables33.57
Total Adjustments (OP before W...-53.53
Cash Generated from/(used in) ...489.06
Direct Taxes Paid-134.28
Total Adjustments(Cash Generat...-134.28
Cash Flow before Extraordinary...354.78
Net Cash from Operating Activi...354.78
Purchased of Fixed Assets-55.42
Sale of Fixed Assets0.19
Purchase of Investments-1,563.8
Sale of Investments1,540.58
Interest Received5.82
Cancellation of Investment in ...51.68
Net Cash used in Investing Act...54.35
Share Application Money Refund21.86
Of Financial Liabilities-21.86
Dividend Paid-3.31
Interest Paid-16.24
Net Cash used in Financing Act...-418.74

Company Details

Registered Office
Address1st Floor 29 Bank Street,
Fort Sonawala Building
CityMumbai
StateMaharashtra
Pin Code400023
Tel. No.91-022-66148301
Fax. No.91-022-66148655
Emailinvestor@eclerx.com
Internethttp://www.eclerx.com
Registrars
Address1st Floor 29 Bank Street
CityMumbai
StateMaharashtra
Pin Code400023
Tel. No.91-022-66148301
Fax. No.91-022-66148655
Emailinvestor@eclerx.com
Internethttp://www.eclerx.com
Management
Name Designation
Anish GhoshalChairman & Independent Directo
Anjan MalikNon Executive Director
Biren GabhawalaIndependent Director
Deepa KapoorIndependent Director
Naresh GuptaIndependent Director
P D MundhraExecutive Director
Shailesh KekreIndependent Director
Srinjay SenguptaIndependent Director
Naval Bir KumarIndependent Director