Hindustan Petroleum Corporation Ltd

NSE :HINDPETRO   BSE :500104  Sector : Refineries
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04 Oct
406.90
(-1.96%)
03 Oct
415.05
(-6.71%)
01 Oct
444.90
(0.99%)
30 Sep
440.55
(0.59%)
27 Sep
437.95
(3.79%)
26 Sep
421.95
(1.09%)
25 Sep
417.40
(0.06%)
24 Sep
417.15
(3.40%)
23 Sep
403.45
(1.18%)
20 Sep
398.75
(0.18%)
19 Sep
398.05
(-2.31%)
18 Sep
407.45
(-0.31%)
17 Sep
408.70
(-0.37%)
16 Sep
410.20
(-0.17%)
13 Sep
410.90
(-0.60%)
12 Sep
413.40
(0.96%)
11 Sep
409.45
(-2.82%)
10 Sep
421.35
(-0.01%)
09 Sep
421.40
(-2.99%)
06 Sep
434.40
(-3.14%)
05 Sep
448.50
(0.76%)


Technical Analysis

Short Term Investors

Neutral

Medium Term Investors

Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bearish

428.92


10 DMA
Bearish

420.28


20 DMA
Bearish

416.91


50 DMA
Bullish

405.61


100 DMA
Bullish

375.41


200 DMA
Bullish

346.43



Intraday Support and Resistance
(Based on Pivot Points) |

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

Pivots Classic Fibonacci Camarilla Woodie DM
R3 434.05 423.9 412.03 - -
R2 423.9 416.78 410.32 424.31 -
R1 415.4 412.37 408.61 416.22 419.65
P 405.25 405.25 405.25 405.66 407.38
S1 396.75 398.13 405.19 397.57 401
S2 386.6 393.72 403.48 387.01 -
S3 378.1 386.6 401.77 - -

Key Metrics

EPS

41.57

P/E

9.79

P/B

2.11

Dividend Yield

5.16%

Market Cap

86,581 Cr.

Face Value

10

Book Value

192.82

ROE

40.45%

EBITDA Growth

3,021.08 Cr.

Debt/Equity

1.73

Shareholding Pattern

  54.9% Total Promoter Holding
14.81% Mutual Fund Holdings
13.34% FIIs
10.01% Non Institution
6.31% Insurance Companies
0% Custodians
0.63% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Hindustan Petroleum Corporation Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME 113378.36 96792.32 112138.72 115272.03 114821.62
PROFIT 6765.5 5826.96 712.84 2709.31 633.94
EPS 47.69 41.08 5.03 19.09 2.98

Hindustan Petroleum Corporation Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME 112588.26 96045.56 111862.71 115410.5 114374.34
PROFIT 6203.9 5118.16 529.02 2842.75 355.8
EPS 43.73 36.08 3.73 20.04 1.67

Profit & Loss (Figures in Rs. Crores)


Hindustan Petroleum Corporation Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 213434.52 179870.95 195558.78 221693.34 280097.73 271127.66 244549.37 354436.03 443285.09 440313.92
PROFIT 1485.43 4712.09 8216.95 7263.63 6681.81 3418.8 10701.19 7184.93 -6980.23 15986.58
EPS 5.73 20.43 36.02 31.57 29.27 11.54 48.95 34.27 -32.79 75.24

Hindustan Petroleum Corporation Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 204582.89 178753.93 192992.68 220377.75 279056.2 271023.07 244318.5 353282.18 441028.49 438623.24
PROFIT 2708.71 3760.68 6191.18 6411.69 6019.86 3319.01 10663.88 6268.97 -8974.03 14662.42
EPS 11.21 16.28 27.15 27.81 26.37 11.53 48.95 29.99 -42.16 69.03

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 1,418.941,418.941,418.941,452.411,524.211,524.211,524.211,016.27339.01339.01
Reserves Total 45,502.4130,844.3339,985.2736,628.4529,456.4128,876.4524,008.2320,055.1616,324.7613,585.4
Total Shareholders Funds46,921.3532,263.2741,404.2138,080.8630,980.6230,400.6625,532.4421,071.4316,663.7713,924.41
Minority Interest000000000114.33
Secured Loans 14,316.256,296.723,747.036,850.657,694.515,218.554,525.834,821.385,638.6516,965.95
Unsecured Loans 52,367.5764,374.344,750.7236,858.0836,306.9822,972.9917,426.1917,308.6916,521.5619,949.62
Total Debt66,683.8270,671.0248,497.7543,708.7344,001.4928,191.5421,952.0222,130.0722,160.2136,915.57
Other Liabilities999.6831.28560.68451.91280.15211.87115.59207.389,591.039,190.58
Total Liabilities1,14,604.771,03,765.5790,462.6482,241.575,262.2658,804.0747,600.0543,408.8848,415.0160,144.89
APPLICATION OF FUNDS :
Gross Block 1,10,584.5693,821.3479,342.268,554.3263,136.4552,862.2246,927.2842,337.7336,333.5467,391.32
Less: Accumulated Depreciation30,399.1925,014.8520,970.1617,642.4114,184.6711,220.728,232.145,461.472,655.1221,966.21
Less: Impairment of Assets422.81419.03245.940000000
Net Block79,762.5668,387.4658,126.150,911.9148,951.7841,641.538,695.1436,876.2633,678.4245,425.11
Capital Work in Progress20,077.825,607.3628,907.2425,336.0317,169.769,518.734,010.531,867.491,914.453,949.83
Producing Properties00000000407.90
Investments 29,540.323,689.1518,867.3515,093.4214,395.6114,297.4512,88211,773.439,184.526,112.82
Inventories 34,236.6729,622.0135,561.8228,817.9219,333.6720,451.318,621.7218,638.6513,354.8316,044.75
Sundry Debtors 9,324.096,832.386,340.316,869.993,934.195,667.795,587.024,091.663,776.284,070.73
Cash and Bank Balance473.43672.4257.97574.92223.12218.51,289.65136.4154.152,235.83
Loans and Advances 3,659.922,308.922,206.082,558.658,791.612,076.336,044.85,100.135,514.586,071.04
Total Current Assets47,694.1139,435.7144,366.1838,821.4832,282.5838,413.9231,543.1927,966.8422,799.8428,422.35
Current Liabilities 57,769.1452,527.9655,453.9343,271.3533,158.6638,232.7132,534.4628,417.7114,095.1420,305.73
Provisions 3,503.092,746.932,801.693,252.813,005.212,921.132,741.912,352.672,008.662,489.63
Total Current Liabilities & Provisions61,272.2355,274.8958,255.6246,524.1636,163.8741,153.8435,276.3730,770.3816,103.822,795.36
Net Current Assets-13,578.12-15,839.18-13,889.44-7,702.68-3,881.29-2,739.92-3,733.18-2,803.546,696.045,626.99
Deferred Tax Assets932.622,660.77734.89751.73447.89596.51611.02871.881,074.121,931.54
Deferred Tax Liability7,865.515,588.46,692.66,213.945,939.337,992.767,415.847,021.156,108.324,735.99
Net Deferred Tax-6,932.89-2,927.63-5,957.71-5,462.21-5,491.44-7,396.25-6,804.82-6,149.27-5,034.2-2,804.45
Other Assets5,735.124,848.414,409.14,065.034,117.843,482.562,550.381,844.511,567.881,834.59
Total Assets1,14,604.771,03,765.5790,462.6482,241.575,262.2658,804.0747,600.0543,408.8848,415.0160,144.89
Contingent Liabilities5,155.325,765.695,344.825,848.864,129.895,984.155,224.634,100.124,267.045,242.66
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 1,418.941,418.941,418.941,452.411,524.211,524.211,524.211,016.27339.01339.01
Reserves Total 39,610.8326,294.4937,258.134,733.727,438.1526,650.6122,424.0119,331.1417,630.7915,683.08
Total Shareholders Funds41,029.7727,713.4338,677.0436,186.1128,962.3628,174.8223,948.2220,347.4117,969.816,022.09
Secured Loans 11,756.824,413.813,357.366,760.377,332.74,830.724,117.754,489.995,210.863,977.81
Unsecured Loans 52,362.7163,591.2943,233.2236,155.4935,688.1522,408.9816,873.1316,759.7215,956.616,357.53
Total Debt64,119.5368,005.146,590.5842,915.8643,020.8527,239.720,990.8821,249.7121,167.4620,335.34
Other Liabilities889.24750.31839.86402.61262.38179.4983.17190.439,573.328,868.08
Total Liabilities1,06,038.5496,468.8486,107.4879,504.5872,245.5955,594.0145,022.2741,787.5548,710.5845,225.51
APPLICATION OF FUNDS :
Gross Block 1,08,492.5291,889.4477,520.8566,766.3861,750.4551,589.0245,691.0741,164.6535,735.2948,174.92
Less : Accumulated Depreciation 29,649.9124,306.9920,387.2616,865.8513,460.0410,609.717,719.365,032.772,627.7219,112.11
Less:Impairment of Assets43.8543.8500000000
Net Block 78,798.7667,538.657,133.5949,900.5348,290.4140,979.3137,971.7136,131.8833,107.5729,062.81
Capital Work in Progress16,678.7722,802.8126,765.9824,233.517,143.699,495.893,985.391,810.481,852.773,474.42
Investments 25,678.0721,210.7117,943.7214,992.7512,511.611,818.6311,105.110,918.610,578.5511,246.49
Inventories 33,991.6729,390.9635,392.7228,646.1919,148.8720,201.118,429.7118,585.7713,211.412,972.26
Sundry Debtors 9,321.136,817.196,331.86,856.313,922.725,6535,572.914,064.213,758.033,603.05
Cash and Bank Balance352.35538.57130.96237.2113.1595.611,178.5833.6723.7617.07
Loans and Advances 3,661.942,357.462,332.32,525.448,772.612,191.876,094.745,139.425,5015,628.13
Total Current Assets47,327.0939,104.1844,187.7838,265.1431,957.3438,141.5831,275.9427,823.0722,494.1922,220.51
Current Liabilities 57,276.9652,887.1155,320.9342,721.0732,961.9938,013.8432,345.428,305.613,940.7415,824.01
Provisions 3,502.782,746.672,801.483,570.63,323.093,074.042,879.852,490.62,008.622,397.52
Total Current Liabilities & Provisions60,779.7455,633.7858,122.4146,291.6736,285.0841,087.8835,225.2530,796.215,949.3618,221.53
Net Current Assets-13,452.65-16,529.6-13,934.63-8,026.53-4,327.74-2,946.3-3,949.31-2,973.136,544.833,998.98
Deferred Tax Assets875.62,577.4714.33702.85447.8587.9609.67859.031,043.58619.57
Deferred Tax Liability7,865.515,588.46,692.66,213.945,939.337,752.657,178.866,754.625,962.934,723.17
Net Deferred Tax-6,989.91-3,011-5,978.27-5,511.09-5,491.53-7,164.75-6,569.19-5,895.59-4,919.35-4,103.6
Other Assets5,325.54,457.324,177.093,915.424,119.163,411.232,478.571,795.311,546.211,546.41
Total Assets1,06,038.5496,468.8486,107.4879,504.5872,245.5955,594.0145,022.2741,787.5548,710.5845,225.51
Contingent Liabilities3,540.854,116.974,396.215,165.35,248.245,629.624,634.024,033.023,988.524,399.11

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...20,500.27
Depreciation5,596.43
Interest (Net)2,187.28
Dividend Received508.14
P/L on Sales of Assets-36.49
Prov. and W/O (Net)390.51
P/L in Forex189.66
Total Adjustments (PBT and Ext...6,406.94
Operating Profit before Workin...26,907.21
Trade and 0ther Receivables-2,571.71
Inventories-4,640.9
Trade Payables6,069.83
Loans and Advances-1,629.06
Total Adjustments (OP before W...-2,771.84
Cash Generated from/(used in) ...24,135.37
Direct Taxes Paid-283.5
Total Adjustments(Cash Generat...-283.5
Cash Flow before Extraordinary...23,851.87
Net Cash from Operating Activi...23,851.87
Purchased of Fixed Assets-10,071.24
Sale of Fixed Assets125.46
Purchase of Investments-3,449.34
Interest Received367.75
Net Cash used in Investing Act...-13,019.23
Proceed from 0ther Long Term B...10,102.12
Of the Long Tem Borrowings-16,835.74
Of the Short Term Borrowings-3,221.32
Dividend Paid-2,130.51
Interest Paid-4,069.59
Net Cash used in Financing Act...-16,155.04
Net Profit before Tax and Extr...19,153.13
Depreciation5,552.36
Interest (Net)2,150.44
Dividend Received508.14
P/L on Sales of Assets-41.7
Prov. and W/O (Net)447.25
P/L in Forex200.14
Total Adjustments (PBT and Ext...7,734.97
Operating Profit before Workin...26,888.1
Trade and 0ther Receivables-2,581.86
Inventories-4,627.34
Trade Payables6,681.18
Total Adjustments (OP before W...-2,684.56
Cash Generated from/(used in) ...24,203.54
Direct Taxes Paid-283.5
Total Adjustments(Cash Generat...-283.5
Cash Flow before Extraordinary...23,920.04
Net Cash from Operating Activi...23,920.04
Purchased of Fixed Assets-9,716.72
Sale of Fixed Assets125.41
Purchase of Investments-2.2
Interest Received364.09
Investment in Group Cos.-3,512.08
Net Cash used in Investing Act...-13,411.99
Proceed from 0ther Long Term B...9,433
Of the Long Tem Borrowings-16,043.22
Of the Short Term Borrowings-3,221.32
Dividend Paid-2,130.51
Interest Paid-3,848.23
Net Cash used in Financing Act...-15,810.28

Company Details

Registered Office
AddressPetroleum House,
17 Jamshedji Tata Road
CityMumbai
StateMaharashtra
Pin Code400020
Tel. No.91-22-22863900
Fax. No.91-22-22872992
Emailhpclinvestors@hpcl.co.in; corphqo@hpcl.co.in
Internethttp://www.hindustanpetroleum.com
Registrars
AddressPetroleum House
CityMumbai
StateMaharashtra
Pin Code400020
Tel. No.91-22-22863900
Fax. No.91-22-22872992
Emailhpclinvestors@hpcl.co.in; corphqo@hpcl.co.in
Internethttp://www.hindustanpetroleum.com
Management
Name Designation
RAJNEESH NARANGCMD & Director (Finance)
S BharathanDirector (Refineries)
AMIT GARGDirector (Marketing)
Vimla PradhanIndependent Non Exe. Director
Bechan LalIndependent Non Exe. Director
Vivekananda BiswalIndependent Non Exe. Director
Ramdarshan Singh PalIndependent Non Exe. Director
Nagaraja BhalkiIndependent Non Exe. Director
K S NarendiranIndependent Non Exe. Director
Pankaj KumarNominee (Govt)
Suresh K ShettyDirector (Human Resources)
V MuraliCompany Sec. & Compli. Officer
Vinod SeshanNominee (Govt)