Updated:19 Jun 2013 03:45:00 PM(IST)
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USD/INR57.87
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ISIN: INE725A01022 | BSE : NBVENTURES | Industry: Diversified - Medium / Small | Comments
| Price Information | |
| Open | 169.15 |
| High | 174.70 |
| Low | 169.15 |
| Previous Close | 170.65 |
| Shares Traded | 1696 |
| 52 Wk High Price | 207.00 |
| 52 Wk High Date | - |
| 52 Wk Low Price | 146.00 |
| 52 Wk Low Date | - |
| Face Value | 2.00 |
| Fundamentals | |
| Market Capital (Rs.cr) | 1547.12 |
| EPS (Rs.)(TTM) | 26.70 |
| P/E Ratio(TTM) | 6.50 |
| Book Value (Rs.) | 258.10 |
| Price to Book Value | 0.67 |
| Equity (Rs.cr.) | 17.86 |
| Traded Value (Rs.lac) | 2.69 |
| Corporate Actions | |
| Ex-Date | Purpose (Rs.) |
| 2011-07-18 | 300% Dividend (6) |
| 2012-07-30 | 200% Dividend (4) |
| Index Names | |
| BSE-500 | |
| Share Tips for Nava Bharat Ventures Ltd |
| Buy Nava Bharat Ventures Ltd above 204 (04:20PM, Apr 23 '12) |
| INTRADAY NIFTY TIPS : Sell Nava Bharat (12:55AM, Sep 09 '11) |
| Sell Nava Bharat Ventures Ltd below 18 (12:08PM, Aug 22 '11) |
| Free Tips Of 25-2 -2011 : SURYALAXMI ( (10:15PM, Feb 24 '11) |
| Buy Nava Bharat Ventures Ltd above 232 (02:35PM, Feb 21 '11) |
| Mutual funds holding in Nava Bharat Ventures Ltd |
| UTI Energy Fund - Growth |
| Sahara Power & Natural Resources Fund - Growth |
| Sahara Super 20 Fund - Growth |
| Sahara Star Value Fund - Growth |
| Reliance Equity Linked Saving Fund - Series I - Growth |
| Key Financials | Latest Qrtr. | Trailing Yr. | Full Yr. |
| Year End | Mar, 2013 | Mar, 2013 | Mar, 2013 |
| Sales (Rs.cr) | 158.78 | 981.01 | 981.01 |
| Net Profit (Rs.cr) | 53.89 | 238.62 | 238.62 |
| Net Profit Var (%) | -26.00 | 53.00 | 53.00 |
| EPS (Rs) | - | 26.70 | 26.70 |
| P/E Ratio | - | 6.50 | 6.50 |
| Operating Profit Margin | - | 30.50 | - |
| CPS (Rs.) | - | - | 32.10 |
| P/C Ratio | - | - | 5.40 |
| Div% | - | - | 250.00 |
Gross Deliverables
| Date | Del. Shares | Trd. Qty. | Del.(%) | Del. Value | Turnover |
| 17-06-2013 | 45 | 82 | 54.88 | 7826 | 14.11 |
| 13-06-2013 | 1692 | 1794 | 94.31 | 291109 | 307.94 |
| 07-06-2013 | 768 | 907 | 84.67 | 127795 | 152.65 |
| 28-05-2013 | 343 | 484 | 70.87 | 59425 | 83.60 |
| 24-05-2013 | 1770 | 3281 | 53.95 | 303732 | 565.75 |
Bulk Deals
| Deal Date | Client Name | Type | Qty | Price |
| 07-11-2012 | HC MAURITIUS LTD | B | 500000 | 194.99 |
| 07-11-2012 | WELLINGTON MANAGEMENT CO LLP A/C J CAIRD BMD MB (620929) | B | 550345 | 195.00 |
| 07-11-2012 | WELLINGTON MANAGEMENT CO LLP A/C BAY POND MB (193923) | B | 646870 | 195.00 |
| 07-11-2012 | WELLINGTON MANAGEMENT CO LLP A/C RETAIL EMP SP TRUST (38ES) | B | 1019922 | 195.00 |
| 07-11-2012 | KINGFISHER CAPITAL CLO LIMITED | S | 4533135 | 195.00 |
Block Deals
| Deal Date | Client Name | Type | Qty | Price |
| 30-11-2011 | NAV DEVELOPERS LIMITED | B | 300000 | 184.00 |
| 30-11-2011 | ANUMOLU JAYASREE | S | 300000 | 184.00 |
Note:
- % change is w.r.t. Prev. Close
- On ex-date % change is w.r.t. open price
- On the date ofmovement of security from/to trade for trade segment, %
change is w.r.t. open price
- 52 week high & 52 week low prices are based on the trade date &
not adjusted with corporate action
Comment(s) posted on Nava Bharat Ventures Ltd