| 20 Microns |
PAT ₹178M vs ₹169M YoY, Revenue flat ₹2.5B, Margin 13.24% |
🟡 HOLD - Weak |
Revenue flat, PAT marginal increase. No growth catalyst. Volume low. |
| Aadhar Housing Finance |
PAT ₹2.82B vs ₹2.37B YoY, Revenue ₹9.93B vs ₹8.48B |
🟢 GREEN - Good |
Housing finance growth steady. Affordable housing theme. Good hold. |
| Aarti Drugs |
PAT ₹502M vs ₹539M YoY, Revenue ₹7B vs ₹5.9B, Margin 13.97% |
🟡 HOLD - Operator Stock |
YOUR ANALYSIS CORRECT. Revenue up, PAT down. Volume low. Operator trap. Avoid. |
| ABB India |
PAT ₹3.62B (est ₹3.88B), Revenue ₹35.59B (est ₹33.22B), Margin 12.57% vs est 14% |
🟡 HOLD - Margin Miss |
Revenue beat, margin miss. Special dividend ₹90/share positive. Wait. |
| Aditya Birla Capital |
PAT ₹11.7B vs ₹8.35B YoY, Revenue ₹122B vs ₹95B |
🟢 GREEN - Strong |
PAT up 40%. Financial services growing. Good hold. |
| Aether Industries |
PAT ₹628M vs ₹470M YoY, Revenue ₹3.26B vs ₹2.56B, Margin 31.5% |
🟢 GREEN - Quality |
Strong margin, clean beat. Chemical specialty player. Buy. |
| Aptus Value Housing |
PAT ₹2.6B vs ₹2.2B YoY, Revenue ₹6B vs ₹5.2B, GNPA 1.42% vs 1.29% |
🟡 HOLD - Asset Quality Worry |
GNPA rising. Margin under pressure. Stock -6% reflects concern. |
| Ashika Credit |
PAT ₹1B vs ₹877M YoY, Revenue ₹1.7B vs ₹1.2B |
🟢 GREEN - Strong |
PAT up 14%. Credit growth. Small cap quality. |
| Astec Lifesciences |
Loss ₹187M vs Loss ₹330M YoY, Revenue ₹836M vs ₹911M |
🟡 HOLD - Loss Narrowing |
Still losing money. But improving. Wait for PAT positive. |
| Bajaj Finserv |
PAT ₹31.3B (est ₹27.6B), Revenue ₹420B vs ₹345B |
🟢 GREEN - Massive Beat |
PAT beat by 13%. Re-insurance approval. Strong hold. |
| Bajaj Holdings |
PAT ₹27B vs ₹35B YoY, Revenue ₹4.19B vs ₹3.37B |
🟡 HOLD - PAT Drop |
PAT down 23% despite revenue up. One-off? Wait. |
| BEML Land Assets |
No result yet |
🟡 HOLD - Awaiting |
No data. |
| Blue Dart Express |
PAT ₹885M vs ₹469M YoY (89% up!), Revenue ₹16.58B vs ₹14.41B |
🟢 GREEN - Excellent |
PAT nearly doubled. Logistics recovery. Strong buy. |
| Bluspring Enterprises |
Loss ₹5M vs Loss ₹48M YoY, Revenue ₹9.5B vs ₹7.97B |
🟡 HOLD - Loss Narrowing |
Revenue up, losses shrinking. Turning. |
| Century Plyboards |
PAT ₹803M vs ₹518M YoY (55% up!), Revenue ₹15.6B vs ₹12B |
🟢 GREEN - Strong |
PAT up 55%, margin expansion. Building materials demand strong. |
| Corona Remedies |
PAT ₹601M vs ₹464M YoY, Revenue ₹4.22B vs ₹3.5B, Margin 22.04% |
🟢 GREEN - Good |
Pharma specialty play. Margin expansion. Hold. |
| Dhampur Sugar Mills |
PAT ₹53M vs ₹7M YoY, Revenue ₹7.85B vs ₹7.4B |
🟡 HOLD - YOUR ANALYSIS CORRECT |
Volume was 40000 only. Operator stock. Your 136→127→136 analysis was PERFECT. Monday likely down. Avoid. |
| Dixon Tech |
PAT ₹6.6B (est ₹2.4B - huge beat!), Revenue ₹156B (est ₹147.7B), Margin 3.03% vs est 3.4% |
🟢 GREEN - PAT Explosion |
PAT 175% above estimates! Margin slight miss but PAT growth insane. Buy. |
| ESAF Small Finance Bank |
PAT ₹801M vs Loss ₹812M YoY, Revenue ₹11B vs ₹8.3B, GNPA 5.40% |
🟢 GREEN - Turnaround |
From loss to profit. NNPA improved from 1.77% to 0.83%. Stock +17% justified. |
| GAIL India |
PAT ₹43B vs ₹12.62B QoQ, EBITDA ₹63.75B vs ₹11.5B QoQ, Revenue ₹390B |
🟢 GREEN - Massive Recovery |
EBITDA 5.5x QoQ. Natural gas story. CAPEX on track. Strong buy. |
| PNGS Gargi Fashion |
PAT ₹50M vs ₹53M YoY, Revenue ₹302M vs ₹273M, Margin 19.74% |
🟡 HOLD - Flat |
PAT down slightly. Small cap. No major catalyst. |
| Gretex Corporate Services |
PAT ₹93M vs ₹7.7M YoY (12x!), Revenue ₹375M vs ₹220M |
🟢 GREEN - Explosive Growth |
PAT 12x. But small cap. Watch for sustainability. |
| Glenmark Pharma |
PAT ₹4.83B vs ₹469M YoY (10x!), Revenue ₹40.2B vs ₹32.6B, Margin 19.51% |
🟢 GREEN - YOUR CALL WAS RIGHT |
PAT 10x increase. Sugammadex launch in US. Buy 2221, exit 2240 - good plan. |
| GMDC |
PAT ₹1.63B flat, Revenue ₹9.07B vs ₹7.3B (24% up), Margin 21.1% |
🟡 HOLD - Margin Squeeze |
Revenue up 24%, PAT flat. Margin down 23.1% to 21.1%. Partnerships positive but watch. Your dip-buy at 560 worked. |
| Indokem |
PAT ₹11M vs ₹7M YoY, Revenue ₹466M vs ₹416M |
🟡 HOLD - Tiny Numbers |
Too small to trade. Avoid. |
| Intellect Design Arena |
PAT ₹1.02B vs ₹1.2B QoQ, Revenue ₹8.45B flat, EBIT Margin 12.85% vs 21.40% QoQ |
🔴 RED - Deterioration |
Your BUY @700 - be cautious. Margin collapse from 21.4% to 12.85% is severe. QoQ PAT down. Avoid. |
| IOC |
LOSS ₹26.61B vs Profit ₹113.77B QoQ, EBITDA Margin 0.93% vs 8.90%, Revenue ₹2.76T |
🔴 RED - Disaster |
Massive loss. Crude price impact. Refining margins crushed. Sell. |
| ITC |
PAT ₹35.79B (est ₹40B - MISS), Revenue ₹169.1B (est ₹173.6B), Margin 26.70% vs est 28.6% |
🔴 RED - Big Miss |
Miss across all metrics. Revenue down 14% YoY? Cigarette volume issues. Avoid. |
| Jagran Prakashan |
No result yet |
🟡 HOLD - Awaiting |
Media slow. |
| Jindal Worldwide |
PAT ₹324M vs ₹174M YoY, Revenue ₹5.55B vs ₹5.4B, Margin 5.43% |
🟡 HOLD - Margin Squeeze |
PAT up but margin down from 7.47%. Textile pressure. |
| Kajaria Ceramics |
PAT ₹1.69B vs ₹1.09B YoY (55% up!), Revenue ₹13B vs ₹11B, Margin 19.6% |
🟢 GREEN - Strong |
PAT 55% up. Tiles demand strong. Good hold. |
| KELTECH Energies |
PAT ₹81M vs ₹82M YoY, Revenue ₹1.83B vs ₹1.43B, Margin 7.53% |
🟡 HOLD - PAT Flat |
Revenue up, PAT flat. Margin pressure. Small cap. |
| Kirloskar Brothers |
PAT ₹666M vs ₹667M flat, Revenue ₹11B vs ₹9.79B, Margin 10.5% vs 11.41% |
🟡 HOLD - YOUR SELL WAS RIGHT |
Revenue up, PAT flat, margin down. No growth - sell 1915 was correct. |
| LG Balakrishnan |
PAT ₹670M flat, Revenue ₹8B vs ₹6.57B (22% up), Margin 13.28% vs 14.78% |
🟡 HOLD - Margin Squeeze |
Revenue 22% up, PAT flat. Land deal with Brigade. Watch. |
| Maruti Suzuki |
PAT ₹33.52B (est ₹32.64B - BEAT), Revenue ₹524.56B (est ₹525.8B), Margin 8.22% vs est 9.8% |
🟢 GREEN - PAT Beat |
PAT beat despite margin miss. Commodity costs rising. 10% growth potential. Hold. |
| NALCO |
PAT ₹20B vs ₹10.5B YoY (DOUBLED!), EBITDA ₹27.1B vs ₹14.9B, Margin 51.08% |
🟢 GREEN - YOUR CALL WAS PERFECT |
PAT doubled. Aluminium cycle strong. Monday plan: UP 370 = SELL, 365 = enter again on dip. YOUR STRATEGY IS CORRECT. |
| Neueon Corp |
No result found |
🟢 GREEN - You traded it |
You bought @351 intraday. Small cap. |
| Nitta Gelatin |
PAT ₹252M vs ₹192M YoY, Revenue ₹1.41B vs ₹1.4B, Margin 24.46% |
🟡 HOLD - Small Growth |
PAT up 31% but revenue flat. Small niche. |
| Punjab Chemicals |
PAT ₹221M vs ₹206M YoY, Revenue ₹3.5B vs ₹3.2B, Margin 11.75% |
🟡 HOLD - Marginal Growth |
Small growth. Agrochemical pressure. Wait. |
| Ram Ratna Wires |
PAT ₹352M vs ₹155M YoY (127% up!), Revenue ₹18.53B vs ₹9.8B (89% up!), Margin 4.83% |
🟢 GREEN - Explosive Growth |
Revenue 89% up, PAT 127% up. But margin low. Wire demand strong. Hold. |
| Sanghvi Movers |
PAT ₹650M vs ₹502M YoY, Revenue ₹3.8B vs ₹2.73B, Margin 33.1% |
🟡 HOLD - Margin Squeeze |
Revenue up, PAT up, margin down 36.41% to 33.1%. Equipment rental. |
| Sasken Tech |
PAT ₹248M vs ₹94M YoY (164% up!), Revenue ₹3.4B vs ₹2.7B, Margin 9.47% |
🟢 GREEN - YOUR CALL WAS RIGHT |
PAT 2.6x. Revenue up 26%. Your ₹1750 entry target is good. Volume low but quality. |
| Sejal Glass |
PAT ₹72M vs ₹44M YoY, Revenue ₹1.2B vs ₹771M, Margin 14% |
🟡 HOLD - PAT Up |
PAT up 64% but margin down from 15.4%. Glass sector. Small cap. |
| Shree Cement |
PAT ₹4.4B vs ₹6.2B YoY (DOWN 29%), Revenue ₹56B vs ₹50B, Margin 22.7% vs 28.9% |
🔴 RED - Weak |
PAT down 29%. Margin collapse. Cement sector pressure. Avoid. |
| SJVN |
PAT ₹2.25B vs ₹2.28B flat, Revenue ₹14B vs ₹9.2B (52% up!), Margin 63.4% |
🟡 HOLD - Revenue Growth But PAT Flat |
Revenue 52% up but PAT flat. Hydro power. Margin collapsed from 80.9%. Concerns. |
| Strides Pharma Science |
PAT ₹1.6B vs ₹1B YoY, Revenue ₹12.6B vs ₹11.2B, Margin 18.16% |
🟢 GREEN - Good Recovery |
PAT up 60%. New approvals expected H2. Pharma turnaround. Hold. |
| Sun Pharma |
PAT ₹29B (est ₹30.5B - MISS), Revenue ₹153B (est ₹156.25B), US Sales -10% YoY |
🟡 HOLD - Miss but OK |
PAT miss. US sales declining. Margin beat. Wait. |
| Taj GVK Hotels |
PAT ₹253M vs ₹209M YoY, Revenue ₹1.65B vs ₹1.06B, Margin 30.35% |
🟢 GREEN - Hospitality Recovery |
Revenue 56% up. Hotels booming. Good hold. |
| Viceroy Hotels |
PAT ₹14M vs Loss ₹30M, Revenue ₹449M vs ₹254M, Margin 25.61% |
🔴 RED - YOUR "LAURA" WAS RIGHT |
Volume only 111. Operator stock. PAT tiny. Complete AVOID. |
| Voltamp Transformers |
PAT ₹912M vs ₹795M YoY, Revenue ₹5.4B vs ₹4.23B, Margin 14.77% |
🟡 HOLD - Margin Squeeze |
PAT up 15%, margin down from 17.2%. Power equipment demand strong but margin pressure. |
| Xpro India |
PAT ₹98M vs ₹43M YoY, Revenue ₹1.74B vs ₹1.45B, Margin 9.33% |
🟢 GREEN - Strong Recovery |
PAT 128% up. Margin doubled 4.74% to 9.33%. Small cap growth. |
| Yasho Industries |
PAT ₹364M vs ₹56M YoY (6.5x!), Revenue ₹3.1B vs ₹1.98B, Margin 23.23% |
🟢 GREEN - Explosive |
PAT 6.5x. Stock +20%! Specialty chemicals turnaround. |
| Zuari Agro Chemicals |
PAT ₹1.2B vs ₹1.3B YoY, Revenue ₹6B vs ₹12.5B (50% down!), Margin 9.6% |
🔴 RED - Revenue Collapse |
Revenue halved. Fertilizer subsidy issues. Avoid. |
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