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Moil Ltd

MOIL

Moil Ltd

MOIL
MaterialsMining - Manganese
SmallcapWith a market cap of ₹6,268 cr, stock is ranked 585
High RiskStock is 3.79x as volatile as Nifty
302.401.83% (-5.65)
302.401.83% (-5.65)

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MaterialsMining - Manganese
SmallcapWith a market cap of ₹6,268 cr, stock is ranked 585
High RiskStock is 3.79x as volatile as Nifty
Scorecard

Performance

Avg

Price return has been average, nothing exciting

Valuation

High

Seems to be overvalued vs the market average

Growth

Low

Lagging behind the market in financials growth

Profitability

High

Showing good signs of profitability & efficiency

Entry point

Good

The stock is underpriced and is not in the overbought zone

Red flags

Low

No red flag found

How to use scorecard? Learn more

MaterialsMining - Manganese
SmallcapWith a market cap of ₹6,268 cr, stock is ranked 585
High RiskStock is 3.79x as volatile as Nifty

Key Metrics

No LabelNo LabelPB RatioPB RatioDividend YieldDiv. Yield
23.342.791.20%
Sector PESector PESector PBSector PBSector Div YldSctr Div Yld
23.813.142.85%

Forecast & Ratings

Detailed Forecast 
100%
Analysts have suggested that investors can buy this stock

from 2 analysts

Price

Price Upside

Earnings

Earnings Growth

Revenue

Rev. Growth

See Detailed Forecast

Company Profile

MOIL Limited is engaged in the exploration, exploitation and marketing of manganese ore and products such as electrolytic manganese dioxide and high carbon Ferro manganese alloy.

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Forecasts

Price

Revenue

Earnings

Income

Balance Sheet

Cash Flow

Income Statement

Industry refers to the sub-sector this company belongs to.

Lower than Industry Revenue Growth

A higher-than-industry revenue growth represents increased potential for the company to increase their market share

Over the last 5 years, revenue has grown at a yearly rate of -1.03%, vs industry avg of 11.23%

Decreasing Market Share

Market share is the percentage of an industry's total sales going to a particular company. It gives a general idea of the size of a company v/s its competitors

Over the last 5 years, market share decreased from 69.63% to 38.83%

Lower than Industry Net Income

Net income is equal to net earnings (profit) less expenses. This number is an important measure of how profitable the company is

Over the last 5 years, net income has grown at a yearly rate of -9.9%, vs industry avg of -0.22%

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Financial YearFY 2015FY 2016FY 2017FY 2018FY 2019FY 2020FY 2021FY 2022FY 2023TTM
Total Revenue1,139.86886.761,203.051,496.651,631.481,219.181,279.861,521.981,421.341,544.30
Raw Materialssubtract24.0717.3426.4729.8538.4038.4232.0135.3339.601,049.41
Power & Fuel Costsubtract40.7738.4040.5144.7949.0347.7645.4653.7559.88
Employee Costsubtract262.77301.23307.66406.19428.26462.61444.36443.04570.11
Selling & Administrative Expensessubtract43.6548.9684.72103.87112.4274.9488.18105.0995.00
Operating & Other expensessubtract72.95158.10224.31201.57216.80158.80330.55257.64207.96
Depreciation/Amortizationsubtract45.0852.4754.7162.4566.8296.1699.17103.11114.34130.03
Interest & Other Itemssubtract0.000.002.780.000.000.000.000.740.00
Taxes & Other Itemssubtract222.5697.28156.07225.93245.8692.2763.48146.3183.8696.27
EPS12.745.1510.1516.1118.4010.037.4417.1012.3113.20
DPS4.252.505.505.506.006.007.406.003.693.69
Payout ratio0.330.490.540.340.330.600.990.350.300.28

Company Updates

Annual Report and Investor Presentation updates mentioned here are as reported by the company to the exchange
FY 2018

Annual Report Unavailable

Investor Presentation

May 29PDF
 

Peers & Comparison

Comparing 3 stocks from 
MaterialsMining - Manganese

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StockPE RatioPE RatioPB RatioPB RatioDiv. YieldDividend Yield
Moil Ltd25.012.791.20%
Sandur Manganese and Iron Ores Ltd18.682.620.27%
Nagpur Power and Industries Ltd-43.001.88
Southern Magnesium and Chemicals Ltd17.329.49

Price Comparison

Compare MOIL with any stock or ETF
Compare MOIL with any stock or ETF
MOIL
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Shareholdings

Promoter Holdings Trend

Total Promoter Holding

Increasing promoter holding is considered good and reflects management’s positive view about the future outlook

In last 6 months, promoter holding in the company has almost stayed constant

Low Pledged Promoter Holding

Lower pledged promoter holdings is considered better

Pledged promoter holdings is insignificant

Institutional Holdings Trend

Total Retail Holding

Increasing retail holding can be considered bad as it can reflect that institutions and promoters are selling their stake which is being absorbed by retail investors.

In last 3 months, retail holding in the company has almost stayed constant

Foreign Institutional Holding

Foreign Institutional Holding is quantum of stock held by foreign large-quantities-trading entities. Increasing value indicates growing support and comfort for the stock

In last 3 months, foreign institutional holding of the company has almost stayed constant

Tickertape Separator

Shareholding Pattern

Retail and OthersForeign InstitutionsOther Domestic InstitutionsMutual FundsTotal Promoter Holding64.68%2.74%9.99%5.72%16.87%

Dec 2022

Mar 2023

Jun 2023

Sep 2023

Shareholding History

JunSepDec '22MarJunSep5.76%5.80%5.93%5.97%6.16%5.72%

Mutual Funds Holding Trend

Mutual Fund Holding

Increasing Mutual Fund holdings are generally considered good, as it reflects that fund managers are becoming more bullish about the stock

In last 3 months, mutual fund holding of the company has almost stayed constant

Top 5 Mutual Funds holding Moil Ltd




Funds (Top 5)Market-cap heldWeight3M holding changePortfolio rank
(3M change)
Quant Active Fund - Growth - Direct Plan

Growth
1.3671%1.28%0.59%51/82 (-3)
UTI AMC LTD # UTI MF-UTI MID CAP FUND DIRECT PLAN GROWTH PLAN GROWTH

Growth
0.7466%0.54%0.08%76/90 (-2)
UTI Dividend Yield Fund - Growth - Direct Plan

Growth
0.4057%0.83%0.12%46/53 (+1)

Compare 3-month MF holding change on Screener

Insider Trades & Bulk Deals

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smallcases

A smallcase is a basket of stocks/ETFs that represents an idea or theme.Diversify your risk and buy smallcases that have Moil Ltd

Events

Dividend Trend

No Trend In Dividends

Dividends are the portion of earnings that a company distributes to all its shareholders every year

MOIL has shown inconsistent dividend trend over the last 5 years

Dividend Yield

Dividend return is one of the most important things to be considered while investing for long term. It is the additional return on top of what investors earn through price appreciation

Current dividend yield is 1.18%. An investment of ₹1,000 in the stock is expected to generate dividend of ₹11.84 every year

Dividends

Corp. Actions

Announcements

Legal Orders

Upcoming Dividends

No upcoming dividends are available

Past Dividends

Cash Dividend

Ex DateEx DateSep 8, 2023

Final
Final | Div/Share: ₹0.69

Dividend/Share

0.69

Ex DateEx Date

Sep 8, 2023

Cash Dividend

Ex DateEx DateFeb 8, 2023

Interim
Interim | Div/Share: ₹3.00

Dividend/Share

3.00

Ex DateEx Date

Feb 8, 2023

Cash Dividend

Ex DateEx DateSep 8, 2022

Final
Final | Div/Share: ₹3.00

Dividend/Share

3.00

Ex DateEx Date

Sep 8, 2022

Cash Dividend

Ex DateEx DateFeb 24, 2022

Interim
Interim | Div/Share: ₹3.00

Dividend/Share

3.00

Ex DateEx Date

Feb 24, 2022

Cash Dividend

Ex DateEx DateSep 8, 2021

Final
Final | Div/Share: ₹4.90

Dividend/Share

4.90

Ex DateEx Date

Sep 8, 2021