| # | π
Date / Time (stacked) |
π Cleaned Text | π Translation | β‘ Action | π‘ Jay Idea & Notes |
|---|---|---|---|---|---|
| 1 | G R Infraprojects: Wins Rs 1,453 Crore NH-56 Gujarat Road Project In Hybrid Annuity Mode, Plans 60.21 Km Four-Lane Upgrade In 910 Days. BASF India: Approves Sale Of Full Stake In Coatings Unit For Rs 2.30 Billion To Carlyle Group Firms, While Shutting Metal... Spot Gold Extends Its Rise, Up 2% To $4,579.99 Per Ounce |
π Gold rally, safe-haven demand
|
BUY |
π‘ ποΈ Strong HAM order, steady cash flows
|
|
| 2 | Mic Electronics: Approves Buying 89.65% Of Neo Semi SG For Rs 3.58 Billion. Trump: This Will Be In Retribution For Our Many Soldiers, And Others, That Iran Has Butchered And Killed Over... |
π Geopolitical tensions / US policy shift
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 3 | IREDA: Secures JPY 28 Billion ECB From SMBC With JPY 12 Billion Green Shoe Option. Trump: The United States Of America Is In Serious Discussions With A New, And More Reasonable, Regime To... Trump Says US Is Near A Deal With Iran To End Military Operations, Warns Of Strikes If Hormuz Is Not Open |
π Geopolitical tensions / US policy shift
|
NoAction |
π‘ π± Green financing, ECB boost
|
|
| 4 | WHITE HOUSE: DECISIONS ON TANKERS TO CUBA ARE TAKEN ON A CASE-BY-CASE BASIS |
π Corporate update / macro indicator
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 5 | Bank Of Baroda: Receives βΉ806.18 Cr Income Tax Demand For AY21 From Faceless Assessment Unit Over Foreign Branch Income And Other Disallowances; Plans To Appeal With No Expected Financial Impact |
π Income tax demand notice, likely appeal → limited near-term impact
|
CAUTION |
π‘ βοΈ Tax demand manageable, appeal likely
|
|
| 6 | Foreign Investors Sell Net Rs 11,163.06 Cr In Indian Stocks Today, While Domestic Investors Buy Net Rs 14,894.72 Cr. Bharti Airtel: Company Announces $1 Billion Investment In Nxtara With Alpha Wave Global And Carlyle... |
π FII outflows, DII buying offsets volatility
|
NoAction |
π‘ π‘ $1Bn investment in Nxtara, digital push
|
|
| 7 | NSE Index Ends Down 2.14% Or -488.20 Points At 22,331.40. Transrail Lighting: Income Tax Search And Seizure Ends, No Effect On Operations. Rupee Depreciation May Raise India’s Import Costs, Worsening CAD — Junior Finance Minister |
π Market correction, broader weakness
|
HOLD / AVOID |
π‘ π Track further news / management commentary
|
|
| 8 | Apollo Pipes: Company Postpones Start Of Commercial Production At Mirzapur Plant, Now Aiming For Late April 2026. DOW JONES UP 511.00 POINTS, OR 1.13 PERCENT, AT 45,727.14 AFTER MARKET OPEN |
π Corporate update / macro indicator
|
NO ACTION |
π‘ π Track further news / management commentary
|
|
| 9 | BEL: co Signs βΉ19.50 Billion Contract For Mountain Radar Systems For India’s Air Force. Advait Energy Transitions Gets INR 538.4 Million Order. EUROZONE CPI (MOM) (MAR) ACTUAL: 1.2% VS 0.6% PREVIOUS; EUROZONE CPI (YOY) 2.5% VS 1.9% |
π Order win → positive revenue visibility
|
BUY |
π‘ π‘οΈ Large radar contract, defence momentum
|
|
| 10 | Texmaco Rail & Engineering: Company Secures New Order Worth βΉ3.57 Billion. Kuwaiti Tanker Incident in Dubai Waters Brought Under Control, No Oil Spill Reported. Four Israeli Soldiers Dead, Two Wounded in Battles in Southern Lebanon |
π Order win → positive revenue visibility
|
BUY |
π‘ π Order win, rail infrastructure beneficiary
|
|
| 11 | RBI delays new capital market rules to July 1, 2026, giving brokers 3 months’ relief to continue using bank guarantees with just 50% margin. Dubai Media Office: Response teams extinguish fire on Kuwaiti oil tanker. Gold prices surge over 1%, reaching $4,559.59/oz. |
π Gold rally, safe-haven demand
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 12 | NASDAQ UNOFFICIALLY ENDS HIGHER BY 781.98 POINTS (+3.76%) AT 21,576.62. DRONE ATTACK TARGETED LOGISTICS SUPPORT BASE OF US EMBASSY INSIDE BAGHDAD AIRPORT. AIRCRAFT CARRIER USS GEORGE H.W. BUSH & ITS WARSHIPS HEADING TO MID... |
π US tech rebound, global sentiment boost
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 13 | SJVN: Reports 13,302 Million Units Of Power Generation In FY26 And Hits Major Operational Milestones |
π Corporate update / macro indicator
|
NoAction |
π‘ π§ Power generation milestone, PSU utility
|
|
| 14 | Tamilnad Mercantile Bank: Total Advances Rise To βΉ533.8 Bn Vs βΉ443.7 Bn YoY, Deposits Increase To βΉ617.0 Bn Vs βΉ536.9 Bn. Karur Vysya Bank: Loan Growth To 987.4 Billion Rupees, Deposits Rise To 1.16 Trillion. Tala Power: Resumes Operations At Mundra Plant With 4,150 MW |
π Corporate update / macro indicator
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 15 | Izmo: Joins India's Defence Sector With Advanced Semiconductor Packaging; Collaborating With Top Defence Organizations For Key Electronics Programs. |
π Corporate update / macro indicator
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 16 | Sunita Tools: Gets Full Advance Payment for Supplying 155MM M107 Empty Shell Prototypes for NATO Sales Agreement. Alembic Pharma: Creates New Subsidiary In Thailand |
π Corporate update / macro indicator
|
NoAction |
π‘ π« Defence exports play, NATO order advance payment
|
|
| 18 | Acme Solar Holdings: Unit Acme Eco Clean Energy Gets Certification For 4 MW Of 100 MW Wind Project In Gujarat. Traders No Longer Price Chance Of A BoE Rate Hike This Year. Lemon Tree Hotels: Signs Agreement For New Hotel In Gorakhpur |
π Corporate update / macro indicator
|
NoAction |
π‘ βοΈ Wind project certification, renewable expansion
|
|
| 19 | Sunita Tools Ltd: Partners With US Company For Defense Contracts; Emphasis On Bidding, Documentation For 155 M107 Shells. Ramco Systems: Chosen By Tata Advanced Systems To Provide Aviation Software. POSITIONAL CALL: BUY GLENMARK PHARMA AT 2215 TARGET 2600 |
π Derivative long recommendation, speculative
|
BUY |
π‘ π« Defence exports play, NATO order advance payment
|
|
| 20 | Dilip Buildcon: Company Secures Order Valued At βΉ1850 Crores. Varun Beverages Ltd.: Rs. 45.76 Cr NSE Block Trade; ~1,045,880 Shares at Rs. 437.55. Schaeffler India Ltd.: Rs. 20.62 Cr Block Trade; ~50,072 Shares at Rs. 4117.90 |
π Order win → positive revenue visibility
|
BUY |
π‘ ποΈ βΉ1850 Cr order, infra revival
|
|
| 21 | POSITIONAL CALL: SELL BHARTIARTL 30 MAR 2026 FUT AT 1818 FOR TARGET 1650, STOP LOSS 1870. POSITIONAL CALL: SELL SBIN 30 MAR 2026 FUT AT 1102 FOR TARGET 1060, STOP LOSS 1133 |
π Derivative short recommendation, bearish view
|
SELL |
π‘ π Track further news / management commentary
|
|
| 22 | POSITIONAL CALL: SELL SBIN FUT (repeat). RailTel Corporation: Receives βΉ115 Crore Intent Letter From Power Grid Corporation. POSITIONAL CALL: BUY PARAG MILK FOODS AT 208.5 TARGET 260 |
π Derivative long recommendation, speculative
|
BUY |
π‘ π Track further news / management commentary
|
|
| 23 | SBI Life Insurance: Faces βΉ537.75 Crore Tax Demand For FY24, Plans To Appeal Against Assessment Order |
π Order win → positive revenue visibility
|
CAUTION |
π‘ π Track further news / management commentary
|
|
| 24 | UNO Minda: Company Receives Tax Demand Order of 466.2 Million Rupees and 921.9 Million Rupees |
π Income tax demand notice, likely appeal → limited near-term impact
|
CAUTION |
π‘ π Track further news / management commentary
|
|
| 25 | KEC International: Company Wins New Orders Totalling 14.76 Billion Rupees For T&D Projects |
π Order win → positive revenue visibility
|
BUY |
π‘ β‘ T&D orders, power transmission strong
|
|
| 26 | Google New AI Features in Chrome Launched in India, Canada, and New Zealand. U.S. SENATE APPROVES USE OF CHATGPT, GEMINI AND MICROSOFT COPILOT. DONALD TRUMP: U.S. FORCES DESTROYED 10 INACTIVE IRANIAN MINE-LAYING BOATS. COMMISSION LAUNCHES SECTION 337 PATENT PROBE INTO AUTO PARTS |
π Geopolitical tensions / US policy shift
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 27 | Google New AI Features in Chrome Launched. U.S. INTERNATIONAL TRADE COMMISSION: LAUNCHES SECTION 337 PATENT PROBE INTO AUTO PARTS FIRMS. IRAN UN ENVOY: OVER 1,300 CIVILIANS KILLED, 9,669 CIVILIAN SITES DESTROYED |
π Geopolitical tensions / US policy shift
|
NoAction |
π‘ π Track further news / management commentary
|
|
| 28 | FII Sells βΉ4,672.64 Cr In Indian Shares Today While DII Buys βΉ6,333.26 Cr. ISRAELI FOREIGN MINISTER CITES TRUMP AS SAYING THE WAR WILL NOT END THIS WEEK. US EXISTING HOME SALES (MOM) (FEB) ACTUAL: 1.7% VS -8.4% PREVIOUS |
π FII outflows, DII buying offsets volatility
|
HOLD / AVOID |
π‘ π Track further news / management commentary
|
|
| 29 | Government Weighs 12–16% Incentive For Major Investments To Promote Domestic Manufacturing Of Equipment Like Tunnel Boring Machines, Cranes, Crawlers (ACE, Escorts Kubota, Til Ltd). POSITIONAL CALL: BUY SAREGAMA INDIA AT 334.5 TARGET 390. CareEdge Global IFSC Gets Permission As ESG Rating Provider |
π Derivative long recommendation, speculative
|
BUY |
π‘ π Track further news / management commentary
|
|
| 30 | Many Bengaluru hotels to be shut tomorrow as commercial gas cylinders’ supply stopped - India Today. Trump: Not Happy About Khamenei Replacing His Father. G7 Finance Ministers Agree Not To Release Oil Reserves For Now |
π Geopolitical tensions / US policy shift
|
NO ACTION |
π‘ π Track further news / management commentary
|
share new 8 May 2026
nineteennStrong nano business growth nineteennMargin at top end of guidance
| # | Date | SS Time | Ago | Actual Time | Company | News | Category | CMP | Action/View | Analysis/Notes |
|---|---|---|---|---|---|---|---|---|---|---|
| 1 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Frontier Springs | Positional Call: BUY at 1750, Target 2400 | Positional Call | 1750 | BUY | Target ~37% upside |
| 2 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Tata Power | Expands hydropower partnership with Druk Green Power Corporation, adding 404 MW Nyera Amari | Expansion | POSITIVE | Hydro capacity addition | |
| 3 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Britannia Industries | Fuel cost inflation has been a key tailwind | Update | POSITIVE | Input cost benefits | |
| 4 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Arrow Greentech | Positional Call: BUY at 570, Target 700 | Positional Call | 570 | BUY | Target ~23% upside |
| 5 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Citi Group | Cuts Indian stocks to Underweight | Brokerage | CAUTION | Global brokerage negative on India | |
| 6 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Britannia Industries | International business impacted due to Middle East conflict; India business not impacted | Update | NEUTRAL | Geopolitical headwind for international | |
| 7 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Britannia Industries | Will take calibrated price hikes in Q1 FY27 | Guidance | POSITIVE | Pricing power to protect margins | |
| 8 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Container Corp | Positional Call: Buy at 520, now 533.5. Book profit. | Positional Call | 533.5 | POSITIVE | +13.5 points gain |
| 9 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Lenskart | 59M shares change hands in a block trade (~3.4% of equity) | Block Deal | NEUTRAL | Large block trade, watch price | |
| 10 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | Dabur India | Guidance: HPC portfolio expected to achieve double-digit growth next year | Guidance | BUY | FMCG volume recovery | |
| 11 | 2026-05-08 | 14:49:00 | 3h ago | 11:49:00 | L&T | Secures significant contract worth 10B to 25B rupees | Order | BUY | Large order win | |
| 12 | 2026-05-08 | 10:48:00 | — | 10:48:00 | KP Green Engineering | H2 EBITDA 1.47B vs 683M (YoY), Margin 20.57% vs 15.8% | Results | BUY | Strong margin expansion | |
| 13 | 2026-05-08 | 10:46:00 | — | 10:46:00 | KP Green | H2 Cons Net Profit 774M vs 460M (YoY) | Results | BUY | Profit +68% | |
| 14 | 2026-05-08 | 10:44:00 | — | 10:44:00 | KP Green | Q4 Cons Net Profit 774M vs 460M (YoY) | Results | BUY | Strong quarterly performance | |
| 15 | 2026-05-08 | 10:40:00 | — | 10:40:00 | Dabur India | Expect sequential acceleration of growth in India business, driven by stable consumption | Guidance | BUY | Positive outlook | |
| 16 | 2026-05-08 | 10:38:00 | — | 10:38:00 | Dabur India | Management revised FY27 revenue growth guidance from high single-digit to low double-digit | Guidance | BUY | Upgraded guidance | |
| 17 | 2026-05-08 | 10:38:00 | — | 10:38:00 | India Fertilizer | Gets bids for phosphate fertilizer over $900 per tonne in tender | Macro | NEUTRAL | High global prices | |
| 18 | 2026-05-08 | 10:24:00 | — | 10:24:00 | Radico Khaitan | Aims to become debt-free in FY27, has articulated dividend policy with minimum payout | Guidance | BUY | Balance sheet improvement | |
| 19 | 2026-05-08 | 10:16:00 | — | 10:16:00 | Nuvama | Due to abnormal volatility, NSE may increase margin | Volatility | CAUTION | Margin increase likely | |
| 20 | 2026-05-08 | 10:10:00 | — | 10:10:00 | Eicher Motors | Royal Enfield plans to invest βΉ2,200 Crore in Andhra Pradesh plant | Expansion | BUY | Capacity expansion | |
| 21 | 2026-05-08 | 10:08:00 | — | 10:08:00 | One 97 Communications | Aims for 15-20% EBITDA margins in approx 2.5 years | Guidance | POSITIVE | Paytm margin improvement target | |
| 22 | 2026-05-08 | 10:01:00 | — | 10:01:00 | Westlife Foodworld | Macquarie maintains Outperform with Target Price βΉ515 | Brokerage | 515 | BUY | Broker positive on QSR |
| 23 | 2026-05-08 | 10:00:00 | — | 10:00:00 | Dabur | Investec maintains Hold with Target Price βΉ514 (cut from βΉ525) | Brokerage | 514 | HOLD | In-line growth expected |
| 24 | 2026-05-08 | 10:00:00 | — | 10:00:00 | Radico Khaitan | EBITDA margin projected to expand by 125 basis points for FY27 | Guidance | BUY | Margin expansion | |
| 25 | 2026-05-08 | 09:55:00 | — | 09:55:00 | Dabur | Citi maintains Sell with Target Price βΉ490 | Brokerage | 490 | SELL | Bearish on FMCG recovery |
| 26 | 2026-05-08 | 09:55:00 | — | 09:55:00 | Interglobe Aviation | DFS Secy announces top 3 airlines could receive up to βΉ1,500 Crores each | Policy | POSITIVE | Potential support for airlines | |
| 27 | 2026-05-08 | 09:55:00 | — | 09:55:00 | Radico Khaitan | Net revenue exceeded INR6,000 crores, EBITDA crossed INR1,000 crores | Results | BUY | Milestone achievement | |
| 28 | 2026-05-08 | 09:53:00 | — | 09:53:00 | Radico Khaitan | Expects luxury portfolio to sustain 25% growth | Guidance | BUY | Premiumisation story | |
| 29 | 2026-05-08 | 09:53:00 | — | 09:53:00 | Bajaj Auto | Warns motorcycle growth may drop to 7-9% in FY27 due to rising fuel prices and metal costs | Guidance | CAUTION | Demand headwinds | |
| 30 | 2026-05-08 | 09:52:00 | — | 09:52:00 | NIFTY | Derivatives Strategy: Close Bear Put Spread initiated on 7/5/26 | Derivatives | NEUTRAL | Strategy closed | |
| 31 | 2026-05-08 | 09:49:00 | — | 09:49:00 | Alkyl Amines | Elara Capital maintains Accumulate with Target Price βΉ21,927 | Brokerage | 21927 | BUY | Specialty chemical high target |
| 32 | 2026-05-08 | 09:48:00 | — | 09:48:00 | CarTrade | Citi maintains Buy with Target Price βΉ2520 (cut from βΉ3150) | Brokerage | 2520 | BUY | OLX underperformance weighs |
| 33 | 2026-05-08 | 09:48:00 | — | 09:48:00 | Lupin | Morgan Stanley maintains Equal-weight with Target Price βΉ2386 | Brokerage | 2386 | HOLD | Strong Q4 beat but neutral rating |
| 34 | 2026-05-08 | 09:46:00 | — | 09:46:00 | Igarashi Motors | Positional Call: BUY at 426, Target 580 | Positional Call | 426 | BUY | Target ~36% upside |
| 35 | 2026-05-08 | 09:46:00 | — | 09:46:00 | Aptus Value Housing Finance | Morgan Stanley maintains Overweight with Target Price βΉ2500 | Brokerage | 2500 | BUY | Housing finance positive |
| 36 | 2026-05-08 | 09:46:00 | — | 09:46:00 | Mankind Pharma | Morgan Stanley maintains Overweight with Target Price βΉ2500 | Brokerage | 2500 | BUY | Pharma major, broker positive |
| 37 | 2026-05-08 | 09:45:00 | — | 09:45:00 | Indigo Paints | Investec upgrades to Buy from Hold with Target Price βΉ1230 (raised from βΉ1110) | Brokerage | 1230 | BUY | Upgrade on paint sector |
| 38 | 2026-05-08 | 09:45:00 | — | 09:45:00 | MRPL | Positional Call: BUY at 165.5, Target 200 | Positional Call | 165.5 | BUY | Target ~21% upside |
| 39 | 2026-05-08 | 09:44:00 | — | 09:44:00 | Tata Group & JSW | To invest $1 Billion in Electric Vehicle and Battery Technology | Expansion | POSITIVE | EV ecosystem boost | |
| 40 | 2026-05-08 | 09:43:00 | — | 09:43:00 | Asian Paints | Investec upgrades to Hold from Sell with Target Price βΉ2750 (raised from βΉ2285) | Brokerage | 2750 | HOLD | Upgrade on early recovery signs |
| 41 | 2026-05-08 | 09:43:00 | — | 09:43:00 | Berger Paints | Investec upgrades to Hold from Sell with Target Price βΉ525 (raised from βΉ460) | Brokerage | 525 | HOLD | Upgrade on valuations |
| 42 | 2026-05-08 | 09:42:00 | — | 09:42:00 | Escorts Kubota | Kotak Securities maintains Add with Target Price βΉ3425 (raised) | Brokerage | 3425 | BUY | Tractor demand strong |
| 43 | 2026-05-08 | 09:42:00 | — | 09:42:00 | Kansai Nerolac | Investec upgrades to Buy from Hold with Target Price βΉ250 (raised from βΉ240) | Brokerage | 250 | BUY | Paint demand recovery |
| 44 | 2026-05-08 | 09:42:00 | — | 09:42:00 | Dabur | Jefferies maintains Buy with Target Price βΉ610 | Brokerage | 610 | BUY | Positive management outlook |
| 45 | 2026-05-08 | 09:41:00 | — | 09:41:00 | Pidilite | Jefferies maintains Hold with Target Price βΉ1390 | Brokerage | 1390 | HOLD | Q4 beat driven by healthy volume |
| 46 | 2026-05-08 | 09:41:00 | — | 09:41:00 | Bharat Forge | Kotak Securities maintains Sell with Target Price βΉ1300 (raised from βΉ1250) | Brokerage | 1300 | SELL | Valuation concerns |
| 47 | 2026-05-08 | 09:21:00 | — | 09:21:00 | Prestige Estates | Positional Call: Buy at 1445, now 1490. Book profit. | Positional Call | 1490 | POSITIVE | +45 points gain |
| 48 | 2026-05-08 | 09:06:00 | — | 09:06:00 | Acme Solar Holdings | Q4 Cons Net Profit 1.39B vs 1.23B (YoY), Revenue 5.5B vs 4.8B | Results | POSITIVE | Profit +13% | |
| 49 | 2026-05-08 | 09:02:00 | — | 09:02:00 | Acme Solar Holdings | Q4 Profit Before Exceptional Item 1.76B vs 1.8B (YoY) | Results | NEUTRAL | Flat ex-items | |
| 50 | 2026-05-08 | 08:51:00 | — | 08:51:00 | STL Networks | Q4 EBITDA 67M vs 54M (YoY), Margin 3.24% vs 2.99% | Results | POSITIVE | Slight margin expansion | |
| 51 | 2026-05-08 | 15:48:00 | 15m ago | 15:33:00 | Texmaco Rail & Engineering | Receives order worth 130.22 Crores from Kochi Metro Rail Limited | Order | BUY | Railway order win | |
| 52 | 2026-05-08 | 15:48:00 | 16m ago | 15:32:00 | Ujjivan Small Finance Bank | Board greenlights fundraising of up to βΉ2000 Crore through sale of equity | Fundraise | NEUTRAL | Equity dilution risk | |
| 53 | 2026-05-08 | 15:48:00 | 18m ago | 15:30:00 | Coromandel International | Reports major EPS shortfall due to delays in NBS subsidy adjustments, higher input costs | Results | CAUTION | Margin pressure | |
| 54 | 2026-05-08 | 15:48:00 | 20m ago | 15:28:00 | Coromandel International | Plans to reduce risks by diversifying beyond fertilizer business due to government policy change | Strategy | NEUTRAL | Business diversification | |
| 55 | 2026-05-08 | 15:48:00 | 19m ago | 15:29:00 | Fino Payments Bank | Reports 204% increase in co-loan referrals in April 2026, reaching 1.66 Billion rupees | Update | BUY | Strong growth in co-lending | |
| 56 | 2026-05-08 | 15:48:00 | 28m ago | 15:20:00 | JSW Infra | Q4 Cons Net Profit 4.23B vs 5.1B (YoY), Revenue 15.22B vs 12.8B | Results | HOLD | Profit decline, revenue growth | |
| 57 | 2026-05-08 | 15:48:00 | 30m ago | 15:18:00 | JSW Infra | Q4 EBITDA 7.7B vs 6.4B (YoY), Margin 50.53% vs 49.95% | Results | POSITIVE | Margin expansion | |
| 58 | 2026-05-08 | 17:48:00 | 32m ago | 17:16:00 | JSW Infrastructure | Sets ambitious FY2030 goal to over double cargo capacity to 400 MTPA from 183 MTPA | Guidance | BUY | Long-term growth plan | |
| 59 | 2026-05-08 | 17:48:00 | 39m ago | 17:09:00 | JSW Infra | Q4 Cons Net Profit 4.18B vs 5.1B (YoY), Revenue 15.2B vs 12.8B | Results | HOLD | Profit decline YoY | |
| 60 | 2026-05-08 | 17:48:00 | 41m ago | 17:07:00 | JSW Infrastructure | Plans capacity growth, Mangalore container capacity set to increase from 4.2 to 6 MTPA | Expansion | POSITIVE | Capacity expansion | |
| 61 | 2026-05-08 | 17:52:00 | 48m ago | 17:04:00 | Swiggy | Q4 Cons Net Loss 8B vs Loss 10.8B (YoY), Revenue 63.8B | Results | NEUTRAL | Losses narrowing | |
| 62 | 2026-05-08 | 17:52:00 | 48m ago | 17:04:00 | Hyundai Motor India | Predicts 8-10% growth in domestic sales for FY27, export volume growth of 8-10% | Guidance | BUY | Strong growth outlook | |
| 63 | 2026-05-08 | 17:52:00 | 49m ago | 17:03:00 | Hyundai Motor India | Plans to maintain EBITDA margins between 11-14% for FY26-27, cautious on geopolitical risks | Guidance | HOLD | Margin guidance maintained | |
| 64 | 2026-05-08 | 17:48:00 | 1h ago | 16:48:00 | Dalmia Bharat | Refutes claims of SFIO inquiry into fraudulent mutual fund transfers; company has filed... | Update | POSITIVE | Denies negative news | |
| 65 | 2026-05-08 | 17:48:00 | 1h ago | 16:48:00 | JSW Infra | Q4 EBITDA 6.5B vs 6.4B (YoY), Margin 42.90% vs 49.95% | Results | HOLD | Margin contraction | |
| 66 | 2026-05-08 | 17:48:00 | 1h ago | 16:48:00 | Kalyani Steels | Final Dividend of 10 rupees per share | Dividend | POSITIVE | Shareholder return | |
| 67 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | Hyundai Motor | Q4 Revenue 189B vs 179B (YoY) | Results | POSITIVE | Revenue +5.6% | |
| 68 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | GNA Axles | Q4 Net Profit 308M vs 254M (YoY) | Results | BUY | Profit +21% | |
| 69 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | Urban Company | Q4 EBITDA Loss 1.14B vs Loss 90M (YoY) | Results | CAUTION | Losses widening | |
| 70 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | Urban Company | Q4 Cons Net Loss 1.6B vs Loss 30M (YoY) | Results | CAUTION | Losses expanding | |
| 71 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | Hyundai Motor | Q4 Cons Net Profit 12.6B vs 16.1B (YoY); Est 12.6B | Results | HOLD | Profit in line, YoY decline | |
| 72 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | Aditya Vision | Q4 Net Profit 217M vs 160M (YoY), Revenue 6.25B vs 4.86B | Results | BUY | Profit +36% | |
| 73 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | Brigade Hotel Ventures | Opens Courtyard By Marriott Kochi Infopark with 218 rooms | Expansion | POSITIVE | New hotel opening | |
| 74 | 2026-05-08 | 18:01:00 | 1h ago | 17:01:00 | Nitin Spinners | Q4 EBITDA 1.3B vs 1.2B (YoY), Margin 15.2% vs 14.3% | Results | POSITIVE | Margin expansion | |
| 75 | 2026-05-08 | 18:02:00 | 2h ago | 16:02:00 | Coromandel International | Nano business becomes market leader with about 50% share, achieves 60% volume growth | Update | BUY | ||
| 76 | 2026-05-08 | 18:02:00 | 2h ago | 16:02:00 | Kalyan Jewellers | Q4 EBITDA 7.36B vs 4B (YoY), Margin 7.2% vs 6.46% | Results | BUY | EBITDA +84% | |
| 77 | 2026-05-08 | 18:02:00 | 2h ago | 16:02:00 | Intellect Design Arena | FY26 EBITDA Margin at 19.1% vs guidance of 16-19% | Results | POSITIVE | ||
| 78 | 2026-05-08 | 18:02:00 | 2h ago | 16:02:00 | Intellect Design | Q4 EBITDA 1.83B vs 1B (QoQ), Margin 21.65% vs 13.7% | Results | BUY | Strong QoQ margin expansion |
792026-05-0818:02:002h ago16:02:00PhysicsWallahForms partnership with Vi to transform digital learning in Rajasthan and UPPartnershipPOSITIVEEdtech expansion 802026-05-0818:02:002h ago16:02:00Intellect DesignQ4 Cons Net Profit 1.2B vs 285M (QoQ)ResultsBUYProfit +321% QoQ 812026-05-0818:02:002h ago16:02:00TitanCrosses ~75,000 crores in FY25-26, grows 46% for the quarterResultsBUY nineteennStrong growth, landmark year 822026-05-0818:03:00—18:03:00State Bank of IndiaQ4 Slippages Ratio at 0.47% vs 0.42% (QoQ)ResultsNEUTRAL nineteennSlippages slightly up 832026-05-0818:03:00—18:03:00State Bank of IndiaQ4 Fresh Slippages at 55B vs 44.58B (QoQ)ResultsNEUTRAL nineteennSlippages up 23% QoQ 842026-05-0818:03:00—18:03:00State Bank of IndiaQ4 Credit Growth at 16% vs guidance 13-15%ResultsPOSITIVE nineteennCredit growth above guidance 852026-05-0818:03:00—18:03:00Ujjivan Small Finance BankQ4 Revenue 18.8B vs 15.7B (YoY)ResultsPOSITIVERevenue +20% 862026-05-0818:03:00—18:03:00Ujjivan Small Finance BankQ4 Net Profit 2.8B vs 834M (YoY)ResultsBUYProfit +235% 872026-05-0818:04:003h ago15:04:00Orient ElectricQ4 Revenue 9.5B vs 8.62B (YoY)ResultsPOSITIVERevenue +10% 882026-05-0818:04:003h ago15:04:00Ujjivan Small Finance BankQ4 GNPA 2.26% vs 2.38% (QoQ), NNPA 0.43% vs 0.57%ResultsPOSITIVEAsset quality improving 892026-05-0818:04:003h ago15:04:00Vijaya DiagnosticManagement plans Rs 140-150 Crore capex for FY27, aiming for fully automatedGuidanceBUY nineteennCapex for growth 902026-05-0818:04:003h ago15:04:00State Bank of IndiaQ4 Provisions for NPA at 31.4B vs 32.2B (QoQ)ResultsPOSITIVE nineteennProvisions slightly down 912026-05-0818:04:003h ago15:04:00State Bank of IndiaQ4 Revenue 1.23T vs 1.19T (YoY)ResultsPOSITIVERevenue +3.4% 922026-05-0818:04:003h ago15:04:00Titan CompanyQ4 EBITDA 19.4B vs 15.4B (YoY), Margin 7.2% vs 10.30%ResultsHOLDMargin contraction 932026-05-0818:04:003h ago15:04:00Titan CompanyQ4 Cons Net Profit 12B vs 8.7B (YoY); Est 13BResultsHOLD nineteennProfit +38% but miss estimates 942026-05-0818:04:003h ago15:04:00CoforgePositional Call: Today's buy call at 1334 is now 1371. Book profit.Positional Call1371POSITIVE+37 points gain 952026-05-0808:48:00—08:48:00STL NetworksQ4 Revenue 2.03B vs 1.81B (YoY)ResultsPOSITIVERevenue +12%
Added: 2026-05-08 20:32:57 | Edited: 2026-05-08 20:32:57 | publicShare new 7 and 8 May 2026
| # | Date | SS Time | Ago | Actual Time | Company | News | Category | CMP | Action/View | Analysis/Notes |
|---|---|---|---|---|---|---|---|---|---|---|
| 1 | 2026-05-07 | 21:50:00 | 2m ago | 21:48:00 | Lupin | Q4 Cons Net Profit 14.6B vs 7.73B, Revenue 74.7B vs 56.7B | Results | BUY | Profit nearly doubled | |
| 2 | 2026-05-07 | 21:50:00 | 2m ago | 21:48:00 | Lupin | Final Dividend 18 rupees per share | Dividend | POSITIVE | High dividend yield | |
| 3 | 2026-05-07 | 21:50:00 | 2m ago | 21:48:00 | Lupin | Q4 EBITDA 24.8B vs 13.21B, Margin 33.6% vs 23.31% | Results | BUY | Massive margin expansion | |
| 4 | 2026-05-07 | 21:50:00 | 4m ago | 21:46:00 | NOCIL | Final Dividend 1.5 rupees per share | Dividend | POSITIVE | Chemical player | |
| 5 | 2026-05-07 | 21:50:00 | 4m ago | 21:46:00 | NOCIL | Q4 EBITDA 203M vs 340M, Margin 6.16% vs 10% | Results | CAUTION | Margin contraction | |
| 6 | 2026-05-07 | 21:50:00 | 4m ago | 21:46:00 | NOCIL | Q4 Net Profit 180M vs 204M, Revenue 3.3B vs 3.4B | Results | HOLD | Profit decline | |
| 7 | 2026-05-07 | 21:50:00 | 9m ago | 21:41:00 | Britannia Industries | Final Dividend of 90.50 rupees per share | Dividend | BUY | Very high dividend | |
| 8 | 2026-05-07 | 21:50:00 | 12m ago | 21:38:00 | Britannia Industries | Q4 EBITDA 8.7B vs 8B, Margin 18.54% vs 18.06% | Results | POSITIVE | Margin expansion | |
| 9 | 2026-05-07 | 21:50:00 | 12m ago | 21:38:00 | Britannia Industries | Q4 Cons Net Profit 6.78B vs 5.6B, Revenue 47.1B | Results | BUY | Profit +21% | |
| 10 | 2026-05-07 | 21:50:00 | 25m ago | 21:25:00 | Vesuvius India | Q4 Net Profit 558M vs 593M, Revenue 4.98B vs 4.8B | Results | HOLD | Profit slight decline | |
| 11 | 2026-05-07 | 21:50:00 | 25m ago | 21:25:00 | Vesuvius India | Q4 EBITDA 914M vs 830M, Margin 18.35% vs 17.21% | Results | POSITIVE | Margin expansion | |
| 12 | 2026-05-07 | 21:50:00 | 34m ago | 21:16:00 | Sundrop Brands | Q4 Net Profit 98.5M vs Loss 1.1B, Revenue 3.8B | Results | BUY | Turnaround from loss | |
| 13 | 2026-05-07 | 21:50:00 | 35m ago | 21:15:00 | Forbes Precision | Q4 Net Profit 110M vs 91M, Revenue 709M vs 659M | Results | POSITIVE | Steady growth | |
| 14 | 2026-05-07 | 21:50:00 | 35m ago | 21:15:00 | Sandur Manganese | Q4 EBITDA 3.8B vs 3.16B, Margin 25.57% vs 23.91% | Results | POSITIVE | Margin expansion | |
| 15 | 2026-05-07 | 21:50:00 | 37m ago | 21:13:00 | Sundrop Brands | Q4 EBITDA 208M vs Loss 4M | Results | BUY | Turnaround, positive EBITDA | |
| 16 | 2026-05-07 | 21:50:00 | 37m ago | 21:13:00 | Pace Digitek | Secures βΉ7,020 Million contract for 250 MW | Order | BUY | Large order win | |
| 17 | 2026-05-07 | 21:50:00 | 39m ago | 21:11:00 | Sandur Manganese | Q4 Cons Net Profit 2.36B vs 1.6B, Revenue 15.1B | Results | BUY | Profit +48% | |
| 18 | 2026-05-07 | 21:50:00 | 50m ago | 21:00:00 | Gandhar Oil Refinery | Gets approval for refund claim of 229.2 Million Rupees | Update | POSITIVE | Tax/refund positive | |
| 19 | 2026-05-07 | 21:50:00 | 1h ago | 20:50:00 | Pidilite Industries | Q4 Net Profit 5.79B vs 4.2B, Revenue 35.83B | Results | BUY | Profit +38% | |
| 20 | 2026-05-07 | 21:50:00 | 1h ago | 20:50:00 | Pidilite Industries | Q4 EBITDA 8.3B vs 6.3B, Margin 23.25% vs 20.15% | Results | BUY | Strong margin expansion | |
| 21 | 2026-05-07 | 21:50:00 | 1h ago | 20:50:00 | Pidilite Industries | Recommends dividend of 11.50 rupees per share | Dividend | POSITIVE | Consistent dividend | |
| 22 | 2026-05-07 | 21:50:00 | 1h ago | 20:50:00 | Aditya Birla Lifestyle Brands | Q4 Net Profit 243M vs 426M, Revenue 21.5B | Results | CAUTION | Profit decline 43% | |
| 23 | 2026-05-07 | 23:47:00 | now | 23:47:00 | Brent Oil | Recovers after falling as much as $5, ends session in positive range | Macro | NEUTRAL | Oil price recovery | |
| 24 | 2026-05-07 | 23:59:00 | 17m ago | 23:42:00 | Shakti Pumps | Q4 EBITDA 830M vs 1.64B, Margin 9.68% vs 24.64% | Results | CAUTION | Margin contraction sharply | |
| 25 | 2026-05-07 | 23:59:00 | 21m ago | 23:38:00 | Shakti Pumps | Q4 Net Profit 383M vs 1.1B, Revenue 8.57B vs 6.65B | Results | CAUTION | Profit down 65% | |
| 26 | 2026-05-07 | 23:59:00 | 43m ago | 23:16:00 | NRB Bearings | Approves purchase of land worth up to 40 Crore for business growth | Expansion | POSITIVE | Capex for growth | |
| 27 | 2026-05-07 | 23:48:00 | 1h ago | 22:48:00 | NRB Bearings | Q4 Profit Before Tax 557M vs 484M | Results | POSITIVE | Profit growth | |
| 28 | 2026-05-07 | 23:48:00 | 1h ago | 22:48:00 | NRB Bearings | Q4 EBITDA 669M vs 603M, Margin 18% vs 18.3% | Results | HOLD | Margin flat | |
| 29 | 2026-05-07 | 23:48:00 | 1h ago | 22:48:00 | NRB Bearings | Final Dividend of Rs. 2.25 per share | Dividend | POSITIVE | Shareholder return | |
| 30 | 2026-05-07 | 23:59:00 | 9m ago | 23:50:00 | Oil Prices | Oil prices strengthen further, Brent up $1 and WTI up $2 | Macro | NEUTRAL | Oil price update | |
| 31 | 2026-05-08 | 14:46:00 | 17m ago | 14:29:00 | Vedant Fashions | Q4 Net Profit 1.14B vs 1.01B | Results | BUY | Manyavar brand growth | |
| 32 | 2026-05-08 | 14:46:00 | 19m ago | 14:27:00 | Vedant Fashions | Recommends final dividend of Rs 7.75 per share | Dividend | POSITIVE | Shareholder return | |
| 33 | 2026-05-08 | 14:46:00 | 21m ago | 14:25:00 | Lumax Auto Technologies | Board agrees to sell half of its stake in Lumax Jopp to Jopp Holding | Strategic | NEUTRAL | Stake sale | |
| 34 | 2026-05-08 | 14:46:00 | 23m ago | 14:23:00 | Diamond Power Infrastructure | Cleared in CBI and ED/PMLA cases; release of assets valued over βΉ1000 Cr | Legal | POSITIVE | Legal overhang removed | |
| 35 | 2026-05-08 | 14:46:00 | 24m ago | 14:22:00 | Cera Sanitaryware | Board approves dividend of Rs 75 per share | Dividend | BUY | Very high dividend | |
| 36 | 2026-05-08 | 14:47:00 | 51m ago | 13:56:00 | Cera Sanitaryware | Q4 EBITDA 979M vs 1.06B, Margin 15.1% vs 18.27% | Results | HOLD | Margin contraction | |
| 37 | 2026-05-08 | 14:47:00 | 54m ago | 13:53:00 | Muthoot Finance | Rs. 141.38 Cr NSE block trade; for ~401,096 shares at Rs. 3524.80 | Block Deal | 3524.80 | NEUTRAL | Large block trade |
| 38 | 2026-05-08 | 14:47:00 | 54m ago | 13:53:00 | Cera Sanitaryware | Q4 Net Profit 773M vs 856M | Results | HOLD | Profit decline | |
| 39 | 2026-05-08 | 14:47:00 | 59m ago | 13:48:00 | Tube Investments of India | Rs. 54.89 Cr NSE block trade; for ~181,599 shares at Rs. 3022.80 | Block Deal | 3022.80 | NEUTRAL | Block trade at higher levels |
| 40 | 2026-05-08 | 14:47:00 | 59m ago | 13:48:00 | India Motor Parts | Recommends final dividend of 23 rupees per share | Dividend | POSITIVE | High dividend | |
| 41 | 2026-05-08 | 14:47:00 | 59m ago | 13:48:00 | Star Health | Premium INR 12.65 Bln in April, up 19.3% (YoY) | Update | BUY | Strong premium growth | |
| 42 | 2026-05-08 | 14:47:00 | 1h ago | 13:47:00 | Remsons Industries | Nominated for 10-year pedal box project by global truck maker; estimated value βΉ160 Cr | Order | BUY | Long-term order win | |
| 43 | 2026-05-08 | 14:47:00 | 1h ago | 13:47:00 | HDFC Asset Management | Rs. 82.59 Cr NSE block trade; for ~289,189 shares | Block Deal | NEUTRAL | Block trade in AMC | |
| 44 | 2026-05-08 | 14:47:00 | 1h ago | 13:47:00 | Kotak Mahindra Bank | Rs. 95.75 Cr NSE block trade; for ~2,525,954 shares at Rs. 379.05 | Block Deal | 379.05 | NEUTRAL | Large block trade in bank |
| 45 | 2026-05-08 | 14:47:00 | 1h ago | 13:47:00 | India Motor Parts | Q4 EBITDA 171M vs 160M, Margin 8.13% vs 8.5% | Results | HOLD | Margin slight contraction | |
| 46 | 2026-05-08 | 14:47:00 | 1h ago | 13:47:00 | Dee Development Engineers | Order book for April 2026 at βΉ1,909.82 Cr | Update | POSITIVE | Strong order book | |
| 47 | 2026-05-08 | 14:48:00 | 1h ago | 13:48:00 | ICICI Lombard General | Premium reached Rs 36.54 Billion in April, up 1.7% YoY | Update | NEUTRAL | Premium growth modest | |
| 48 | 2026-05-08 | 14:48:00 | 1h ago | 13:48:00 | India Motor Parts | Q4 Net Profit 345M vs 239M, Revenue 2.1B vs 1.9B | Results | BUY | Profit +44% | |
| 49 | 2026-05-08 | 14:48:00 | 1h ago | 13:48:00 | COFORGE | Due to abnormal volatility, NSE may increase margin | Volatility | CAUTION | Margin increase likely | |
| 50 | 2026-05-08 | 14:48:00 | 1h ago | 13:48:00 | SKF India | Positional call: Buy at 1730, now 1760. Book profit. | Positional Call | 1760 | POSITIVE | +30 points gain |
| 51 | 2026-05-08 | 14:48:00 | 2h ago | 12:48:00 | HDFC Asset Management | Positional call: Buy at 2807, now 2853. Book profit. | Positional Call | 2853 | POSITIVE | +46 points gain |
| 52 | 2026-05-08 | 14:48:00 | 3h ago | 11:48:00 | DALBHARAT & BRITANNIA | Due to abnormal volatility, NSE may increase margin | Volatility | CAUTION | Margin increase likely | |
| 53 | 2026-05-08 | 14:48:00 | 3h ago | 11:48:00 | Apollo Micro Systems | Gets orders totaling βΉ510.25 Million including βΉ174.78 Cr from Ministry of Defence | Order | BUY | Defence order win | |
| 54 | 2026-05-08 | 14:48:00 | 3h ago | 11:48:00 | BASF India | Positional call: Buy at 3813, now 3910. Book profit. | Positional Call | 3910 | POSITIVE | +97 points gain |
Share news 7 May 2026
| # | Date | Time | Company | News | Category | CMP | Action/View | Analysis/Notes |
|---|---|---|---|---|---|---|---|---|
| 1 | 2026-05-07 | 18:33:24 | Globus Spirits | Recommends dividend of 6.53 rupees per share | Dividend | POSITIVE | Alcobev company, shareholder return | |
| 2 | 2026-05-07 | 18:33:24 | Dabur India | Q4 Cons Net Profit 3.69B vs 3.2B (YoY), Revenue 30.38B vs 28.3B (YoY), declares dividend of 5.5 rupees/share | Results | BUY | FMCG steady growth, volume +6% | |
| 3 | 2026-05-07 | 18:35:33 | Kotak Mahindra Bank | Gets RBI green light to buy 9.99% share in Jammu and Kashmir Bank | Regulatory | POSITIVE | Strategic stake, banking consolidation | |
| 4 | 2026-05-07 | 18:35:33 | MRF | Warns below-average monsoon expected could harm demand | Guidance | CAUTION | Tyremaker, rural demand risk | |
| 5 | 2026-05-07 | 18:35:33 | Kotak Mahindra Bank | Gets RBI green light to buy up to 9.99% stake in City Union Bank | Regulatory | POSITIVE | Another bank stake, expansion | |
| 6 | 2026-05-07 | 18:35:42 | PAJSON Agro | Co-Promoter affirms growth for FY26 due to "near-zero waste" processing model | Guidance | POSITIVE | Agri processing efficiency story | |
| 7 | 2026-05-07 | 18:37:16 | Apollo Pipes | Aims for over 25% annual growth rate in next 3 years | Guidance | BUY | Aggressive growth target, piping sector | |
| 8 | 2026-05-07 | 18:37:16 | Sirca Paints India | Dividend of 2 rupees per share. Q4 EBITDA 257M vs 189M (YoY), Margin 19.17% vs 19.74% | Results | POSITIVE | Profit growth, stable margins | |
| 9 | 2026-05-07 | 18:38:06 | Sirca Paints | Q4 Net Profit 177M vs 142M (YoY), Revenue 1.34B vs 1B (YoY) | Results | BUY | Revenue +34%, profit +25% | |
| 10 | 2026-05-07 | 18:38:06 | Westlife Foodworld | Q4 Revenue 6.6B vs 6B (YoY). Aims 580-630 restaurants by 2027 | Results | BUY | McDonald's franchise, expansion | |
| 11 | 2026-05-07 | 18:38:15 | Westlife FoodWorld | Reports 1.5% growth in same store sales for Q4 | Update | POSITIVE | SSG positive after tough period | |
| 12 | 2026-05-07 | 18:38:15 | NSE Index | Ends Down 0.02% Or -4.30 Points At 24,326.65 | Market | NEUTRAL | Flat close, consolidation | |
| 13 | 2026-05-07 | 18:38:15 | Westlife Foodworld | Q4 EBITDA 869M vs 770M (YoY), Margin 13.3% vs 12.8% (YoY) | Results | BUY | Margin expansion, operating leverage | |
| 14 | 2026-05-07 | 18:38:37 | Westlife Foodworld | Q4 Cons Net Profit 24M vs 15M (YoY) | Results | POSITIVE | Profit +60%, low base | |
| 15 | 2026-05-07 | 18:38:37 | RattanIndia Power | Q4 Revenue 7.9B vs 9.4B (YoY) | Results | CAUTION | Revenue decline, power sector pressure | |
| 16 | 2026-05-07 | 18:38:44 | RattanIndia Power | Q4 EBITDA 1.20B vs 2.02B (YoY), Margin 15.32% vs 22% (YoY) | Results | SELL | Sharp margin contraction | |
| 17 | 2026-05-07 | 18:38:44 | RattanIndia Power | Q4 SL Net Profit 414M vs 1.25B (YoY) | Results | CAUTION | Profit down 67% YoY | |
| 18 | 2026-05-07 | 18:38:58 | Karur Vysya Bank | Q4 SL Net Profit 7.3B vs 5.13B (YoY) | Results | BUY | Profit +42% YoY, regional bank | |
| 19 | 2026-05-07 | 18:38:58 | Apollo Pipes | Q4 EBITDA 180M vs 240M (YoY), Margin 5.2% vs 7.64% (YoY) | Results | CAUTION | Margin compression, cost pressure | |
| 20 | 2026-05-07 | 18:38:58 | Karur Vysya Bank | Q4 GNPA 0.75% vs 0.71% (QoQ), NNPA 0.19% stable | Results | POSITIVE | Asset quality stable | |
| 21 | 2026-05-07 | 18:39:11 | Apollo Pipes | Q4 Revenue 3.5B vs 3.14B (YoY) | Results | NEUTRAL | Revenue +11%, margin weak | |
| 22 | 2026-05-07 | 18:39:11 | Karur Vysya Bank | Dividend 2.6 rupees per share | Dividend | POSITIVE | Shareholder return | |
| 23 | 2026-05-07 | 18:39:11 | Tata Steel | Co to consider Q4 Results on May 15 | Update | NEUTRAL | Earnings date announced | |
| 24 | 2026-05-07 | 18:39:11 | Apollo Pipes | Q4 Cons Net Profit 10M vs 98M (YoY) | Results | SELL | Profit collapse 90% | |
| 25 | 2026-05-07 | 18:39:24 | Lenskart | Potential Block Deal Worth βΉ3500 Crore at 5% discount from CMP | Block Deal | NEUTRAL | Large block, watch price | |
| 26 | 2026-05-07 | 18:39:46 | Karur Vysya Bank | Q4 Revenue 29B vs 25.16B (YoY) | Results | POSITIVE | Revenue +15% | |
| 27 | 2026-05-07 | 18:39:46 | Bharat Forge | Baba Kalyani says auto segment to see growth of 25%+ in FY27 | Guidance | BUY | Strong auto outlook, defence growth | |
| 28 | 2026-05-07 | 18:39:46 | Bharat Forge | Projects defence sector growth over 50% by FY27 | Guidance | BUY | Defence diversification paying off | |
| 29 | 2026-05-07 | 18:41:04 | ITC Ltd. | Rs. 241.74 Cr NSE block trade; for ~7,855,111 shares at Rs. 307.75 | Block Deal | 307.75 | NEUTRAL | Large block in FMCG major |
| 30 | 2026-05-07 | 18:41:12 | TCS | Rs. 73.65 Cr NSE block trade; for ~306,545 shares | Block Deal | NEUTRAL | IT services block | |
| 31 | 2026-05-07 | 18:41:12 | Axtel Industries | Q4 Revenue 706M vs 376M (YoY), EBITDA 152M vs 45M, Margin 21.5% vs 12% | Results | BUY | Turnaround story, margin expansion | |
| 32 | 2026-05-07 | 18:41:25 | Axtel Industries | Q4 Net Profit 112M vs 47M (YoY) | Results | BUY | Profit more than doubled | |
| 33 | 2026-05-07 | 18:41:25 | ITC | Co to consider Q4 Results on May 21 | Update | NEUTRAL | Earnings date announced | |
| 34 | 2026-05-07 | 18:41:25 | Wonderla Holiday | Q4 Revenue 1.4B vs 968M (YoY) | Results | BUY | Revenue +45%, amusement parks | |
| 35 | 2026-05-07 | 18:41:25 | Ceigall India | Q4 EBITDA 2.24B vs 1.3B (YoY), Margin 16.12% vs 12.64% (YoY) | Results | BUY | Strong margin expansion, infra | |
| 36 | 2026-05-07 | 18:41:32 | Diffusion Engineers | Wins local contract worth about Rs 10.63 Cr for roller assemblies | Order | POSITIVE | Small order win | |
| 37 | 2026-05-07 | 18:41:32 | Bajaj Holdings | Q4 Cons Net Profit 25.8B vs 17B (YoY) | Results | BUY | Profit +52%, investment company | |
| 38 | 2026-05-07 | 18:42:04 | Ceigall India | Q4 Revenue 14B vs 10B (YoY) | Results | BUY | Revenue +40% | |
| 39 | 2026-05-07 | 18:42:04 | CCL Products | Cocoa futures rise up to 7.7% in New York | Macro | POSITIVE | Raw material price impact | |
| 40 | 2026-05-07 | 18:42:04 | Wonderla Holiday | Q4 Net Profit 164M vs 110M (YoY) | Results | BUY | Profit +49% | |
| 41 | 2026-05-07 | 18:42:26 | Escorts Kubota | Recommends final dividend of Rs 33 per share | Dividend | BUY | High dividend, tractor major | |
| 42 | 2026-05-07 | 18:42:33 | Ceigall India | Q4 Cons Net Profit 1.3B vs 744M (YoY) | Results | BUY | Profit +75% | |
| 43 | 2026-05-07 | 18:42:33 | Wonderla Holiday | Q4 EBITDA 402M vs 197M (YoY), Margin 29.6% vs 20.4% (YoY) | Results | BUY | Strong margin expansion | |
| 44 | 2026-05-07 | 18:42:44 | Coromandel International | Q4 Revenue 60B vs 50B (YoY) | Results | POSITIVE | Revenue +20%, fertiliser | |
| 45 | 2026-05-07 | 18:42:44 | Escorts Kubota | Q4 Revenue 30B vs 24B (YoY) | Results | BUY | Revenue +25%, tractor demand | |
| 46 | 2026-05-07 | 18:42:52 | Escorts Kubota | Q4 EBITDA 3.86B vs 2.92B (YoY), Margin 13.1% vs 12.02% (YoY) | Results | BUY | Margin expansion | |
| 47 | 2026-05-07 | 18:43:00 | Escorts Kubota | Q4 Net Profit 3.25B vs 2.5B (YoY) | Results | BUY | Profit +30% | |
| 48 | 2026-05-07 | 18:43:00 | Gateway Distriparks | Q4 Revenue 5.34B vs 5.35B (YoY) flat | Results | NEUTRAL | Revenue stable | |
| 49 | 2026-05-07 | 18:43:00 | Coromandel International | Q4 Cons Net Profit 1.8B vs 5.8B (YoY) - sharp decline | Results | CAUTION | Profit down 69% due to one-offs | |
| 50 | 2026-05-07 | 18:43:08 | Gateway Distriparks | Q4 EBITDA 1.18B vs 1.08B (YoY), Margin 22.06% vs 20.13% (YoY) | Results | POSITIVE | Margin expansion | |
| 51 | 2026-05-07 | 18:43:08 | Gateway Distriparks | Q4 Cons Net Profit 637M vs Loss 1.93B (YoY) - turnaround | Results | BUY | Turnaround from loss to profit | |
| 52 | 2026-05-07 | 18:43:18 | Nila Spaces | Q4 EBITDA 174M vs 101M (YoY), Margin 34.95% vs 25.45% (YoY) | Results | BUY | High margin real estate | |
| 53 | 2026-05-07 | 18:43:18 | Nila Spaces | Q4 Net Profit 92M vs 47M (YoY), Revenue 498M vs 398M (YoY) | Results | BUY | Profit doubled, smallcap | |
| 54 | 2026-05-07 | 18:43:26 | Home First Finance | FY27 AUM Growth Guidance at 25% | Guidance | BUY | Strong growth guidance, housing finance | |
| 55 | 2026-05-07 | 20:07:42 | Jyoti Resins & Adhesives | Q4 Net Profit 200M vs 197M (YoY), Revenue 929M | Results | NEUTRAL | Flat profit | |
| 56 | 2026-05-07 | 20:07:42 | Forbes Precision | Q4 Net Profit 110M vs 91M (YoY), Revenue 709M vs 659M | Results | POSITIVE | Steady growth | |
| 57 | 2026-05-07 | 20:07:42 | Prudent Corp | Q4 Net Profit 591M vs 517M (YoY), Revenue 3.6B vs 2.8B (YoY) | Results | BUY | Revenue +29%, profit +14% | |
| 58 | 2026-05-07 | 20:07:51 | Prudent Corp | Q4 EBITDA 930M vs 688M (YoY), Margin 25.79% vs 24.3% (YoY) | Results | BUY | Margin expansion | |
| 59 | 2026-05-07 | 20:07:51 | Innova Captab | Q4 Net Profit 381M vs 296M (YoY), Revenue 4.47B vs 3.15B (YoY) | Results | BUY | Revenue +42%, profit +29% | |
| 60 | 2026-05-07 | 20:07:51 | Nasdaq | Up 42.82 points (+0.17%) at 25,881.76 after market open | Macro | POSITIVE | US markets positive | |
| 61 | 2026-05-07 | 20:08:02 | Dow Jones | Up 181.75 points (+0.36%) at 50,092.34 after market open | Macro | POSITIVE | Dow above 50k | |
| 62 | 2026-05-07 | 20:08:21 | K.P. Energy | Q4 Net Profit 786M vs 458M (YoY), Revenue 6.3B vs 4B (YoY) | Results | BUY | Profit +72%, renewable energy | |
| 63 | 2026-05-07 | 20:10:11 | Prudent Corporate | Final dividend 3.5 rupees per share | Dividend | POSITIVE | Dividend yield ~0.5% | |
| 64 | 2026-05-07 | 20:10:11 | V-Mart Retail | Q4 EBITDA 1B vs 681M (YoY), Margin 10.95% vs 8.74% (YoY) | Results | BUY | Margin expansion, retail recovery | |
| 65 | 2026-05-07 | 20:10:11 | V-Mart Retail | Q4 Net Profit 112M vs 185M (YoY), Revenue 9.7B vs 7.8B (YoY) | Results | NEUTRAL | Profit decline despite revenue growth | |
| 66 | 2026-05-07 | 20:10:23 | FII/DII Flow | FII Sell 341 Cr, DII Buy 441 Cr | Flow | NEUTRAL | FII selling continues | |
| 67 | 2026-05-07 | 20:10:23 | Kirloskar Ferrous | Board approves raising up to βΉ1,000 Cr via NCDs | Fundraise | POSITIVE | Debt raise for expansion | |
| 68 | 2026-05-07 | 20:10:23 | Savita Oil Technologies | Q4 Net Profit 503M vs 345M (YoY), Revenue 12.24B | Results | BUY | Profit +46%, specialty chemicals | |
| 69 | 2026-05-07 | 20:11:21 | Kirloskar Ferrous | Q4 Net Profit 1.3B vs 956M (YoY), Revenue 17.81B | Results | BUY | Profit +36%, castings | |
| 70 | 2026-05-07 | 20:11:42 | Thermax | Q4 Net Profit 2.44B vs 2.05B (YoY), Revenue 34.28B vs 30.8B (YoY) | Results | BUY | Capital goods, steady growth | |
| 71 | 2026-05-07 | 20:11:42 | Thermax | Q4 EBITDA 3.74B vs 2.99B (YoY), Margin 10.93% vs 9.69% (YoY) | Results | BUY | Margin expansion | |
| 72 | 2026-05-07 | 20:12:00 | Thermax | Final dividend of 14 rupees per share | Dividend | BUY | High dividend yield ~1% | |
| 73 | 2026-05-07 | 20:12:00 | CCL Products | Q4 EBITDA 1.9B vs 1.6B (YoY), Margin 15.67% vs 19.53% (YoY) | Results | HOLD | Margin contraction, coffee | |
| 74 | 2026-05-07 | 20:12:00 | CCL Products | Q4 Net Profit 1.15B vs 1B (YoY), Revenue 12.2B vs 8.4B (YoY) | Results | POSITIVE | Revenue +45%, profit +15% | |
| 75 | 2026-05-07 | 20:12:08 | Thyrocare Tech | Final dividend of 7 rupees per share. Q4 Net Profit 471M vs 217M (YoY), Revenue 2.23B vs 1.87B (YoY) | Results | BUY | Profit doubled, diagnostic lab | |
| 76 | 2026-05-07 | 20:12:08 | Thyrocare Tech | Q4 EBITDA 755M vs 577M (YoY), Margin 33.71% vs 30.83% (YoY) | Results | BUY | High margin business | |
| 77 | 2026-05-07 | 20:12:16 | Sonata Software | Q4 EBITDA 2.08B vs 1.7B (YoY), Margin 8.23% vs 6.6% (YoY) | Results | POSITIVE | Margin expansion | |
| 78 | 2026-05-07 | 20:12:24 | Gravita India | Q4 Net Profit 918M vs 951M (YoY), Revenue 11.72B vs 10.4B (YoY) | Results | HOLD | Flat profit, revenue growth | |
| 79 | 2026-05-07 | 20:12:32 | BSE | Q4 EBITDA 11.2B vs 5.5B (YoY), Margin 71.83% vs 65.5% (YoY) | Results | BUY | Exchange, strong profit growth | |
| 80 | 2026-05-07 | 20:21:58 | Suryoday Small Finance Bank | Q4 GNPA 6.55% vs 6.69% (QoQ), NNPA 4.21% vs 4.35% (QoQ) | Results | NEUTRAL | High NPAs but improving | |
| 81 | 2026-05-07 | 20:21:58 | Suryoday Small Finance Bank | Q4 Net Profit 497M vs Loss 338M (YoY), Revenue 6B | Results | BUY | Turnaround from loss to profit | |
| 82 | 2026-05-07 | 20:21:58 | Vijaya Diagnostic Centre | Q4 Net Profit 479M vs 346M (YoY), Revenue 2.2B vs 1.8B (YoY) | Results | BUY | Profit +38%, diagnostic chain | |
| 83 | 2026-05-07 | 20:22:05 | Gravita India | Q4 EBITDA 1.1B vs 930M (YoY), Margin 9.55% vs 8.97% (YoY) | Results | POSITIVE | Margin expansion, lead recycling | |
| 84 | 2026-05-07 | 20:22:05 | Vijaya Diagnostic | Q4 EBITDA 955M vs 689M (YoY), Margin 43.54% vs 39.75% (YoY) | Results | BUY | High margin diagnostic business |
Share news 7 May 2026
| # | Date | Time | Company | News | Category | CMP | Action/View | Analysis/Notes |
|---|---|---|---|---|---|---|---|---|
| 1 | 2026-05-07 | 18:33:24 | Globus Spirits | Recommends dividend of 6.53 rupees per share | Dividend | POSITIVE | Alcobev company, shareholder return | |
| 2 | 2026-05-07 | 18:33:24 | Dabur India | Q4 Cons Net Profit 3.69B vs 3.2B (YoY), Revenue 30.38B vs 28.3B (YoY), declares dividend of 5.5 rupees/share | Results | BUY | FMCG steady growth, volume +6% | |
| 3 | 2026-05-07 | 18:35:33 | Kotak Mahindra Bank | Gets RBI green light to buy 9.99% share in Jammu and Kashmir Bank | Regulatory | POSITIVE | Strategic stake, banking consolidation | |
| 4 | 2026-05-07 | 18:35:33 | MRF | Warns below-average monsoon expected could harm demand | Guidance | CAUTION | Tyremaker, rural demand risk | |
| 5 | 2026-05-07 | 18:35:33 | Kotak Mahindra Bank | Gets RBI green light to buy up to 9.99% stake in City Union Bank | Regulatory | POSITIVE | Another bank stake, expansion | |
| 6 | 2026-05-07 | 18:35:42 | PAJSON Agro | Co-Promoter affirms growth for FY26 due to "near-zero waste" processing model | Guidance | POSITIVE | Agri processing efficiency story | |
| 7 | 2026-05-07 | 18:37:16 | Apollo Pipes | Aims for over 25% annual growth rate in next 3 years | Guidance | BUY | Aggressive growth target, piping sector | |
| 8 | 2026-05-07 | 18:37:16 | Sirca Paints India | Dividend of 2 rupees per share. Q4 EBITDA 257M vs 189M (YoY), Margin 19.17% vs 19.74% | Results | POSITIVE | Profit growth, stable margins | |
| 9 | 2026-05-07 | 18:38:06 | Sirca Paints | Q4 Net Profit 177M vs 142M (YoY), Revenue 1.34B vs 1B (YoY) | Results | BUY | Revenue +34%, profit +25% | |
| 10 | 2026-05-07 | 18:38:06 | Westlife Foodworld | Q4 Revenue 6.6B vs 6B (YoY). Aims 580-630 restaurants by 2027 | Results | BUY | McDonald's franchise, expansion | |
| 11 | 2026-05-07 | 18:38:15 | Westlife FoodWorld | Reports 1.5% growth in same store sales for Q4 | Update | POSITIVE | SSG positive after tough period | |
| 12 | 2026-05-07 | 18:38:15 | NSE Index | Ends Down 0.02% Or -4.30 Points At 24,326.65 | Market | NEUTRAL | Flat close, consolidation | |
| 13 | 2026-05-07 | 18:38:15 | Westlife Foodworld | Q4 EBITDA 869M vs 770M (YoY), Margin 13.3% vs 12.8% (YoY) | Results | BUY | Margin expansion, operating leverage | |
| 14 | 2026-05-07 | 18:38:37 | Westlife Foodworld | Q4 Cons Net Profit 24M vs 15M (YoY) | Results | POSITIVE | Profit +60%, low base | |
| 15 | 2026-05-07 | 18:38:37 | RattanIndia Power | Q4 Revenue 7.9B vs 9.4B (YoY) | Results | CAUTION | Revenue decline, power sector pressure | |
| 16 | 2026-05-07 | 18:38:44 | RattanIndia Power | Q4 EBITDA 1.20B vs 2.02B (YoY), Margin 15.32% vs 22% (YoY) | Results | SELL | Sharp margin contraction | |
| 17 | 2026-05-07 | 18:38:44 | RattanIndia Power | Q4 SL Net Profit 414M vs 1.25B (YoY) | Results | CAUTION | Profit down 67% YoY | |
| 18 | 2026-05-07 | 18:38:58 | Karur Vysya Bank | Q4 SL Net Profit 7.3B vs 5.13B (YoY) | Results | BUY | Profit +42% YoY, regional bank | |
| 19 | 2026-05-07 | 18:38:58 | Apollo Pipes | Q4 EBITDA 180M vs 240M (YoY), Margin 5.2% vs 7.64% (YoY) | Results | CAUTION | Margin compression, cost pressure | |
| 20 | 2026-05-07 | 18:38:58 | Karur Vysya Bank | Q4 GNPA 0.75% vs 0.71% (QoQ), NNPA 0.19% stable | Results | POSITIVE | Asset quality stable | |
| 21 | 2026-05-07 | 18:39:11 | Apollo Pipes | Q4 Revenue 3.5B vs 3.14B (YoY) | Results | NEUTRAL | Revenue +11%, margin weak | |
| 22 | 2026-05-07 | 18:39:11 | Karur Vysya Bank | Dividend 2.6 rupees per share | Dividend | POSITIVE | Shareholder return | |
| 23 | 2026-05-07 | 18:39:11 | Tata Steel | Co to consider Q4 Results on May 15 | Update | NEUTRAL | Earnings date announced | |
| 24 | 2026-05-07 | 18:39:11 | Apollo Pipes | Q4 Cons Net Profit 10M vs 98M (YoY) | Results | SELL | Profit collapse 90% | |
| 25 | 2026-05-07 | 18:39:24 | Lenskart | Potential Block Deal Worth βΉ3500 Crore at 5% discount from CMP | Block Deal | NEUTRAL | Large block, watch price | |
| 26 | 2026-05-07 | 18:39:46 | Karur Vysya Bank | Q4 Revenue 29B vs 25.16B (YoY) | Results | POSITIVE | Revenue +15% | |
| 27 | 2026-05-07 | 18:39:46 | Bharat Forge | Baba Kalyani says auto segment to see growth of 25%+ in FY27 | Guidance | BUY | Strong auto outlook, defence growth | |
| 28 | 2026-05-07 | 18:39:46 | Bharat Forge | Projects defence sector growth over 50% by FY27 | Guidance | BUY | Defence diversification paying off | |
| 29 | 2026-05-07 | 18:41:04 | ITC Ltd. | Rs. 241.74 Cr NSE block trade; for ~7,855,111 shares at Rs. 307.75 | Block Deal | 307.75 | NEUTRAL | Large block in FMCG major |
| 30 | 2026-05-07 | 18:41:12 | TCS | Rs. 73.65 Cr NSE block trade; for ~306,545 shares | Block Deal | NEUTRAL | IT services block | |
| 31 | 2026-05-07 | 18:41:12 | Axtel Industries | Q4 Revenue 706M vs 376M (YoY), EBITDA 152M vs 45M, Margin 21.5% vs 12% | Results | BUY | Turnaround story, margin expansion | |
| 32 | 2026-05-07 | 18:41:25 | Axtel Industries | Q4 Net Profit 112M vs 47M (YoY) | Results | BUY | Profit more than doubled | |
| 33 | 2026-05-07 | 18:41:25 | ITC | Co to consider Q4 Results on May 21 | Update | NEUTRAL | Earnings date announced | |
| 34 | 2026-05-07 | 18:41:25 | Wonderla Holiday | Q4 Revenue 1.4B vs 968M (YoY) | Results | BUY | Revenue +45%, amusement parks | |
| 35 | 2026-05-07 | 18:41:25 | Ceigall India | Q4 EBITDA 2.24B vs 1.3B (YoY), Margin 16.12% vs 12.64% (YoY) | Results | BUY | Strong margin expansion, infra | |
| 36 | 2026-05-07 | 18:41:32 | Diffusion Engineers | Wins local contract worth about Rs 10.63 Cr for roller assemblies | Order | POSITIVE | Small order win | |
| 37 | 2026-05-07 | 18:41:32 | Bajaj Holdings | Q4 Cons Net Profit 25.8B vs 17B (YoY) | Results | BUY | Profit +52%, investment company | |
| 38 | 2026-05-07 | 18:42:04 | Ceigall India | Q4 Revenue 14B vs 10B (YoY) | Results | BUY | Revenue +40% | |
| 39 | 2026-05-07 | 18:42:04 | CCL Products | Cocoa futures rise up to 7.7% in New York | Macro | POSITIVE | Raw material price impact | |
| 40 | 2026-05-07 | 18:42:04 | Wonderla Holiday | Q4 Net Profit 164M vs 110M (YoY) | Results | BUY | Profit +49% | |
| 41 | 2026-05-07 | 18:42:26 | Escorts Kubota | Recommends final dividend of Rs 33 per share | Dividend | BUY | High dividend, tractor major | |
| 42 | 2026-05-07 | 18:42:33 | Ceigall India | Q4 Cons Net Profit 1.3B vs 744M (YoY) | Results | BUY | Profit +75% | |
| 43 | 2026-05-07 | 18:42:33 | Wonderla Holiday | Q4 EBITDA 402M vs 197M (YoY), Margin 29.6% vs 20.4% (YoY) | Results | BUY | Strong margin expansion | |
| 44 | 2026-05-07 | 18:42:44 | Coromandel International | Q4 Revenue 60B vs 50B (YoY) | Results | POSITIVE | Revenue +20%, fertiliser | |
| 45 | 2026-05-07 | 18:42:44 | Escorts Kubota | Q4 Revenue 30B vs 24B (YoY) | Results | BUY | Revenue +25%, tractor demand | |
| 46 | 2026-05-07 | 18:42:52 | Escorts Kubota | Q4 EBITDA 3.86B vs 2.92B (YoY), Margin 13.1% vs 12.02% (YoY) | Results | BUY | Margin expansion | |
| 47 | 2026-05-07 | 18:43:00 | Escorts Kubota | Q4 Net Profit 3.25B vs 2.5B (YoY) | Results | BUY | Profit +30% | |
| 48 | 2026-05-07 | 18:43:00 | Gateway Distriparks | Q4 Revenue 5.34B vs 5.35B (YoY) flat | Results | NEUTRAL | Revenue stable | |
| 49 | 2026-05-07 | 18:43:00 | Coromandel International | Q4 Cons Net Profit 1.8B vs 5.8B (YoY) - sharp decline | Results | CAUTION | Profit down 69% due to one-offs | |
| 50 | 2026-05-07 | 18:43:08 | Gateway Distriparks | Q4 EBITDA 1.18B vs 1.08B (YoY), Margin 22.06% vs 20.13% (YoY) | Results | POSITIVE | Margin expansion | |
| 51 | 2026-05-07 | 18:43:08 | Gateway Distriparks | Q4 Cons Net Profit 637M vs Loss 1.93B (YoY) - turnaround | Results | BUY | Turnaround from loss to profit | |
| 52 | 2026-05-07 | 18:43:18 | Nila Spaces | Q4 EBITDA 174M vs 101M (YoY), Margin 34.95% vs 25.45% (YoY) | Results | BUY | High margin real estate | |
| 53 | 2026-05-07 | 18:43:18 | Nila Spaces | Q4 Net Profit 92M vs 47M (YoY), Revenue 498M vs 398M (YoY) | Results | BUY | Profit doubled, smallcap | |
| 54 | 2026-05-07 | 18:43:26 | Home First Finance | FY27 AUM Growth Guidance at 25% | Guidance | BUY | Strong growth guidance, housing finance | |
| 55 | 2026-05-07 | 20:07:42 | Jyoti Resins & Adhesives | Q4 Net Profit 200M vs 197M (YoY), Revenue 929M | Results | NEUTRAL | Flat profit | |
| 56 | 2026-05-07 | 20:07:42 | Forbes Precision | Q4 Net Profit 110M vs 91M (YoY), Revenue 709M vs 659M | Results | POSITIVE | Steady growth | |
| 57 | 2026-05-07 | 20:07:42 | Prudent Corp | Q4 Net Profit 591M vs 517M (YoY), Revenue 3.6B vs 2.8B (YoY) | Results | BUY | Revenue +29%, profit +14% | |
| 58 | 2026-05-07 | 20:07:51 | Prudent Corp | Q4 EBITDA 930M vs 688M (YoY), Margin 25.79% vs 24.3% (YoY) | Results | BUY | Margin expansion | |
| 59 | 2026-05-07 | 20:07:51 | Innova Captab | Q4 Net Profit 381M vs 296M (YoY), Revenue 4.47B vs 3.15B (YoY) | Results | BUY | Revenue +42%, profit +29% | |
| 60 | 2026-05-07 | 20:07:51 | Nasdaq | Up 42.82 points (+0.17%) at 25,881.76 after market open | Macro | POSITIVE | US markets positive | |
| 61 | 2026-05-07 | 20:08:02 | Dow Jones | Up 181.75 points (+0.36%) at 50,092.34 after market open | Macro | POSITIVE | Dow above 50k | |
| 62 | 2026-05-07 | 20:08:21 | K.P. Energy | Q4 Net Profit 786M vs 458M (YoY), Revenue 6.3B vs 4B (YoY) | Results | BUY | Profit +72%, renewable energy | |
| 63 | 2026-05-07 | 20:10:11 | Prudent Corporate | Final dividend 3.5 rupees per share | Dividend | POSITIVE | Dividend yield ~0.5% | |
| 64 | 2026-05-07 | 20:10:11 | V-Mart Retail | Q4 EBITDA 1B vs 681M (YoY), Margin 10.95% vs 8.74% (YoY) | Results | BUY | Margin expansion, retail recovery | |
| 65 | 2026-05-07 | 20:10:11 | V-Mart Retail | Q4 Net Profit 112M vs 185M (YoY), Revenue 9.7B vs 7.8B (YoY) | Results | NEUTRAL | Profit decline despite revenue growth | |
| 66 | 2026-05-07 | 20:10:23 | FII/DII Flow | FII Sell 341 Cr, DII Buy 441 Cr | Flow | NEUTRAL | FII selling continues | |
| 67 | 2026-05-07 | 20:10:23 | Kirloskar Ferrous | Board approves raising up to βΉ1,000 Cr via NCDs | Fundraise | POSITIVE | Debt raise for expansion | |
| 68 | 2026-05-07 | 20:10:23 | Savita Oil Technologies | Q4 Net Profit 503M vs 345M (YoY), Revenue 12.24B | Results | BUY | Profit +46%, specialty chemicals | |
| 69 | 2026-05-07 | 20:11:21 | Kirloskar Ferrous | Q4 Net Profit 1.3B vs 956M (YoY), Revenue 17.81B | Results | BUY | Profit +36%, castings | |
| 70 | 2026-05-07 | 20:11:42 | Thermax | Q4 Net Profit 2.44B vs 2.05B (YoY), Revenue 34.28B vs 30.8B (YoY) | Results | BUY | Capital goods, steady growth | |
| 71 | 2026-05-07 | 20:11:42 | Thermax | Q4 EBITDA 3.74B vs 2.99B (YoY), Margin 10.93% vs 9.69% (YoY) | Results | BUY | Margin expansion | |
| 72 | 2026-05-07 | 20:12:00 | Thermax | Final dividend of 14 rupees per share | Dividend | BUY | High dividend yield ~1% | |
| 73 | 2026-05-07 | 20:12:00 | CCL Products | Q4 EBITDA 1.9B vs 1.6B (YoY), Margin 15.67% vs 19.53% (YoY) | Results | HOLD | Margin contraction, coffee | |
| 74 | 2026-05-07 | 20:12:00 | CCL Products | Q4 Net Profit 1.15B vs 1B (YoY), Revenue 12.2B vs 8.4B (YoY) | Results | POSITIVE | Revenue +45%, profit +15% | |
| 75 | 2026-05-07 | 20:12:08 | Thyrocare Tech | Final dividend of 7 rupees per share. Q4 Net Profit 471M vs 217M (YoY), Revenue 2.23B vs 1.87B (YoY) | Results | BUY | Profit doubled, diagnostic lab | |
| 76 | 2026-05-07 | 20:12:08 | Thyrocare Tech | Q4 EBITDA 755M vs 577M (YoY), Margin 33.71% vs 30.83% (YoY) | Results | BUY | High margin business | |
| 77 | 2026-05-07 | 20:12:16 | Sonata Software | Q4 EBITDA 2.08B vs 1.7B (YoY), Margin 8.23% vs 6.6% (YoY) | Results | POSITIVE | Margin expansion | |
| 78 | 2026-05-07 | 20:12:24 | Gravita India | Q4 Net Profit 918M vs 951M (YoY), Revenue 11.72B vs 10.4B (YoY) | Results | HOLD | Flat profit, revenue growth | |
| 79 | 2026-05-07 | 20:12:32 | BSE | Q4 EBITDA 11.2B vs 5.5B (YoY), Margin 71.83% vs 65.5% (YoY) | Results | BUY | Exchange, strong profit growth | |
| 80 | 2026-05-07 | 20:21:58 | Suryoday Small Finance Bank | Q4 GNPA 6.55% vs 6.69% (QoQ), NNPA 4.21% vs 4.35% (QoQ) | Results | NEUTRAL | High NPAs but improving | |
| 81 | 2026-05-07 | 20:21:58 | Suryoday Small Finance Bank | Q4 Net Profit 497M vs Loss 338M (YoY), Revenue 6B | Results | BUY | Turnaround from loss to profit | |
| 82 | 2026-05-07 | 20:21:58 | Vijaya Diagnostic Centre | Q4 Net Profit 479M vs 346M (YoY), Revenue 2.2B vs 1.8B (YoY) | Results | BUY | Profit +38%, diagnostic chain | |
| 83 | 2026-05-07 | 20:22:05 | Gravita India | Q4 EBITDA 1.1B vs 930M (YoY), Margin 9.55% vs 8.97% (YoY) | Results | POSITIVE | Margin expansion, lead recycling | |
| 84 | 2026-05-07 | 20:22:05 | Vijaya Diagnostic | Q4 EBITDA 955M vs 689M (YoY), Margin 43.54% vs 39.75% (YoY) | Results | BUY | High margin diagnostic business |
6 may 7 May share news
| # | Date | Time | Company | News | Category | CMP | Action/View | Analysis/Notes |
|---|---|---|---|---|---|---|---|---|
| 1 | 2026-05-06 | 16:33:27 | Poonawalla Fincorp | Approves βΉ1,000 Crore NCD Issuance with βΉ500 Cr Base and βΉ500 Cr Green Shoe Option | Fundraise | POSITIVE | Debt raise for business expansion, NBFC growth | |
| 2 | 2026-05-06 | 16:33:27 | NSE Index | Ends Up 1.24% Or +298.15 Points At 24,330.95 | Market | POSITIVE | Strong market close, broad-based buying | |
| 3 | 2026-05-06 | 16:33:27 | BMW INDUSTRIES | Q4 EBITDA 576M vs 336M (YoY), Margin 27.6% vs 21.48% (YoY) | Results | BUY | Strong margin expansion, profit growth | |
| 4 | 2026-05-06 | 16:33:41 | BMW INDUSTRIES | Q4 SL Net Profit 334M vs 176M (YoY), Q4 Revenue 2.1B vs 1.57B (YoY) | Results | BUY | Profit almost doubled, revenue growth strong | |
| 5 | 2026-05-06 | 16:34:07 | Radico Khaitan | Keeps eye on West Asia crisis, remains optimistic about profit growth by FY27 | Guidance | BUY | Positive outlook, premium alcobev player | |
| 6 | 2026-05-06 | 16:34:07 | FAIRCHEM ORGANICS | Q4 Revenue 1.17B vs 1.2B (YoY) - flat | Results | NEUTRAL | Revenue flat, awaiting margin improvement | |
| 7 | 2026-05-06 | 16:34:20 | Radico Khaitan | Exceeds βΉ6,000 Cr Net Revenue and Surpasses βΉ1,000 Cr EBITDA | Results | BUY | Milestone achievement, strong financial performance | |
| 8 | 2026-05-06 | 16:34:20 | FAIRCHEM ORGANICS | Q4 EBITDA 80M vs 44M (YoY), Margin 6.87% vs 3.66% (YoY), Net Profit 37M vs 6M (YoY) | Results | BUY | Margin expansion from low base, turnaround | |
| 9 | 2026-05-06 | 16:34:31 | Likhitha Infra | Secures βΉ72.15 Cr Order from HPCL, Market Cap βΉ900 Cr | Order | BUY | Order ~8% of mcap, oil & gas infra play | |
| 10 | 2026-05-06 | 16:34:40 | Polycab | EBITDA Margins stay in expected range of 12%-14% | Guidance | POSITIVE | Margin guidance maintained, wires & cables | |
| 11 | 2026-05-06 | 16:34:40 | Polycab | Reports 15% yearly drop in EPC business revenues due to project timing issues | Update | NEUTRAL | EPC slowdown temporary, core business strong | |
| 12 | 2026-05-06 | 16:34:40 | RADICO KHAITAN | Q4 Revenue 52B vs 44.85B (YoY) | Results | BUY | Revenue growth +16% YoY | |
| 13 | 2026-05-06 | 16:34:40 | POLYCAB INDIA | Q4 Revenue 88.6B vs 70B (YoY) | Results | BUY | Revenue growth +26% YoY, strong demand | |
| 14 | 2026-05-06 | 16:34:49 | RADICO KHAITAN | Q4 EBITDA 2.84B vs 1.78B (YoY), Margin 5.5% vs 3.96% (YoY) | Results | BUY | Margin expansion, operating leverage | |
| 15 | 2026-05-06 | 16:34:49 | POLYCAB INDIA | Q4 EBITDA 11.61B vs 10.2B (YoY), Margin 13.1% vs 14.7% (YoY) | Results | HOLD | Margin contraction, but profit growth | |
| 16 | 2026-05-06 | 16:34:57 | POLYCAB INDIA | Q4 CONS Net Profit 7.7B vs 7.3B (YoY) | Results | POSITIVE | Profit +5% YoY | |
| 17 | 2026-05-06 | 16:34:57 | RADICO KHAITAN | Q4 CONS Net Profit 1.8B vs 921M (YoY) | Results | BUY | Profit nearly doubled | |
| 18 | 2026-05-06 | 16:34:57 | CG POWER AND INDUSTRIAL SOLUTIONS | Q4 EBITDA 4.7B vs 3.48B (YoY), Margin 13.6% vs 12% (YoY) | Results | BUY | Margin expansion, power infra play | |
| 19 | 2026-05-06 | 16:35:07 | CG POWER | Q4 CONS Net Profit 3.7B vs 2.7B (YoY), Q4 Revenue 34.41B vs 27.53B (YoY) | Results | BUY | Profit +37% YoY, strong execution | |
| 20 | 2026-05-06 | 16:35:56 | PM Modi Announcement | India and Vietnam will connect their payment systems, cooperate on critical minerals | Policy | POSITIVE | Cross-border payments, strategic ties | |
| 21 | 2026-05-06 | 16:35:56 | RANE (MADRAS) | Q4 EBITDA 955M vs 788M (YoY), Margin 9.12% vs 8.74% (YoY) | Results | POSITIVE | Margin improvement, auto ancillary | |
| 22 | 2026-05-06 | 16:36:04 | RANE (MADRAS) | Q4 Revenue 10.5B vs 9B (YoY). Remains cautiously positive for FY27 | Results | HOLD | Steady growth, cautious outlook | |
| 23 | 2026-05-06 | 17:13:46 | BMW Industries | Plans to start first phase of Bokaro Steel Complex in Q1 FY27, partners with IOCL for PNG | Expansion | BUY | Capacity expansion, efficiency improvement | |
| 24 | 2026-05-06 | 17:13:46 | VIMTA LABS | Q4 EBITDA 393M vs 330M (YoY), Margin 36.04% vs 34.98% (YoY) | Results | BUY | High-margin lab business, steady growth | |
| 25 | 2026-05-06 | 17:14:11 | Allied Blenders and Distillers | Andhra Pradesh reinstates LoI for new IMFL bottling plant | Update | POSITIVE | Regulatory approval for expansion | |
| 26 | 2026-05-06 | 20:13:18 | Tanfac Industries | Confirms βΉ495 Cr Investment for fluorinated product plant, start in Q3 FY27 | Expansion | BUY | Large capex, specialty chemicals growth | |
| 27 | 2026-05-06 | 20:16:58 | BAJAJ AUTO | Dividend of βΉ150 per share | Dividend | BUY | High dividend yield ~1.5% | |
| 28 | 2026-05-06 | 20:16:58 | BAJAJ AUTO | Q4 Net Profit 27.46B vs 20.5B (YoY); Est 26.3B. Q4 Revenue 160B | Results | BUY | Profit beat, 2-wheeler demand strong | |
| 29 | 2026-05-06 | 20:16:58 | BAJAJ AUTO | Q4 EBITDA 33.23B vs 24.5B (YoY); Est 32.12B, Margin 20.76% vs 20.17% | Results | BUY | Margin expansion, export outlook strong | |
| 30 | 2026-05-06 | 20:17:17 | Servotech Renewable Power | Wins 1,415 KW solar rooftop project from South Central Railway | Order | BUY | Solar EPC order, renewable energy play | |
| 31 | 2026-05-06 | 20:17:17 | Omaxe | Subsidiary gets RERA registration for two projects in Uttar Pradesh | Update | POSITIVE | Real estate projects progress | |
| 32 | 2026-05-06 | 20:17:51 | HOME FIRST FINANCE | Q4 Net Profit 1.49B vs 1.05B (YoY), Revenue 5.01B vs 4.15B (YoY) | Results | BUY | Housing finance growth, asset quality | |
| 33 | 2026-05-06 | 20:17:51 | Sarla Performance Fiber | Board will review plan for buying back equity shares | Buyback | POSITIVE | Buyback plan, value unlock | |
| 34 | 2026-05-06 | 20:17:51 | Dabur India | To create new fully owned subsidiary in the USA | Expansion | BUY | US foray, international growth | |
| 35 | 2026-05-06 | 20:18:42 | BIRLASOFT | Q4 Net Profit 1.76B vs 1.2B (QoQ), Revenue 13.49B flat QoQ, Final Dividend βΉ4 | Results | BUY | IT services, QoQ profit growth | |
| 36 | 2026-05-06 | 20:18:42 | CESC | Q4 EBITDA 7.43B vs 8.12B (YoY), Margin 18.14% vs 20.9% (YoY) | Results | HOLD | Margin compression, power utility | |
| 37 | 2026-05-06 | 20:19:03 | PB FINTECH | Q4 Net Profit 2.61B vs 1.71B (YoY), Revenue 20.61B vs 15.1B (YoY) | Results | BUY | Strong profit growth, insurance platform | |
| 38 | 2026-05-06 | 20:19:03 | KANSAI NEROLAC | Q4 EBITDA 2.15B vs 1.8B (YoY), Margin 11.48% vs 10.28% (YoY) | Results | POSITIVE | Margin expansion, paints sector recovery | |
| 39 | 2026-05-06 | 20:19:19 | GODREJ CONSUMER | Q4 Profit Before Tax 7.4B vs 6.7B (YoY), Dividend βΉ5 per share | Results | BUY | FMCG steady, dividend yield | |
| 40 | 2026-05-06 | 20:19:19 | BLUE STAR | Q4 EBITDA 3.26B vs 2.8B (YoY), Margin 8.01% vs 6.94% (YoY) | Results | BUY | Margin expansion, air conditioner demand | |
| 41 | 2026-05-06 | 20:19:27 | BLUE STAR | Q4 Net Profit 2.27B vs 1.94B (YoY), Revenue 40.72B vs 40.19B, Final Dividend βΉ8.50 | Results | BUY | Profit growth +17%, consumer durables | |
| 42 | 2026-05-06 | 20:19:27 | GODREJ CONSUMER | Q4 Net Profit 4.52B vs 4.1B (YoY), Revenue 39.70B | Results | BUY | FMCG profit growth | |
| 43 | 2026-05-06 | 23:16:20 | HEXAWARE TECH | Interim Dividend INR 8.50 per share. Q4 EBITDA 5.97B vs 5.28B (YoY), Margin 16.53% vs 16.45% | Results | BUY | IT services, dividend + margin expansion | |
| 44 | 2026-05-07 | 00:52:29 | ONE 97 COMMUNICATIONS | Q4 Net Profit 1.84B vs Loss 5.4B (YoY), Revenue 22.64B vs 19.12B (YoY) | Results | BUY | Paytm turns profitable, strong turnaround | |
| 45 | 2026-05-07 | 00:53:19 | FII/DII Flow | FII Sell Net βΉ5835 Cr, DII Buy Net βΉ6837 Cr | Flow | NEUTRAL | FII selling continues, DII absorbing | |
| 46 | 2026-05-07 | 08:53:25 | Bajaj Auto | Exports outlook strong, aiming to exceed 200,000-220,000 units monthly | Guidance | BUY | Export growth driver, 2-wheeler leader | |
| 47 | 2026-05-07 | 08:53:39 | Newgen Software Tech | Secures Contract valued at βΉ14.5 Crores | Order | POSITIVE | Small order win, software services | |
| 48 | 2026-05-07 | 08:54:24 | US Indices | Dow +643 (+1.31%) at 49,941, S&P +108 (+1.49%) at 7,367, Nasdaq +520 (+2.05%) at 25,846 | Macro | POSITIVE | US markets rally, global sentiment supportive | |
| 49 | 2026-05-07 | 10:10:19 | India Rupee | Starts at 94.73 against Dollar from 94.61 previous close | Macro | NEUTRAL | Rupee stable, slight depreciation | |
| 50 | 2026-05-07 | 10:10:26 | Adani Ports | Plans to invest up to βΉ13,000 Cr to expand fleet from 136 to about 200 vessels by 2031 | Expansion | BUY | Large capex, port operator growth | |
| 51 | 2026-05-07 | 10:56:27 | KEI Industries | Income Tax raids at six locations including Delhi | News | CAUTION | Tax raid, short-term overhang | |
| 52 | 2026-05-07 | 12:10:08 | NBC | Secures work orders valued at βΉ103.47 Cr from Power Finance Corporation for CSR projects | Order | POSITIVE | Order win, social infra projects | |
| 53 | 2026-05-07 | 12:10:08 | L&T | Wins large contract valued between βΉ25B to βΉ50B | Order | BUY | Mega order win, execution strength | |
| 54 | 2026-05-07 | 12:11:17 | Awfis Space | Grows presence in Chennai with new 114,000 sq. ft. premium workspace | Expansion | POSITIVE | Co-working space expansion | |
| 55 | 2026-05-07 | 12:11:17 | HDFC LIFE INSURANCE | Rs. 142.52 Cr NSE Block Trade; for ~2,328,313 shares at Rs. 612.10 | Block Deal | 612.10 | NEUTRAL | Large block trade in insurance major |
| 56 | 2026-05-07 | 18:26:19 | Phoenix Mills | Stake in Mirabel Entertainment reduced from 50% to 35.49% after issuing equity shares | Update | NEUTRAL | Stake dilution, non-core business | |
| 57 | 2026-05-07 | 18:32:14 | KENNAMETAL INDIA | Dividend of βΉ40 per share. Q4 Net Profit 514M vs 244M (YoY), Revenue 4.03B vs 2.9B (YoY) | Results | BUY | High dividend, profit doubled | |
| 58 | 2026-05-07 | 18:32:49 | DABUR INDIA | Q4 EBITDA 4.62B vs 4.26B (YoY), Margin 15.21% vs 15.08% (YoY). Reports 6% volume growth | Results | BUY | Volume growth +6%, FMCG resilient | |
| 59 | 2026-05-07 | 18:33:13 | Cochin Shipyard | Subsidiary receives order from Ocean Sparkle (Adani Group) to build four ASD tugs, valued βΉ100-250 Cr | Order | BUY | Shipbuilding order, defence PSU | |
| 60 | 2026-05-07 | 18:33:13 | DABUR INDIA | Q4 Net Profit 3.69B vs 3.2B (YoY), Revenue 30.38B vs 28.3B (YoY) | Results | BUY | Profit +15% YoY, FMCG steady growth |
Share news 5 May to 6 May 2026
| # | Date | Time | Company | News | Category | CMP | Action/View | Analysis/Notes |
|---|---|---|---|---|---|---|---|---|
| 1 | 2026-05-05 | 19:37:59 | LARSEN & TOUBRO | Q4 CONS NET PROFIT 53.26B VS 54.97B (YOY); EST 57.98B. Q4 REVENUE 827.62B. | Results | HOLD | Profit miss vs estimates. Revenue growth but margin pressure. | |
| 2 | 2026-05-05 | 19:39:32 | RAYMOND REALTY | Q4 CONS NET PROFIT 1.61B VS 24M (YOY). Q4 REVENUE 11.57B VS 1.17B (YOY). | Results | BUY | Strong turnaround, profit surged from marginal base. Realty momentum. | |
| 3 | 2026-05-05 | 19:53:53 | FII/DII FLOW | FII Sells Net βΉ3622 Cr. DII Purchases Net βΉ2603 Cr. | Flow | NEUTRAL | FII selling continues, DII absorbing. Market under pressure. | |
| 4 | 2026-05-05 | 21:03:06 | HERO MOTOCORP | Q4 EBITDA 18.56B VS 14.15B (YOY); EST 18B. MARGIN 14.50% VS 14.24%. FINAL DIVIDEND βΉ75. Q4 NET PROFIT 14.01B VS 10.8B (YOY); EST 14B. REVENUE 127.97B. | Results | BUY | Dividend βΉ75/share, profit in line, EBITDA beat. 2-wheeler demand strong. | |
| 5 | 2026-05-05 | 21:04:40 | US ECONOMIC DATA | US NEW HOME SALES (MAR) ACTUAL: 682K VS 587K PREV; EST 652K. US ISM NON-MANUFACTURING PMI (APR) ACTUAL: 53.6 VS 54.0 PREV; EST 53.7. | Macro | NEUTRAL | Housing data beat, services PMI slightly below expectations. | |
| 6 | 2026-05-05 | 21:04:52 | US INDICES | NASDAQ UP 199.55 (+0.80%) AT 25,267.35. DOW JONES UP 233.06 (+0.48%) AT 49,174.96. S&P 500 UP 44.65 (+0.62%) AT 7,245.40. | Macro | POSITIVE | US markets positive after data. Global sentiment supportive. | |
| 7 | 2026-05-06 | 11:17:29 | L&T | Secures Mega Contract Worth βΉ100B To βΉ150B. | Order | BUY | Large order win, execution strength. Infrastructure tailwind. | |
| 8 | 2026-05-06 | 11:17:29 | COFORGE | Rs. 44.32 Cr NSE Block Trade; for ~351,758 Shares, at Rs. 1260.00. | Block Deal | 1260.00 | NEUTRAL | Institutional block trade at current levels. |
| 9 | 2026-05-06 | 11:18:28 | UNITED SPIRITS | Goldman Sachs maintains Buy with Target Price βΉ1,480. | Brokerage | BUY | GS positive on alcobev demand, premiumisation trend. | |
| 10 | 2026-05-06 | 11:18:28 | MAHINDRA & MAHINDRA | Rs. 23.72 Cr NSE Block Trade; for ~72,240 Shares, at Rs. 3283.00. | Block Deal | 3283.00 | NEUTRAL | Block trade at higher levels, institutional interest. |
| 11 | 2026-05-06 | 11:18:28 | PNB | CLSA maintains Outperform with Target Price βΉ135. 16% PAT beat driven by lower opex. | Brokerage | BUY | PSU bank recovery, cost control improving profitability. | |
| 12 | 2026-05-06 | 11:18:48 | BHARAT FORGE | Morgan Stanley maintains Overweight with Target Price βΉ1,978. | Brokerage | BUY | Auto ancillaries strong, defence diversification positive. | |
| 13 | 2026-05-06 | 11:18:48 | L&T | Goldman Sachs maintains Buy with Target Price βΉ4,370. CLSA maintains Outperform with Target Price βΉ4,842. Strong 4Q order inflows. | Brokerage | BUY | Multiple broker upgrades, order book visibility strong. | |
| 14 | 2026-05-06 | 11:19:06 | COFORGE | Jefferies maintains Buy with Target Price βΉ1,860. Q4 beat led by stronger margins. | Brokerage | BUY | Margin expansion story, IT services demand resilient. | |
| 15 | 2026-05-06 | 11:19:25 | L&T | HSBC maintains Hold with Target Price βΉ3,800 (cut). Strong 4Q order inflows but margin concerns. | Brokerage | HOLD | Mixed view: order wins good but margin miss. | |
| 16 | 2026-05-06 | 11:19:45 | L&T | Nomura downgrades to Neutral with Target Price βΉ3,940. Subdued 4QFY26 operating performance. | Brokerage | HOLD | Downgrade on operational weakness. | |
| 17 | 2026-05-06 | 11:20:13 | HERO MOTOCORP | Jefferies maintains Underperform with Target Price βΉ5,000. Goldman Sachs maintains Sell with Target Price βΉ4,300. | Brokerage | SELL | Brokers cautious on 2-wheeler demand and EV transition. | |
| 18 | 2026-05-06 | 11:21:18 | AFCOM HOLDINGS | Successfully Raises βΉ199.85 Cr Via QIP. Funds to support fleet expansion. | Fundraise | POSITIVE | QIP success, growth capital for expansion. | |
| 19 | 2026-05-06 | 11:21:26 | AJANTA PHARMA | Management Forecasts Revenue Growth 16-18% for FY27. Aims to keep EBITDA Margin at 27%. | Guidance | BUY | Strong double-digit growth guidance, pharma resilient. | |
| 20 | 2026-05-06 | 11:21:38 | SPML | Wins Order Worth Rs 1130 Cr. Market Cap 1900 Cr. | Order | BUY | Large order relative to mcap, huge revenue visibility. | |
| 21 | 2026-05-06 | 11:22:13 | AJANTA PHARMA | Jefferies maintains Buy with Target Price βΉ3,550. Q4 all-round beat. | Brokerage | BUY | Pharma growth story, multiple broker upgrades. | |
| 22 | 2026-05-06 | 11:22:58 | MARICO | Elara Capital maintains Accumulate with Target Price βΉ922. Strong domestic volume growth. | Brokerage | BUY | FMCG volume recovery, rural demand improvement. | |
| 23 | 2026-05-06 | 11:23:37 | INDIA RUPEE | India Rupee Starts Trading At 95.03 Against Dollar From 95.28 Previous Close. | Macro | NEUTRAL | Rupee stable, slight appreciation. | |
| 24 | 2026-05-06 | 11:24:05 | NMDC | Sets New Iron Ore Prices; Baila Lump Pricing Increases To βΉ5,500 Per Ton. | Update | POSITIVE | Price hike positive for realisations. | |
| 25 | 2026-05-06 | 11:25:31 | CAMS | Expects EBITDA Margin To Stay Steady At 46.5%. Targets 40,000 To 50,000 Indian Companies. | Guidance | BUY | High margin business, strong moat. | |
| 26 | 2026-05-06 | 11:27:23 | PNB | Morgan Stanley maintains Underweight with Target Price βΉ88. Core revenues missed, PAT boosted by one-offs. | Brokerage | SELL | Core earnings weak, one-off driven beat. | |
| 27 | 2026-05-06 | 11:27:36 | COFORGE | Guidance: FY27 EBITDA margins 20.5% to 21%. Free cash flow to PAT expected at 100%+. | Guidance | BUY | Strong margin and cash flow guidance. | |
| 28 | 2026-05-06 | 14:41:05 | ADITYA BIRLA REAL ESTATE | Q4 EBITDA LOSS 1.6B VS LOSS 260M (YOY). | Results | CAUTION | Losses widening, real estate business under pressure. | |
| 29 | 2026-05-06 | 14:41:30 | FIRSTSOURCE SOLUTIONS | Q4 EBIT 3.14B VS 2.9B (QOQ). MARGIN 12.03% VS 11.81% (QOQ). | Results | POSITIVE | Margin expansion, BPM sector recovery. | |
| 30 | 2026-05-06 | 14:41:30 | CEAT | Rs. 25.43 Cr NSE Block Trade; for ~76,725 Shares, at Rs. 3314.00. | Block Deal | 3314.00 | NEUTRAL | Block trade at higher levels. |
| 31 | 2026-05-06 | 14:43:12 | GARWARE HI TECH | Q4 SL NET PROFIT 1B VS 736M (YOY). Approves new lamination line project in Waluj, βΉ191 Cr. | Results | BUY | Capacity expansion, profit growth strong. | |
| 32 | 2026-05-06 | 14:43:48 | GARWARE HI TECH | Q4 EBITDA 1.23B VS 994M (YOY). MARGIN 23.23% VS 19.3% (YOY). Expects Revenue Growth 15-20% for FY27, EBITDA Margin 22-25%. | Guidance | BUY | Margin expansion guidance, technical textiles. | |
| 33 | 2026-05-06 | 14:44:23 | KPIT TECH | Anticipates better revenue growth in FY27. EBITDA Expected Between 20.5% and 21.2%. Approves stake purchase in Cymotive Technologies for $60-120M. | Guidance | BUY | Auto software leader, acquisition-led growth. | |
| 34 | 2026-05-06 | 14:44:44 | KPIT TECH | Q4 EBIT 2.4B VS 2.34B (QOQ). MARGIN 14.04% VS 14.48% (QOQ). Q4 REVENUE 17.1B VS 16.17B. Q4 NET PROFIT 1.63B VS 1.3B (QOQ). | Results | BUY | QoQ growth steady, Q4 in line. | |
| 35 | 2026-05-06 | 14:45:11 | ARVIND FASHIONS | Expects steady double-digit revenue growth, plans to boost retail presence. | Guidance | BUY | Branded apparel demand strong. | |
| 36 | 2026-05-06 | 14:47:52 | ARVIND FASHIONS | Q4 REVENUE 13.64B VS 11.9B (YOY). FINAL DIVIDEND βΉ1.60. Q4 NET PROFIT 470M VS LOSS 931M (YOY). Q4 EBITDA MARGIN 13.9% VS 13.4%. | Results | BUY | Turnaround from loss, margin expansion. | |
| 37 | 2026-05-06 | 14:48:07 | KPI GREEN ENERGY | Plans to grow via BESS, Energy Trading, Green Hydrogen, Floating Solar. Q4 NET PROFIT 1.45B VS 1.04B (YOY). | Results | BUY | Renewable energy growth, multiple new segments. | |
| 38 | 2026-05-06 | 14:48:18 | B.L. KASHYAP | Wins Order Worth 180 Cr. Company Market Cap 1300 Cr. | Order | BUY | Order win ~14% of mcap, construction recovery. | |
| 39 | 2026-05-06 | 14:48:26 | KPIT GREEN ENERGY | Q4 EBITDA 2.91B VS 1.6B (YOY). MARGIN 36.55% VS 28.3% (YOY). | Results | BUY | Massive margin expansion, operating leverage. | |
| 40 | 2026-05-06 | 14:48:58 | KOTAK MAHINDRA BANK | Rs. 41.49 Cr NSE Block Trade; for ~1,111,516 Shares, at Rs. 373.30. | Block Deal | 373.30 | NEUTRAL | Large block trade in private bank. |
| 41 | 2026-05-06 | 14:49:06 | SHOPPERS STOP | Plans to eliminate debt by FY27 end. CEO aims to cut EBITDA losses by half by FY27, break-even by FY28. | Guidance | HOLD | Turnaround strategy, but losses still high. | |
| 42 | 2026-05-06 | 14:49:29 | POLYCAB INDIA | Rs. 79.15 Cr NSE Block Trade; for ~93,810 Shares, at Rs. 8437.00. | Block Deal | 8437.00 | NEUTRAL | High value block trade, institutional interest. |
| 43 | 2026-05-06 | 14:49:49 | MARICO | Rs. 46.29 Cr NSE Block Trade; for ~561,094 Shares, at Rs. 825.00. | Block Deal | 825.00 | NEUTRAL | FMCG block trade at moderate levels. |
| 44 | 2026-05-06 | 14:50:01 | SOUTH INDIAN BANK | Q4 REVENUE 25.6B VS 23.7B (YOY). | Results | POSITIVE | Revenue growth steady, regional bank. |
Share important news 29 april to 5 May 2026
| # | Date | Time | Company | News | Category | CMP | Action | Analysis |
|---|---|---|---|---|---|---|---|---|
| 1 | 2026-04-29 | 18:17:59 | INDIAN BANK | Q4 deposit growth 12.29% vs guidance 10-12% · NIM 3.35% vs guidance 3.15-3.30% · fresh slippages 13.5B vs 10B (QoQ) | Results | HOLD | Deposit beat, slippages rise. Asset quality stable but provisions watch. | |
| 2 | 2026-04-29 | 18:22:59 | CAPITAL SMALL FINANCE BANK | Dividend βΉ5 per share · Q4 Net Profit 401M, Revenue 2.7B vs 2.3B · GNPA 2.54% vs 2.68% (QoQ) | Dividend | POSITIVE | Small finance bank, dividend yield ~0.9%, asset quality narrowing. | |
| 3 | 2026-04-29 | 18:22:59 | VEDANTA | Q4 EBITDA 76B vs 52.46B (YoY) · Margin 30.72% vs 31.44% | Results | POSITIVE | Strong EBITDA growth, margin slight compression; commodities tailwind. | |
| 4 | 2026-04-29 | 19:21:29 | ADANI POWER | Q4 Other income 18B vs 3B · Net Profit 40B vs 26B (Est 30B) · Revenue flat 142B | Results | BUY | Profit beat on other income, expansion plans in thermal/hydro. | |
| 5 | 2026-04-29 | 21:57:14 | BAJAJ FINANCE | 22% AUM growth matching FY26 guidance · Projects 22-24% growth for FY27 | Guidance | BUY | Strong AUM momentum, market leader in consumer finance. | |
| 6 | 2026-04-30 | 00:40:42 | RPG LIFE SCIENCES | Dividend βΉ24 per share · Q4 Net Profit 299M vs 1.2B (YoY) · Revenue 1.76B vs 1.43B | Dividend | CAUTION | Profit decline but high dividend, watch base effect. | |
| 7 | 2026-04-30 | 01:00:40 | WAAREE ENERGIES | Q4 EBITDA 15.76B vs 9.23B · Revenue doubled 84.8B vs 40B · Margin 18.58% vs 23.04% | Results | BUY | Solar energy leader, revenue spike, margin compression monitor. | |
| 8 | 2026-04-30 | 01:00:53 | KFIN TECH | Final dividend βΉ12 per share · Q4 Net Profit 811M vs 920M (QoQ) · EBIT margin 36.57% vs 40.9% | Dividend | HOLD | Dividend solid but margin contraction, fintech platform. | |
| 9 | 2026-04-30 | 08:04:47 | MPHASIS | Final dividend βΉ62 per share · Q4 Net Profit 5.1B vs 4.4B (QoQ) · Revenue 42B vs 40B | Dividend | BUY | IT services, strong dividend yield ~2.8%, QoQ growth. | |
| 10 | 2026-04-30 | 13:13:02 | SHAKTI PUMPS | Wins order βΉ155 Cr (25% of quarterly revenue) · Order inflow booster | Order / Contract | BUY | Large order adds revenue visibility, water infra. | |
| 11 | 2026-04-30 | 14:27:53 | ACUTAAS CHEMICALS | Final dividend βΉ2.5/share · Q4 Net Profit 1.37B vs 628M · EBITDA margin 42.96% vs 27.6% | Dividend | BUY | Specialty chemical, margin expansion stellar. | |
| 12 | 2026-05-04 | 14:54:26 | EXIDE INDUSTRIES | Q4 Revenue 45.51B vs 41.6B · Net Profit 3.1B vs 2.55B (Est 3B) · EBITDA margin 11.65% vs 11.23% | Results | POSITIVE | Battery sector, profit in line, margin uptick. | |
| 13 | 2026-05-04 | 17:33:02 | WOCKHARDT | Q4 EBITDA 2.25B vs 640M · Margin 23.3% vs 8.6% · Net Profit 1.66B vs loss 250M | Results | BUY | Pharma turnaround, strong operating leverage. | |
| 14 | 2026-05-04 | 17:33:43 | AMBUJA CEMENTS | Highest ever sales volume 19.9 MT (+10% YoY) · Revenue 69.72B vs 56.7B | Results | BUY | Volume growth strong, cement demand revival. | |
| 15 | 2026-05-04 | 18:11:06 | JINDAL STAINLESS | Q4 EBITDA 14.54B vs 10.6B · Net Profit 8.43B vs 5.9B · Margin 12.83% vs 10.4% | Results | BUY | Metal beat, margin expansion, volume guidance 8-9%. | |
| 16 | 2026-05-04 | 19:41:31 | SOBHA | Q4 EBITDA 1.5B vs 940.6M · Net Profit 918M vs 408.6M · Revenue 19.88B vs 12.4B | Results | BUY | Real estate beat, strong revenue growth 60% YoY. | |
| 17 | 2026-05-04 | 20:26:07 | AARTI INDUSTRIES | Q4 EBITDA 3.43B vs 2.7B · Margin 15.56% vs 13.75% | Results | POSITIVE | Chemical recovery, margins improving. | |
| 18 | 2026-05-05 | 13:50:55 | MAHINDRA & MAHINDRA | Q4 Revenue 395B vs 314B (Est 378.2B) · Net Profit 37.4B vs 24.4B (Est 35.24B) · Dividend βΉ33/share | Results | BUY | Auto major, profit beat, dividend yield ~1.08%. | |
| 19 | 2026-05-05 | 15:07:13 | MARICO | Q4 Volume growth 9% vs est 7% · Net Profit 3.9B vs 3.4B (in line) · Revenue 33.3B vs 27.3B | Results | BUY | FMCG volume beat, international growth mid-teen guidance. | |
| 20 | 2026-05-05 | 16:48:51 | EMCURE PHARMA | Q4 EBITDA 4.85B vs 3.9B · Margin 19.7% vs 18.4% · Net Profit 2.4B vs 1.9B | Results | POSITIVE | Complex injectables focus, margin expansion. | |
| 21 | 2026-05-05 | 16:50:11 | TATA POWER | JV secures $515 million World Bank financing for 1,125 MW Dorjilung hydro project | Strategic | BUY | Hydro green energy, long-term revenue visibility. | |
| 22 | 2026-05-05 | 17:56:19 | COFORGE | Q4 PBT 6.78B vs 5.32B · FY26 growth 29.2% · CEO guides FY27 EBITDA >20.5% | Guidance | BUY | IT services strong deal wins, margin guidance upbeat. | |
| 23 | 2026-05-05 | 19:36:54 | DALMIA BHARAT SUGAR | Q4 EBITDA 1.71B vs 1.95B · Net Profit 1.05B vs 2.1B (YoY decline) | Results | CAUTION | Sugar sector pressure, profit halved. | |
| 24 | 2026-05-05 | 19:37:36 | LARSEN & TOUBRO | Final dividend βΉ38/share · Q4 EBITDA 86.1B vs 82B (Est 93B) · Margin 10.4% vs 11.03% | Dividend | HOLD | Infra major, dividend good but margin miss. |
| # | π
Date / Time (stacked) |
π Cleaned Text | π·οΈ Category | β‘ Action | βοΈ Your Analysis |
|---|---|---|---|---|---|
| π’ BANDHAN BANK (6 items) | |||||
| 1 | BANDHAN BANK: Q4 Net Profit 5.34B VS 3.18B, Revenue 54.28B VS 54.33B. NSE Index Ends Down 0.40% at 23,995.70. | π Results | POSITIVE |
βοΈ π¦ Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
|
|
| 2 | AWL AGRI BUSINESS: Q4 EBITDA 5.23B VS 4.5B, Margin 2.44% VS 2.46%. GREENPLY INDUSTRIES: Q4 Net Profit 310M VS 166M. BANDHAN BANK: GNPA 3.27% VS 3.33%, NNPA 0.97% VS 0.99%. | π Results | POSITIVE |
βοΈ π¦ Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
|
|
| 3 | Bandhan Bank: UBS Neutral TPβΉ200, Jefferies Buy TPβΉ215. | π Corporate News | HOLD |
βοΈ π¦ Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
|
|
| 4 | Bandhan Bank: Macquarie Underperform TPβΉ130. Dr. Reddy's: Delhi HC trademark warning. | π Corporate News | NoAction |
βοΈ π¦ Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
|
|
| 5 | Bandhan Bank: JPMorgan Neutral TPβΉ157. NIM guidance +10-20bps. | π Corporate News | HOLD |
βοΈ π¦ Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
|
|
| 6 | Bandhan Bank: Credit cost guidance 1.6-1.7% by FY27 exit. | π Corporate News | NoAction |
βοΈ π¦ Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
|
|
| π’ BANSAL WIRE (2 items) | |||||
| 7 | BANSAL WIRE: Q4 EBITDA 764M vs 719M, Margin 6.7% vs 7.76%. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 8 | BANSAL WIRE: Q4 Revenue 11.4B vs 9.4B, Net Profit 401M vs 331M. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ BLUE CLOUD SOFTECH (1 items) | |||||
| 9 | Blue Cloud Softech: Partners with GCIB Africa for digital projects in Senegal. | π Corporate News | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ DALMIA BHARAT (6 items) | |||||
| 10 | DALMIA BHARAT: Q4 Revenue 42.5B VS 41B. SAPPHIRE FOODS: Q4 Revenue 7.9B VS 7B. Finmin Readies 2.5 Lakh Cr Credit Guarantee Scheme for MSMEs and Airlines. | π Results | NoAction |
βοΈ ποΈ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
|
|
| 11 | DALMIA BHARAT: Q4 EBITDA 8.8B VS 7.9B; Est 8.5B, Margin 20.7% VS 19.4%. SAPPHIRE FOODS: Q4 EBITDA 1.24B VS 1.1B, Margin 15.7% VS 14.9%. | π Results | NoAction |
βοΈ ποΈ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
|
|
| 12 | DALMIA BHARAT: Q4 Net Profit 3.8B VS 2.1B; Est 3.4B. Leela Palaces: Net Debt cut from βΉ25,677M to βΉ12,707M, Debt/EBITDA improving. | π Results | POSITIVE |
βοΈ ποΈ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
|
|
| 13 | DHANLAXMI BANK: Q4 Interest Earned 4.43B VS 3.5B. DALMIA BHARAT: Q4 Net Profit 3.8B VS 2.1B. | π Results | POSITIVE |
βοΈ ποΈ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
|
|
| 14 | DALMIA BHARAT: Q4 Net Profit 3.9B VS 4.4B. DALMIA BHARAT: Q4 EBITDA 9B VS 7.9B, Margin 21.25% VS 19.4%. DHANLAXMI BANK: Interest Earned 4.43B VS 3.5B. | π Results | POSITIVE |
βοΈ ποΈ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
|
|
| 15 | DHANLAXMI BANK: Q4 Net Profit 435M VS 290M. DHANLAXMI BANK: GNPA 1.89% VS 2.36% (QoQ), NNPA 0.51% VS 1.11% (QoQ). DALMIA BHARAT: Q4 Net Profit 3.9B VS 4.4B. | π Results | POSITIVE |
βοΈ ποΈ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
|
|
| π’ ETERNAL (5 items) | |||||
| 16 | ETERNAL: Q4 Net Profit 1.7B VS 1.02B (QoQ); Est 1.91B. Q4 EBITDA 4.86B VS 3.68B; Margin 2.81% VS 2.26%. Quick commerce sales 132B VS 123B. | π Results | POSITIVE |
βοΈ π΅ Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
|
|
| 17 | Eternal: Macquarie Underperform TPβΉ200, InCred Add TPβΉ383. | π¦ Brokerage Call | NoAction |
βοΈ π΅ Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
|
|
| 18 | Eternal: Citigroup Buy TPβΉ360. Volatility alert: IDEA & BANDHANBNK. | β οΈ Volatility Alert | NoAction |
βοΈ π΅ Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
|
|
| 19 | Eternal: DAM Capital Buy TPβΉ330. Positional call: CONCORD BIOTECH book profit. | π Corporate News | NoAction |
βοΈ π΅ Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
|
|
| 20 | Bandhan Bank: CLSA Outperform TPβΉ220. Eternal: DAM Capital Buy. | π¦ Brokerage Call | BUY |
βοΈ π΅ Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
|
|
| π’ FEDERAL BANK (3 items) | |||||
| 21 | FEDERAL BANK: Q4 NPA Provisions 7.4B vs 3.3B (QoQ). INDIAN BANK: To raise equity capital up to 50B via QIP. | π Results | NoAction |
βοΈ π¦ GNPA improves to 1.62%, provisions spike – asset quality stable.
|
|
| 22 | FEDERAL BANK: GNPA 1.62% vs 1.72% (QoQ), NNPA 0.20% vs 0.42%. | π Results | NoAction |
βοΈ π¦ GNPA improves to 1.62%, provisions spike – asset quality stable.
|
|
| 23 | FEDERAL BANK: Q4 Net Profit 12.6B vs 10.3B, Revenue 74B vs 66.48B. UAE Fujairah oil stocks at 6M barrels low. | π Results | POSITIVE |
βοΈ π¦ GNPA improves to 1.62%, provisions spike – asset quality stable.
|
|
| π’ FIVE-STAR BUSINESS FINANCE (1 items) | |||||
| 24 | FIVE-STAR BUSINESS FINANCE: Dividend βΉ2. FII Sell βΉ2,103.74 Cr, DII Buy βΉ1,712 Cr. RAJOO ENGINEERS: Q4 Net Profit 8M VS 138M, Revenue 467M VS 899M. | π Results | SELL |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ GO DIGIT (1 items) | |||||
| 25 | GO DIGIT: Q4 Net Profit 1.7B VS 1.16B. BHEL: Tech transfer with NSTL-DRDO. Solara Active: USFDA EIR. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ GRANULES INDIA (2 items) | |||||
| 26 | GRANULES INDIA: Q4 Revenue 14.7B vs 12B. SUN PHARMA: βΉ195.59 Cr block trade. | π Results | NoAction |
βοΈ π Q4 profit +31%, margin expansion – pharma API tailwind.
|
|
| 27 | GRANULES INDIA: Q4 EBITDA 3.5B vs 2.52B, Margin 23.94% vs 21.07%. | π Results | NoAction |
βοΈ π Q4 profit +31%, margin expansion – pharma API tailwind.
|
|
| π’ INDIAN BANK (3 items) | |||||
| 28 | INDIAN BANK: NPA Provisions 7.5B vs 3B (QoQ), Interest Earned 175B vs 158B. | π Corporate News | NoAction |
βοΈ π¦ Dividend βΉ18.25, GNPA down, profit slightly below est. Capital raise via QIP.
|
|
| 29 | Sterlite Tech: Order Book Q1 βΉ14.9B, Q2 & beyond βΉ58.4B. INDIAN BANK: Q4 Net Profit 31B vs 29.56B; Est 32B. | π Results | POSITIVE |
βοΈ π¦ Dividend βΉ18.25, GNPA down, profit slightly below est. Capital raise via QIP.
|
|
| 30 | INDIAN BANK: Dividend βΉ18.25, GNPA 1.98% vs 2.23% (QoQ), NNPA 0.15% steady. | π Results | POSITIVE |
βοΈ π¦ Dividend βΉ18.25, GNPA down, profit slightly below est. Capital raise via QIP.
|
|
| π’ INDIAN OVERSEAS BANK (1 items) | |||||
| 31 | INDIAN OVERSEAS BANK: Q4 Net Profit 15.1B vs 10.5B. GRANULES: Q4 Net Profit 2B vs 1.52B. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ LT FOODS (1 items) | |||||
| 32 | MAHINDRA LIFESPACE DEVELOPERS: Q4 Net Profit 901M VS 851M. LT Foods: Introduces Daawat Factory at KidZania. Infineon India Expansion. | π Results | POSITIVE |
βοΈ π» German chipmaker expands India via OSAT – semiconductor ecosystem boost.
|
|
| π’ MARUTI SUZUKI (4 items) | |||||
| 33 | MARUTI SUZUKI: Q4 Net Profit 36B VS 37B; Est 41.5B. MARUTI SUZUKI: Dividend 140 Rupees Per Share. | π Results | POSITIVE |
βοΈ π Dividend βΉ140, profit miss (36B vs 41B est) – margin recovery but volume soft.
|
|
| 34 | MARUTI SUZUKI: Q4 EBITDA 61.5B VS 42.65B; Est 61.4B, Margin 11.74% VS 10.5%. German Chipmaker Infineon Accelerates India Expansion via OSAT, Foundry Tie-ups. DALMIA BHARAT: Volume Growth 3% VS Guidance 7-8%. | π Results | NoAction |
βοΈ ποΈ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
|
|
| 35 | Maruti Suzuki: Iran war little effect. New lines to boost capacity by 250,000 cars. AWL AGRI: Q4 Net Profit 2.92B VS 1.9B. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 36 | Seamec: Signs ONGC contract for MSV Samudra Sevak. Maruti Suzuki: Trade deal with NZ creates export opportunity. | π Order / Contract | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ MOTHERSON SUMI WIRING (1 items) | |||||
| 37 | MOTHERSON SUMI WIRING: Q4 Net Profit 1.67B VS 1.65B, Revenue 33.28B VS 25.1B. MOTHERSON SUMI: Q4 EBITDA 2.73B VS 2.7B, Margin 8.21% VS 10.82%. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ ORIENT CEMENT (1 items) | |||||
| 38 | ORIENT CEMENT: Q4 Net Profit 554M VS 421M, Revenue 6.47B VS 8.25B. Enviro Infra buys Suyog Urja for βΉ311 Cr. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ PIRAMAL PHARMA (2 items) | |||||
| 39 | PIRAMAL PHARMA: Q4 Net Loss 88.2M VS Profit 1.5B. EMMVEE PHOTOVOLTAIC: Q4 Net Profit 3.92B VS 2.07B, Revenue 17.39B. | π Results | CAUTION |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 40 | Piramal Pharma: CEO expects strong FY27 revenue growth. OMDC: Mining approval extended to 2030. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ REC LTD (3 items) | |||||
| 41 | Eternal: LPG Shortage Not Significantly Affecting Operations. REC LTD: Q4 Revenue 138B VS 146B. ETERNAL: Expects $1 Billion Adjusted EBITDA By FY29. | π Results | NoAction |
βοΈ π¦ Profit miss (33.6B vs 42B est), loan growth below guidance – PSU NBFC pressure.
|
|
| 42 | Eternal: Confident Of Blinkit Getting To 5-6% Margin Before Earlier Guidance. REC LTD: Q4 Net Profit 33.6B VS 42.36B; Est 42B. REC LTD: Q4 Revenue 138B VS 146B. | π Results | POSITIVE |
βοΈ π¦ Profit miss (33.6B vs 42B est), loan growth below guidance – PSU NBFC pressure.
|
|
| 43 | Eternal: Increased Confidence in Achieving 5-6% Guidance. Eternal: Expects Blinkit Growth >60% Over Next 3 Years. REC LTD: Loan Growth 10% VS FY26 Guidance 11-13%. | π Corporate News | NoAction |
βοΈ π¦ Profit miss (33.6B vs 42B est), loan growth below guidance – PSU NBFC pressure.
|
|
| π’ SANOFI INDIA (1 items) | |||||
| 44 | SANOFI INDIA: Q4 Net Profit 1B VS 1.2B, Revenue 4.7B VS 5.4B. DOW JONES UP 172.51 pts. UAE departure from OPEC. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ SKIPPER (3 items) | |||||
| 45 | Government Considering Dropping Anti-Dumping Duty On Certain Textile Inputs. SKIPPER: Q4 EBITDA 1.73B VS 1.24B, Margin 10.4% VS 9.6%. SKIPPER: Q4 Revenue 16.7B VS 12.88B. | π Results | NoAction |
βοΈ π Q4 profit +63%, margin expansion – engineering turnaround.
|
|
| 46 | VIP Industries: Appoints Alok Pathak As New Chief Sales Officer. SKIPPER: Q4 Net Profit 781M VS 479M. Government Considering Dropping Anti-Dumping Duty On Textile Inputs. | π Results | POSITIVE |
βοΈ π Q4 profit +63%, margin expansion – engineering turnaround.
|
|
| 47 | SKIPPER: Q4 Revenue 16.7B VS 12.88B. ETERNAL: Q4 Revenue 173B VS 163B. | π Results | NoAction |
βοΈ π Q4 profit +63%, margin expansion – engineering turnaround.
|
|
| π’ VAKRANGEE (1 items) | |||||
| 48 | VAKRANGEE: Q4 Revenue 567M vs 632M, Net Profit 20M vs 25M. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| # | π
Date / Time (stacked) |
π Cleaned Text | π·οΈ Category | β‘ Action | βοΈ Your Analysis |
|---|---|---|---|---|---|
| π’ π MARKET INDICES / FLOWS (1 items) | |||||
| 1 | NSE Index Ends Up 0.81% Or +194.75 Points At 24,092.70. | π Market / Macro | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ π OTHER NEWS (2 items) | |||||
| 2 | Himadri Specialty: Targets PAT from βΉ555 Cr to βΉ1,100 Cr by FY28, 20% EBITDA margin. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 3 | L&T Finance: Nomura Buy TP βΉ340. Positional call: HINDUSTAN ZINC book profit. | π― Positional Call | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ ADANI TOTAL GAS (1 items) | |||||
| 4 | JINDAL SAW: Q4 Net Profit 1.39B VS 2.9B. ADANI TOTAL GAS: Q4 Net Profit 1.68B VS 1.58B. | π Results | POSITIVE |
βοΈ π Profit declines 52% – margin compression.
|
|
| π’ ALEMBIC PHARMA (1 items) | |||||
| 5 | Alembic Pharma: co Receives Final U.S. FDA Approval For Fingolimod Capsules. | π Regulatory Approval | NoAction |
βοΈ π USFDA approval for Fingolimod – generic opportunity.
|
|
| π’ AMAZON (1 items) | |||||
| 6 | Amazon India: 'Amazon Now' expansion to 100 cities. | π Corporate News | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ AU SMALL FINANCE (5 items) | |||||
| 7 | AU Small Finance Bank: Elara Capital Reduce with Target Price βΉ990 (raised) as despite strong Q4 led by higher NIM (+26bp QoQ to ~6%), lower credit costs, strong loan growth. | π Results | SELL |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 8 | AU Small Finance Bank: Nomura Neutral TP βΉ975. SBI Cards: Jefferies Hold. | π Corporate News | HOLD |
βοΈ π³ Mixed calls – asset quality improving but growth muted.
|
|
| 9 | Coal India: Motilal Oswal Buy TP βΉ530. AU Small Finance Bank: Nomura Neutral. | π Corporate News | HOLD |
βοΈ βοΈ Mixed views – EBITDA beat but inventory high.
|
|
| 10 | AU Small Finance Bank: UBS Neutral TP βΉ1,150. Himadri Speciality: Birla Tyres growth target. | π Corporate News | HOLD |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 11 | AU SMALL FINANCE: Q4 GNPA 2.03% vs 2.30%, NNPA 0.74% vs 0.88%. Q4 Net Profit 8.3B VS 5.04B, Revenue 50.1B VS 42.7B. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ AXIS BANK (9 items) | |||||
| 12 | Axis Bank: Nomura Buy with Target Price βΉ1,560 as Q4 PAT in line but weak core PPOP offset by credit cost beat. Reliance Industries: Morgan Stanley Overweight TP βΉ1,803. Reliance Industries: Macquarie Outperform TP βΉ1,570. | π Results | BUY |
βοΈ π’οΈ Multiple broker views – O2C weak but Jio strong.
|
|
| 13 | IndusInd Bank: UBS Sell with Target Price βΉ730 as Q4 PAT beat driven by lower credit costs, but weak loan growth (-0.5% QoQ). Axis Bank: Nomura Buy TP βΉ1,560. Reliance Industries: Morgan Stanley Overweight. | π Results | BUY |
βοΈ π’οΈ Multiple broker views – O2C weak but Jio strong.
|
|
| 14 | India 10-Year Government Bond Yield At 6.9620% From 6.9365%. IndusInd Bank: UBS Sell TP βΉ730. Axis Bank: Nomura Buy TP βΉ1,560. | π Market / Macro | SELL |
βοΈ π¦ Turnaround signs – broker upgrades.
|
|
| 15 | Axis Bank: Kotak Buy TP βΉ1,600. Transformers And Rectifiers: $16.26M export order. Paytm: Bernstein Outperform TP βΉ1,500. | π¦ Brokerage Call | BUY |
βοΈ π± RBI license cancellation – limited impact per brokers.
|
|
| 16 | Reliance Industries: CLSA Outperform TP βΉ1,800. Axis Bank: Kotak Buy. | π¦ Brokerage Call | BUY |
βοΈ π’οΈ Multiple broker views – O2C weak but Jio strong.
|
|
| 17 | Axis Bank: Bernstein Outperform TP βΉ1,600. | π¦ Brokerage Call | NoAction |
βοΈ π¦ Buy calls – strong loan growth +18.5% YoY.
|
|
| 18 | IDFC First Bank: CLSA Hold TP βΉ73. Axis Bank: Bernstein Outperform. | π¦ Brokerage Call | HOLD |
βοΈ π¦ Buy calls – strong loan growth +18.5% YoY.
|
|
| 19 | Axis Bank: UBS Buy TP βΉ1,620. Positional call: BUY JSW ENERGY. | π― Positional Call | NoAction |
βοΈ π¦ Buy calls – strong loan growth +18.5% YoY.
|
|
| 20 | RBL Bank: CLSA Hold TP βΉ320. Axis Bank: UBS Buy. | π Corporate News | HOLD |
βοΈ π¦ Buy calls – strong loan growth +18.5% YoY.
|
|
| π’ BAJAJ HOUSING (1 items) | |||||
| 21 | BAJAJ HOUSING: Q4 Net Profit 6.7B VS 5.87B, Revenue 29B VS 25.1B. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ BHARTI AIRTEL (1 items) | |||||
| 22 | Bharti Airtel: Partnership With Google And AdaniConnex For AI Hub in Visakhapatnam, $15 Billion investment. | π€ Partnership / JV | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ BONDADA ENGINEERING (1 items) | |||||
| 23 | BONDADA ENGINEERING: Q4 Net Profit 592M VS 531M. Q4 Revenue 9.1B VS 7.1B. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ CASTROL INDIA (2 items) | |||||
| 24 | Castrol India: CFO reports challenges from currency and raw material costs. CASTROL INDIA: Q4 Revenue 15.5B VS 14.2B. SUN PHARMA: βΉ73.54 Cr block trade. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 25 | CASTROL INDIA: Q4 Net Profit 2.42B VS 2.33B. Q4 EBITDA 3.3B VS 3.07B, Margin 21.31% vs 21.61%. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ CHENNAI PETROLEUM (2 items) | |||||
| 26 | Chennai Petroleum: Capex βΉ2,000 Cr over 2-3 years. Sterling and Wilson: Geopolitical issues slowing orders. | π Order / Contract | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 27 | Mahindra Finance: Macquarie Underperform TP βΉ280. Chennai Petroleum: recognizes crude volatility challenges. | π Corporate News | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ GIFT NIFTY (1 items) | |||||
| 28 | GIFT NIFTY PROVISIONALLY ENDS UP 0.75% OR 180 POINTS AT 24134. DOW JONES CLOSES DOWN 54.98 POINTS, OR 0.11%, AT 49,255.34. S&P 500 CLOSES UP 56.52 POINTS, OR 0.80%, TO 7,164.92. | π Market / Macro | NoAction |
βοΈ π GIFT Nifty +0.75%, Dow flat – mixed global cues.
|
|
| π’ HIMADRI SPECIALITY (2 items) | |||||
| 29 | Himadri Speciality: Confident about sustaining EBITDA margins above 20%, anticipating improvements. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 30 | Himadri Speciality: Birla Tyres targets βΉ3,000 Cr revenue in 4 years from βΉ187 Cr. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ IDFC FIRST BANK (3 items) | |||||
| 31 | IDFC First Bank: UBS Sell TP βΉ70. Reliance Industries: CLSA Outperform. | π¦ Brokerage Call | SELL |
βοΈ π’οΈ Multiple broker views – O2C weak but Jio strong.
|
|
| 32 | IDFC First Bank: Nomura Buy TP βΉ85. IDFC First Bank: UBS Sell. | π Corporate News | SELL |
βοΈ π¦ Mixed views – fraud overhang but Buy calls.
|
|
| 33 | IDFC First Bank: Jefferies Buy TP βΉ82. | π Corporate News | NoAction |
βοΈ π¦ Mixed views – fraud overhang but Buy calls.
|
|
| π’ IFCI (2 items) | |||||
| 34 | IFCI: Q4 Net Profit 340M VS 2.6B (YOY). | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 35 | Adani Group Partners With Google To Build AI Data Centre Campus. IFCI: Impairment Expense 835M vs Gain 3.4B. LEELA PALACES: Q4 EBITDA 2.73B VS 2.64B, Margin 56.44%. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ IZMO (1 items) | |||||
| 36 | IZMO: Packaging partner for National Silicon Photonics Mission. Positional call: NYKAA buy. | π― Positional Call | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ JINDAL SAW (1 items) | |||||
| 37 | JINDAL SAW: Q4 EBITDA 4.78B VS 7.4B, Margin 10.27% vs 14.62%. | π Results | NoAction |
βοΈ π Profit declines 52% – margin compression.
|
|
| π’ JSW STEEL (2 items) | |||||
| 38 | JSW Steel: Goldman Sachs Buy TP βΉ1,490 initiation. India-NZ FTA talks. | π Corporate News | NoAction |
βοΈ π Goldman initiation – structural demand shift.
|
|
| 39 | Shyam Metals: Goldman Sachs Buy TP βΉ1,065. JSW Steel: Goldman Sachs Buy. | π Corporate News | NoAction |
βοΈ π Goldman initiation – structural demand shift.
|
|
| π’ KIRLOSKAR PNEUMATIC (3 items) | |||||
| 40 | Kirloskar Pneumatic: Confident In Aiming For Over 20% Growth This Financial Year. SBI Life: Reports Improved Premium Growth Rate in April, Says CEO Amit Jhingran. | π Corporate News | NoAction |
βοΈ π§ Dividend βΉ8.5 + profit +74% – engineering.
|
|
| 41 | KIRLOSKAR PNEUMATIC: Dividend βΉ8.50. Q4 EBITDA 1.86B VS 1.1B, Margin 26.34% vs 18.87%. Q4 Net Profit 1.4B VS 806M. | π Results | POSITIVE |
βοΈ π§ Dividend βΉ8.5 + profit +74% – engineering.
|
|
| 42 | KIRLOSKAR PNEUMATIC: Q4 Revenue 7.1B VS 5.82B. | π Results | NoAction |
βοΈ π§ Dividend βΉ8.5 + profit +74% – engineering.
|
|
| π’ LODHA (5 items) | |||||
| 43 | Lodha: Jefferies on Lodha Buy with Target Price βΉ1,215 as FY27 pre-sales guidance beat with strong pipeline, path to net-debt-free despite land acquisitions, and catalysts like data center (1GW...) | π¦ Brokerage Call | BUY |
βοΈ π Buy TP βΉ1215 – pre-sales beat, data center catalyst.
|
|
| 44 | NMDC: Goldman Sachs Sell TP βΉ84. Lodha Developers: Jefferies Buy TP βΉ1,215. | π Corporate News | SELL |
βοΈ π Buy TP βΉ1215 – pre-sales beat, data center catalyst.
|
|
| 45 | Lodha Developers: Nomura Buy TP βΉ1,450. Adani Green: βΉ1,200-1,500 Cr EBITDA hit due to transmission issues. | π Results | NoAction |
βοΈ βοΈ Transmission hit βΉ1,200-1,500 Cr – execution risk.
|
|
| 46 | Shriram Finance: HSBC Buy TP βΉ1,200. Lodha Developers: Nomura Buy. | π Corporate News | NoAction |
βοΈ π¦ Multiple Buys – 15-18% loan growth guidance.
|
|
| 47 | Lodha Developers: Jefferies Buy TP βΉ1,215. Adani Green: Committed to 50 GW by 2030. | π Corporate News | NoAction |
βοΈ π Buy TP βΉ1215 – pre-sales beat, data center catalyst.
|
|
| π’ MAHINDRA HOLIDAY (2 items) | |||||
| 48 | MAHINDRA HOLIDAY: Q4 Net Profit 416M VS 731M (YOY). | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 49 | MAHINDRA HOLIDAYS: Q4 EBITDA 1.97B VS 2.04B, Margin 24.04% vs 26.24%. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ NIPPON LIFE (2 items) | |||||
| 50 | Nippon Life India AMC: HSBC Hold TP βΉ890 (raised) as Q4 beat. | π Results | HOLD |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 51 | NIPPON LIFE INDIA AMC: Q4 Net Profit 3.85B VS 2.98B, Revenue 7.4B VS 5.7B. TAMILNAD MERCANTILE BANK: FY27 loan growth ~20% guidance. | π Results | POSITIVE |
βοΈ π¦ Dividend βΉ12.5 + 20% loan growth guidance.
|
|
| π’ PARAS DEFENCE (1 items) | |||||
| 52 | Paras Defence: Forms Agreement With Complus Systems And JV Micronics To Develop Anechoic Chambers. Rallis: Management says first to raise prices due to higher costs. | π€ Partnership / JV | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ PIRAMAL FINANCE (4 items) | |||||
| 53 | Piramal Finance: Jefferies Hold TP βΉ1,940 as Q4 sharp adj loss. UltraTech Cement: Motilal Oswal Buy TP βΉ13,800. | π Results | HOLD |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| 54 | SBI Cards: JPMorgan Underweight TP βΉ625. Piramal Finance: Nomura Buy TP βΉ2,150. | π¦ Brokerage Call | SELL |
βοΈ π³ Mixed calls – asset quality improving but growth muted.
|
|
| 55 | SBI Cards: UBS Neutral TP βΉ780. Piramal Finance: Nomura Buy. | π Corporate News | HOLD |
βοΈ π³ Mixed calls – asset quality improving but growth muted.
|
|
| 56 | PIRAMAL FINANCE: Q4 Loss Before Tax 8.2B VS Profit 1.16B (exceptional item βΉ13.3B). BAJAJ HOUSING: GNPA 0.27% steady. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ POWER MECH PROJECTS (1 items) | |||||
| 57 | Power Mech Projects: Wins βΉ227.95 Cr order for Vande Bharat sleeper trains. | π Order / Contract | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ QUESS CORP (1 items) | |||||
| 58 | Quess Corp: Receives βΉ155.11 Cr refund. MAHINDRA HOLIDAY: Q4 Revenue 8.2B VS 7.8B. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ RALLIS (1 items) | |||||
| 59 | FII Sell βΉ1,151.48 Cr, DII Buy βΉ4,124 Cr. RALLIS INDIA: Dividend βΉ3 per share. Q4 Revenue 4.56B VS 4.3B. | π Results | SELL |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ SAPPHIRE FOODS (1 items) | |||||
| 60 | SAPPHIRE FOODS: Q4 Net Loss 126M VS Profit 20M (YOY). | π Results | CAUTION |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ SBI CARDS (3 items) | |||||
| 61 | Coal India: Morgan Stanley Equal-weight TP βΉ410. SBI Cards: UBS Neutral. | π Corporate News | HOLD |
βοΈ βοΈ Mixed views – EBITDA beat but inventory high.
|
|
| 62 | SBI Cards: Jefferies Hold TP βΉ700. Coal India: HSBC Hold. | π Corporate News | HOLD |
βοΈ βοΈ Mixed views – EBITDA beat but inventory high.
|
|
| 63 | SBI Cards: Aims To Gain 900,000 - 1 Million New Users In Q1. | π Corporate News | NoAction |
βοΈ π³ Mixed calls – asset quality improving but growth muted.
|
|
| π’ SHRIRAM FINANCE (4 items) | |||||
| 64 | Shriram Finance: Nomura Buy TP βΉ1,200. Shriram Finance: HSBC Buy. | π Corporate News | NoAction |
βοΈ π¦ Multiple Buys – 15-18% loan growth guidance.
|
|
| 65 | Shriram Finance: CLSA Outperform TP βΉ1,150. | π¦ Brokerage Call | NoAction |
βοΈ π¦ Multiple Buys – 15-18% loan growth guidance.
|
|
| 66 | Shriram Finance: Kotak Add TP βΉ1,100. Volatility alert: SUNPHARMA, TORNTPOWER. | π¦ Brokerage Call | NoAction |
βοΈ π¦ Multiple Buys – 15-18% loan growth guidance.
|
|
| 67 | IndusInd Bank: Jefferies Buy TP βΉ1,100. Shriram Finance: Kotak Add. | π¦ Brokerage Call | BUY |
βοΈ π¦ Turnaround signs – broker upgrades.
|
|
| π’ SUPREME INDUSTRIES (4 items) | |||||
| 68 | SUPREME INDUSTRIES: Final Dividend βΉ25. FY26 plastic pipes volume growth 11.8% vs guidance 15-17%. | π° Dividend | POSITIVE |
βοΈ π° Dividend βΉ25 + profit +46% – plastic pipes.
|
|
| 69 | SUPREME INDUSTRIES: Q4 Net Profit 4.3B VS 2.94B. Sterling Tools: Teams up with Nanjing Haohang. | π Results | POSITIVE |
βοΈ π° Dividend βΉ25 + profit +46% – plastic pipes.
|
|
| 70 | SUPREME INDUSTRIES: Q4 Revenue 35.3B VS 30.08B. | π Results | NoAction |
βοΈ π° Dividend βΉ25 + profit +46% – plastic pipes.
|
|
| 71 | SUPREME INDUSTRIES: Q4 EBITDA 6.2B VS 4.15B, Margin 17.66% vs 13.73%. | π Results | NoAction |
βοΈ π° Dividend βΉ25 + profit +46% – plastic pipes.
|
|
| π’ TAMILNAD MERCANTILE BANK (2 items) | |||||
| 72 | TAMILNAD MERCANTILE BANK: Q4 Net Profit 3.7B VS 2.92B. MRPL: Plans JV with ONGC and OPAL. | π Results | POSITIVE |
βοΈ π¦ Dividend βΉ12.5 + 20% loan growth guidance.
|
|
| 73 | TAMILNAD MERCANTILE BANK: Dividend βΉ12.5 per share. Q4 Interest Earned 15.5B VS 13.42B. Oil India: Hydrocarbon discovery in Libya. | π Results | POSITIVE |
βοΈ π¦ Dividend βΉ12.5 + 20% loan growth guidance.
|
|
| π’ TATA MOTORS (1 items) | |||||
| 74 | TATA MOTORS: NHTSA engineering analysis on 331,559 JLR vehicles. Adani Total Gas: FY27 EBITDA βΉ15B guidance. Magellanic Cloud: Investment partnership with Rayonix Tech worth βΉ1.50B. | π Results | NoAction |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ TATA STEEL (1 items) | |||||
| 75 | Tata Steel: Goldman Sachs Neutral TP βΉ210. Positional call: ROUTE MOBILE book profit. | π― Positional Call | HOLD |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ ULTRATECH CEMENT (7 items) | |||||
| 76 | UltraTech Cement: Goldman Sachs Buy TP βΉ13,230 (cut) as strong Q4 with 9% volume growth. | π Results | NoAction |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| 77 | Coal India: HSBC Hold TP βΉ440. UltraTech Cement: Jefferies Buy TP βΉ14,050. | π Corporate News | HOLD |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| 78 | UltraTech Cement: CLSA Outperform TP βΉ14,000. Coal India: Motilal Oswal Buy. | π¦ Brokerage Call | BUY |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| 79 | Jindal Steel: HSBC Hold TP βΉ1,280. UltraTech Cement: CLSA Outperform. | π¦ Brokerage Call | HOLD |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| 80 | ULTRATECH CEMENT: Q4 Net Profit 30B VS 25B; Est 27.5B. Q4 EBITDA 56B VS 46.2B; Margin 21.71% vs 20.02%. | π Results | POSITIVE |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| 81 | ULTRATECH CEMENT: Final Dividend βΉ240 per share. Q4 Revenue 255B VS 231B. | π Results | POSITIVE |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| 82 | SBI CARDS: Q4 Net Profit 6.1B VS 5.34B; Est 6.1B. Ultratech Cement: capacity exceeding 200 MTPA. | π Results | POSITIVE |
βοΈ ποΈ Dividend βΉ240 + profit beat – cement leader.
|
|
| π’ VARDHMAN SPECIAL (2 items) | |||||
| 83 | VARDHMAN SPECIAL: Q4 Net Profit 340M VS 197M (YOY). HDB Financial Services: Allots βΉ3,250 Cr debentures. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| 84 | VARDHMAN SPECIAL: Q4 Revenue 4.58B VS 4.28B. VARDHMAN SPECIAL STEELS: Dividend 3.50 Rupees per share. Q4 EBITDA 461M VS 314M, Margin 10% vs 7.34%. | π Results | POSITIVE |
βοΈ π Monitor quarterly trend / management commentary.
|
|
| π’ VARUN BEVERAGES (1 items) | |||||
| 85 | VARUN BEVERAGES: Q4 EBITDA 15.3B VS 12.6B, Margin 22.75% vs 22.25%. Q4 Net Profit 8.7B VS 7.3B. NAVIN FLUORINE: βΉ51.34 Cr block trade. | π Results | POSITIVE |
βοΈ π₯€ Q4 profit +19% – beverage momentum.
|
|
Jay stock news 24 April 2026
| # | π
Date / Time (stacked) |
π Cleaned Text (headline) | π·οΈ Category | β‘ Action | βοΈ Your Analysis |
|---|---|---|---|---|---|
| π β οΈ Volatility Alert (1 items) | |||||
| 1 | Due to abnormal volatility in KPITTECH, PERSISTENT & TECHM NSE may increase margin. Bajaj Finance: Board Meet April 29 To Review Fundraising. Derivatives Strategy close. | β οΈ Volatility Alert | NoAction |
βοΈ β οΈ Volatility alert – margin risk for these stocks.
|
|
| π π Macro / Regulatory (5 items) | |||||
| 2 | Larsen & Toubro: Forms Wholly Owned Vyoma.Ai Limited To Support AI And Digital Transformation. Aditya Birla Real Estate: Birla Estates FY26 Booking Value βΉ8,136 Cr, Collections +23.5% YoY. NSE Index Ends Down 0.84% Or -205.05 Points At 24,173.05 | π Macro / Regulatory | NoAction |
βοΈ π βΉ8,136 Cr bookings – strong real estate momentum.
|
|
| 3 | Pfizer: Income-Tax Dept Issues βΉ85.74 Cr Demand Order, Co Sees Strong Defence. India 5-Year Bond Yield Jumps 6bps to 6.72%. German IFO Business Climate 84.4 vs 86.4. | π Macro / Regulatory | BUY |
βοΈ π Monitor further developments / quarterly trend.
|
|
| 4 | SEBI Proposes Higher Net Worth Rules For Stock Brokers Based On Active Clients. Brent Crude Oil Falls 1.4% as Iran Foreign Minister to visit Islamabad. | π Macro / Regulatory | NoAction |
βοΈ π Monitor further developments / quarterly trend.
|
|
| 5 | NSE Index Ends Down 1.14% Or -275.10 Points At 23,897.95. Supreme Power Equipment: Secures Orders Worth βΉ128 Cr. Cyient: Eyeing mid-to-high single-digit FY27 growth. | π Macro / Regulatory | BUY |
βοΈ β‘ βΉ128 Cr orders – power equipment play.
|
|
| 6 | NSE INDEX OPENS DOWN 0.30% IN PRE OPEN TRADE. India & South Korea Plan To Finish FTA Renegotiations By Mid-2027. Union Bank: Expects 13%-14% Credit Growth In FY27. | π Macro / Regulatory | NoAction |
βοΈ π Monitor further developments / quarterly trend.
|
|
| π π Order / Contract (1 items) | |||||
| 7 | SHRIRAM FINANCE: Approves Resource Mobilisation Plan. Steel Authority of India: Secures court order halting antitrust probe. | π Order / Contract | BUY |
βοΈ π¦ Asset quality stable, approves debt plan.
|
|
| π π Leadership Change (2 items) | |||||
| 8 | Epack Durable: Executive Director And Group CFO Narayan Lodha Resigns Effective April 30, 2026. Valiant Laboratories: QC Manager BhanuDas D. Patil Resigns For Personal Reasons. | π Leadership Change | NoAction |
βοΈ β οΈ CFO resignation – monitor for succession.
|
|
| 9 | Alkem Laboratories: CEO Dr. Vikas Gupta Resigns, will stay until June 30. | π Leadership Change | NoAction |
βοΈ π CEO resigns – leadership transition risk.
|
|
| π π Bulk / Block Deal (3 items) | |||||
| 10 | NSE Index Ends Down 0.84% At 24,173.05. EMCURE PHARMACEUTICALS: RS. 98.33 CRORES NSE BLOCK TRADE. Balrampur Chini Mills: Approves Share Sale Of 93,16,771 Shares At βΉ483 Each, Raising βΉ450 Cr. | π Bulk / Block Deal | NoAction |
βοΈ π βΉ98 Cr block trade – institutional interest.
|
|
| 11 | EMCURE PHARMACEUTICALS: βΉ98.33 Cr Block Trade. Balrampur Chini Mills: Share sale βΉ450 Cr. | π Bulk / Block Deal | NoAction |
βοΈ π βΉ98 Cr block trade – institutional interest.
|
|
| 12 | SBI LIFE INSURANCE: βΉ197.87 Cr Block Trade. Apollo Hospitals: βΉ32.42 Cr Block Trade. Aditya Birla Sun Life AMC: βΉ32.31 Cr Block Trade. | π Bulk / Block Deal | NoAction |
βοΈ π Monitor further developments / quarterly trend.
|
|
| π π Results / Dividend (21 items) | |||||
| 13 | HIMADRI SPECIAL CHEMICAL: Q4 EBITDA vs 2.34B (YOY) || EBITDA MARGIN 19.40% VS 20.77% (YOY). Larsen & Toubro: Sets Up Vyoma.ai Unit. HIMADRI: Q4 NET PROFIT 1.85B VS 1.58B (YOY) || REVENUE 11B. | π Results / Dividend | BUY (earnings beat) |
βοΈ π§ͺ Q4 profit +17% but margin contraction – specialty chemical.
|
|
| 14 | Infosys: Guides FY27 Revenue Growth at 1.5% to 3.5% In Constant Currency. Sangam India: Confident Of FY29 Targets With 13%+ Margins And ~βΉ4,500 Cr Top-Line. | π Results / Dividend | NoAction |
βοΈ π» FY27 guidance 1.5-3.5% – muted but stable.
|
|
| 15 | CHENNAI PETROLEUM CORP: Q4 REVENUE 204.55B VS 194B (QOQ). Q4 EBITDA 20.4B VS 14.8B (QOQ) || MARGIN 9.95% VS 7.6%. | π Results / Dividend | NoAction |
βοΈ π’οΈ Q4 EBITDA +38% QoQ – refining margin recovery.
|
|
| 16 | CHENNAI PETROLEUM: Q4 EBITDA 20.4B. Mahindra & Mahindra: Executes New Deal With Manulife. Ashoka Buildcon: Wins Bid Worth $72M (βΉ6.8B). | π Results / Dividend | BUY |
βοΈ π’οΈ Q4 EBITDA +38% QoQ – refining margin recovery.
|
|
| 17 | ATUL: Q4 EBITDA 2.8B VS 2.22B (YOY) || MARGIN 16.8% VS 15.29%. Adani Green: Plans 30 GW Renewable Energy At Khavda By 2029. Hindustan Zinc: Q4 Net Profit 50B VS 29.8B (YOY); EST 46.5B. | π Results / Dividend | BUY (earnings beat) |
βοΈ π§ͺ Q4 profit +65% – chemical turnaround.
|
|
| 18 | Adani Green: 30 GW Khavda by 2029. HINDUSTAN ZINC: Q4 Net Profit 50B vs 29.8B. | π Results / Dividend | BUY (earnings beat) |
βοΈ βοΈ 30 GW target by 2029 – huge renewable pipeline.
|
|
| 19 | ADANI GREEN: Q4 EBITDA 28.8B VS 23.9B (YOY) || MARGIN 82.3% VS 77.87%. ATUL: Q4 Net Profit 2.1B VS 1.27B (YOY). ATUL: Q4 Revenue 17B VS 15B. | π Results / Dividend | BUY (earnings beat) |
βοΈ π§ͺ Q4 profit +65% – chemical turnaround.
|
|
| 20 | ATUL: Q4 Net Profit 2.1B. ATUL: Revenue 17B. Britannia Industries: βΉ17.57 Cr Block Trade. | π Results / Dividend | NoAction |
βοΈ π§ͺ Q4 profit +65% – chemical turnaround.
|
|
| 21 | HINDUSTAN ZINC: Q4 EBITDA 76.7B VS 48.2B (YOY); EST 71.2B || MARGIN 56.84% VS 53.04%. ADANI GREEN: Q4 Net Profit 5.14B VS 3.8B (YOY). | π Results / Dividend | BUY (earnings beat) |
βοΈ βοΈ 30 GW target by 2029 – huge renewable pipeline.
|
|
| 22 | ADANI GREEN: Q4 Net Profit 5.14B. Iran's Foreign Minister Holds Calls With Pakistan. | π Results / Dividend | HOLD |
βοΈ βοΈ 30 GW target by 2029 – huge renewable pipeline.
|
|
| 23 | Hindustan Zinc: Plans FY27 Growth Capex $500-600 Mn. RAGHAV PRODUCTIVITY: Q4 EBITDA 212M VS 144M (YOY) || Revenue 706M VS 507M. | π Results / Dividend | NoAction |
βοΈ π° Dividend βΉ11 + profit beat – mining major.
|
|
| 24 | HINDUSTAN ZINC: Dividend 11 Rupees Per Share. Q4 Revenue 135B VS 90.4B (YOY); EST 120B. | π Results / Dividend | BUY |
βοΈ π° Dividend βΉ11 + profit beat – mining major.
|
|
| 25 | FII Net Sell βΉ8,827.87 Cr || DII Net Buy βΉ4,700.71 Cr. JAYASWAL NECO: Q4 Net Profit 1.9B VS 1B (YOY) || Revenue 19.7B VS 16.75B. | π Results / Dividend | BUY |
βοΈ π Q4 profit +90% – steel casting recovery.
|
|
| 26 | JAYASWAL NECO: Q4 EBITDA 3.75B VS 3.42B (YOY) || Margin 19.03% VS 20.39%. | π Results / Dividend | NoAction |
βοΈ π Q4 profit +90% – steel casting recovery.
|
|
| 27 | Mahindra & Mahindra Financial Services: Dividend βΉ7.50 Per Share. Q4 Net Profit 8.73B VS 5.63B (YOY) || Revenue 48.1B VS 42.4B. | π Results / Dividend | BUY |
βοΈ π¦ Dividend βΉ7.50 + profit +55% – NBFC strong.
|
|
| 28 | MAHINDRA FINANCIAL: Q4 Net Profit 8.73B. SEBI Creates Net Settlement Framework For FPIs Cash Market Trades. | π Results / Dividend | NoAction |
βοΈ π¦ Dividend βΉ7.50 + profit +55% – NBFC strong.
|
|
| 29 | SEBI Will Allow Net Settlement For FPIs. INDUSIND BANK: Q4 GNPA 3.43% VS 3.56% (QoQ) || NNPA 1% VS 1.04%. Q4 Net Profit 5.3B VS Loss 22.3B (YOY). | π Results / Dividend | NEUTRAL (asset quality stable) |
βοΈ π¦ Turns profitable vs loss – asset quality improving.
|
|
| 30 | INDUSIND BANK: Q4 Net Profit 5.3B. SEBI: STT & Stamp Duty Continue On Delivery Basis, Rules by Dec 31. | π Results / Dividend | NoAction |
βοΈ π¦ Turns profitable vs loss – asset quality improving.
|
|
| 31 | DCB BANK: Q4 GNPA 2.45% VS 2.72% (QoQ) || NNPA 0.89% VS 1.10%. Q4 Net Profit 2.05B VS 1.77B (YOY). | π Results / Dividend | BUY (earnings beat) |
βοΈ π¦ GNPA down, profit +16% – small bank turnaround.
|
|
| 32 | Supreme Power Equipment: βΉ128 Cr Orders. WENDT: Q4 Net Profit 51M VS 128.9M (YOY) || Revenue 668M VS 756M. | π Results / Dividend | BUY |
βοΈ β‘ βΉ128 Cr orders – power equipment play.
|
|
| 33 | ZENSAR TECH: Q4 Net Profit 2.1B VS 1.99B (QoQ). SHRIRAM FINANCE: Gross NPA 4.58% VS 4.54% (QoQ) || Net NPA 2.33% VS 2.38%. | π Results / Dividend | BUY (earnings beat) |
βοΈ π» IT sequential profit growth – midcap IT.
|
|
| π π Stock News (1 items) | |||||
| 34 | Hindustan Organic Chemicals: Resumes Kochi Unit Operations. KPI Green Energy: Adds Wholly Owned Unit In GIFT City. | π Stock News | NoAction |
βοΈ π Monitor further developments / quarterly trend.
|
|
| π π€ JV / Expansion (1 items) | |||||
| 35 | Wipro: Partners With Kongsberg Digital For AI Digital Twin Tech. Chennai Petroleum: Reviewing Secondary Refinery Upgrades. | π€ JV / Expansion | NoAction |
βοΈ π’οΈ Q4 EBITDA +38% QoQ – refining margin recovery.
|
|
| # | π
Date / Time (stacked) |
π Cleaned Text (headline) | π·οΈ Category | β‘ Action | βοΈ Your Analysis |
|---|---|---|---|---|---|
| π βοΈ Legal / Court (1 items) | |||||
| 1 | SHRIRAM FINANCE: CO APPROVES RESOURCE MOBILISATION PLAN FOR FY2026-27 INCLUDING DEBT ISSUANCE. Steel Authority of India: secures court order halting antitrust probe into steel sector. SHRIRAM FINANCE: CO RECOMMENDED DIVIDEND 6 RUPEES PER SHARE | βοΈ Legal / Court | NoAction |
βοΈ π° βΉ6 dividend + AUM βΉ3T (+14.9% YoY) – NBFC strength.
|
|
| π π° Dividend Announcement (2 items) | |||||
| 2 | Tamil Nadu Newsprint Recommends Final Dividend Of Rs 4 Per Share. Mastek: Signs MOU To Sell Commercial Building For βΉ60 Crore. Lodha Developers: Announces 4.25 Rupees Dividend Per Share | π° Dividend Announcement | BUY |
βοΈ π Q4 profit +9% – real estate steady growth.
|
|
| 3 | Lodha Developers: Announces 4.25 Rupees Dividend Per Share. Reliance Industries: Company Says Gas From KG-D6 Basin Now Powers Priority Energy Needs | π° Dividend Announcement | BUY |
βοΈ π Q4 profit +9% – real estate steady growth.
|
|
| π π Bulk Deal / Acquisition (1 items) | |||||
| 4 | RBI Cancels Paytm Payments Bank's License Over Missed License Conditions. Sunteck Realty: Acquires 100% Stake In Tanirika Infrastructure | π Bulk Deal / Acquisition | SELL / AVOID |
βοΈ β οΈ RBI cancels license – major negative for Paytm ecosystem.
|
|
| π π Results / Earnings (25 items) | |||||
| 5 | SHRIRAM FINANCE: CO RECOMMENDED DIVIDEND 6 RUPEES PER SHARE. ZENSAR TECHNOLOGIES: PROPOSES FINAL DIVIDEND OF 12.60 RUPEES PER SHARE. Shriram Finance: Q4 Total AUM Reaches βΉ3 Trillion, Up 14.85% YoY And 3.62% QoQ. ZENSAR TECH: Q4 REVENUE 14.5B VS 14.3B (QOQ) | π Results / Earnings | NoAction |
βοΈ π° βΉ6 dividend + AUM βΉ3T (+14.9% YoY) – NBFC strength.
|
|
| 6 | ZENSAR TECHNOLOGIES: PROPOSES FINAL DIVIDEND OF 12.60 RUPEES PER SHARE. Shriram Finance: Q4 Total AUM βΉ3 Trillion +14.85% YoY. ZENSAR TECH: Q4 REVENUE 14.5B VS 14.3B (QOQ). EBIT MARGIN 14.7% VS 16.05% (QOQ) | π Results / Earnings | NoAction |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 7 | Shriram Finance: Q4 Total AUM βΉ3 Trillion +14.85% YoY. ZENSAR TECH: Q4 REVENUE 14.5B VS 14.3B (QOQ). ZENSAR TECH: Q4 EBIT 2.1B VS 2.3B (QOQ) || EBIT MARGIN 14.7% VS 16.05% (QOQ) | π Results / Earnings | NoAction |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 8 | ZENSAR TECH: Q4 REVENUE 14.5B VS 14.3B (QOQ). ZENSAR TECH: Q4 EBIT 2.1B VS 2.3B || MARGIN 14.7% VS 16.05%. SHRIRAM FINANCE: Q4 NET PROFIT 30B VS 21.4B (YOY); EST 27B | π Results / Earnings | BUY (earnings beat) |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 9 | ZENSAR TECH: Q4 EBIT 2.1B VS 2.3B || MARGIN 14.7% VS 16.05%. SHRIRAM FINANCE: Q4 NET PROFIT 30B VS 21.4B (YOY); EST 27B | π Results / Earnings | BUY (earnings beat) |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 10 | SHRIRAM FINANCE: Q4 NET PROFIT 30B VS 21.4B (YOY); EST 27B | π Results / Earnings | BUY (earnings beat) |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 11 | LODHA DEVELOPERS: Q4 EBITDA 14.12B VS 12.21B (YOY) || MARGIN 29.97% VS 28.9%. LODHA DEVELOPERS: Q4 NET PROFIT 10.08B VS 9.22B (YOY) || REVENUE 47.13B VS 42.24B (YOY) | π Results / Earnings | BUY (earnings beat) |
βοΈ π Q4 profit +9% – real estate steady growth.
|
|
| 12 | LODHA DEVELOPERS: Q4 NET PROFIT 10.08B VS 9.22B (YOY) || REVENUE 47.13B VS 42.24B. Kothari Industrial Corp: Signs MOU With Tvasta Manufacturing Solutions To Explore 3D Construction Printing | π Results / Earnings | BUY (earnings beat) |
βοΈ π Q4 profit +9% – real estate steady growth.
|
|
| 13 | Supreme Petrochem: Board Recommends Final Dividend Of 8 Per Share. US Oil Prices Drop To Intraday Lows Around $93 Per Barrel. SUPREME PETROCHEM: Q4 EBITDA 2.5B VS 1.45B (YOY) || MARGIN 15.96% VS 9.43%. Q4 NET PROFIT 1.67B VS 1.07B (YOY) || REVENUE 15.87B VS 15.4B | π Results / Earnings | BUY (earnings beat) |
βοΈ π§ͺ Dividend βΉ8 + profit +56% – chemical turnaround.
|
|
| 14 | SUPREME PETROCHEM: Q4 EBITDA 2.5B VS 1.45B || MARGIN 15.96% VS 9.43%. Q4 NET PROFIT 1.67B VS 1.07B || REVENUE 15.87B VS 15.4B. Iran's Foreign Minister to convey Iran's considerations in ending war. | π Results / Earnings | BUY (earnings beat) |
βοΈ π§ͺ Dividend βΉ8 + profit +56% – chemical turnaround.
|
|
| 15 | SUPREME PETROCHEM: Q4 NET PROFIT 1.67B VS 1.07B. Iran's Foreign Minister Araghchi to convey considerations. Nasdaq 100 Extends Rise To 1.5% | π Results / Earnings | BUY (earnings beat) |
βοΈ π§ͺ Dividend βΉ8 + profit +56% – chemical turnaround.
|
|
| 16 | CAN FIN HOMES: Q4 NET PROFIT 3.45B VS 2.34B (YOY) || REVENUE 10.7B VS 9.82B. Can Fin Homes: Recommends Final Dividend Of Rs 8 Per Share. CAN FIN HOMES: Q4 GNPA 0.85% VS 0.92% (QOQ) || NNPA 0.37% VS 0.49% (QOQ) | π Results / Earnings | BUY (earnings beat) |
βοΈ π¦ Dividend βΉ8 + GNPA improves – HFC quality play.
|
|
| 17 | Can Fin Homes: Recommends Final Dividend Of Rs 8 Per Share. CAN FIN HOMES: Q4 GNPA 0.85% VS 0.92% || NNPA 0.37% VS 0.49% | π Results / Earnings | BUY |
βοΈ π¦ Dividend βΉ8 + GNPA improves – HFC quality play.
|
|
| 18 | TANLA PLATFORMS: Q4 NET PROFIT 1.34B VS 1.17B (YOY) || REVENUE 11.77B VS 10.2B. BHANSALI ENGINEERING POLYMERS: Q4 NET PROFIT 516.7M VS 392M (YOY) || REVENUE 3.41B. TAMIL NADU NEWSPRINT: Q4 EBITDA 1.4B VS 1B (YOY) || MARGIN 11.06% VS 7.7% | π Results / Earnings | BUY (earnings beat) |
βοΈ π± Q4 profit +15% – CPaaS growth steady.
|
|
| 19 | TAMIL NADU NEWSPRINT: Q4 EBITDA 1.4B VS 1B || MARGIN 11.06% VS 7.7%. TANLA PLATFORMS: Q4 EBITDA 1.91B VS 1.63B (YOY) || MARGIN 16.29% VS 15.96%. TAMIL NADU NEWSPRINT: Q4 NET PROFIT 2.4B VS 221M (YOY) || REVENUE 12.71B VS 13.4B | π Results / Earnings | BUY (earnings beat) |
βοΈ π± Q4 profit +15% – CPaaS growth steady.
|
|
| 20 | TANLA PLATFORMS: Q4 EBITDA 1.91B VS 1.63B || MARGIN 16.29% VS 15.96%. Tamil Nadu Newsprint Recommends Final Dividend Of Rs 4 Per Share | π Results / Earnings | BUY |
βοΈ π± Q4 profit +15% – CPaaS growth steady.
|
|
| 21 | TAMIL NADU NEWSPRINT: Q4 NET PROFIT 2.4B VS 221M (YOY) || REVENUE 12.71B VS 13.4B. Tamil Nadu Newsprint Recommends Final Dividend Of Rs 4 Per Share. Mastek: Signs MOU To Sell Commercial Building For βΉ60 Crore | π Results / Earnings | BUY (earnings beat) |
βοΈ π Dividend βΉ4 + profit skyrockets – paper sector revival.
|
|
| 22 | Reliance Industries: Jio Q4 ARPU At βΉ214 Per Subscriber, Jio Platforms Q4 Consolidated Profit βΉ79.35B, Revenue βΉ382.59B. MRPL: Q4 NET PROFIT 1.19B VS 14.5B (QOQ) || REVENUE 284.9B VS 297.2B (QOQ) | π Results / Earnings | BUY (earnings beat) |
βοΈ π± ARPU βΉ214, profit βΉ79B – digital strength.
|
|
| 23 | MRPL: Q4 NET PROFIT 1.19B VS 14.5B (QOQ) || REVENUE 284.9B VS 297.2B. Spot Gold Jumps Nearly 1% To $4,740.05 Per Ounce. MRPL EBITDA MARGIN 6.25% VS 9.4% (QOQ) | π Results / Earnings | BUY (earnings beat) |
βοΈ π’οΈ Sharp QoQ profit drop – refining margin pressure.
|
|
| 24 | MRPL: Q4 EBITDA 17.81B VS 27.84B (QOQ) || MARGIN 6.25% VS 9.4%. Reliance Jio Infocomm: Q4 Net Profit βΉ73.17B, Revenue βΉ333.81B | π Results / Earnings | BUY (earnings beat) |
βοΈ π’οΈ Sharp QoQ profit drop – refining margin pressure.
|
|
| 25 | Reliance Jio Infocomm: Q4 Net Profit βΉ73.17B, Revenue βΉ333.81B. Reliance Industries: Announces βΉ6 Dividend Per Share | π Results / Earnings | BUY |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 26 | Reliance Industries: Announces βΉ6 Dividend Per Share. RELIANCE INDUSTRIES: Q4 EBITDA 441B VS 460B (QOQ) || MARGIN 14.78% VS 17.08% (QOQ) | π Results / Earnings | BUY |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 27 | RELIANCE INDUSTRIES: Q4 EBITDA 441B VS 460B || MARGIN 14.78% VS 17.08%. RELIANCE: Q4 NET PROFIT 169.71B VS 186.5B (QOQ) || REVENUE 2.99T VS 2.7T (QOQ) | π Results / Earnings | BUY (earnings beat) |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 28 | RELIANCE: Q4 NET PROFIT 169.71B VS 186.5B (QOQ) || REVENUE 2.99T VS 2.7T. Geceee Ventures: Buys 2,75,000 Shares Of Vedanta Through Open Market, Investing βΉ19.70 Crore | π Results / Earnings | BUY (earnings beat) |
βοΈ π Monitor quarterly trends / management commentary.
|
|
| 29 | L&T FINANCE: Q4 NET PROFIT 8.1B VS 6.4B (YOY) || REVENUE 47.71B VS 40.2B (YOY) | π Results / Earnings | BUY (earnings beat) |
βοΈ π Monitor quarterly trends / management commentary.
|
|