share important news 1 April 2026 Wednesday (Coming Holiday on Friday) Market was Up 5% But I think tomorrow down or less UP so Call Sell or PUT buy may profit tomorrow.
|
Sl |
Time |
Company |
Bharatbaba.com News |
Meaning |
Signal |
Jay's Idea |
|
1 |
~7:21 PM |
Madhya Bharat Agro Products |
Starts commercial production at Dhule Plant with 1,000 TPD capacity |
New plant live — 1,000 tonnes/day unlocked |
BUY |
Fresh capacity = revenue ramp. Track Q1 FY27 volumes closely |
|
2 |
7:30 PM |
Karur Vysya Bank |
Loan growth to ₹987.4B, deposits rise to ₹1.16T |
Strong loan + deposit growth — healthy bank fundamentals |
BUY |
KVB mid-cap bank consistently delivering. Good for long-term SIP accumulation |
|
3 |
~7:35 PM |
US Pres Trump |
Iran's new regime president has just asked USA for a ceasefire |
Geopolitical de-escalation — Iran-US tension easing signal |
HOLD |
If ceasefire holds → crude softens → positive for India. Watch oil prices |
|
4 |
~7:35 PM |
TVS Motors |
Record FY26 sales 5.9M units; Q4 dispatches 1.6M with 25% growth in March |
Best-ever annual volume — well above industry growth |
BUY |
TVS outperforming every quarter. Premium 2W play — accumulate on dips |
|
5 |
~7:41 PM |
South Indian Bank |
Gross advances ₹1.01T, deposits rise to ₹1.23T YoY |
Crossed ₹1T milestone in advances — a landmark quarter |
BUY |
SIB undervalued small bank. Milestone quarter = re-rating possible |
|
6 |
7:41 PM |
TVS Motor |
March total sales 519,358 units vs 414,687 YoY; est 530,500 |
25% YoY growth — missed estimate by ~2% only |
HOLD |
Minor miss doesn't change the bull story. Don't exit on this |
|
7 |
7:49 PM |
Bansal Wire Industries |
Q4 FY26 sales volume rose 20.16% YoY, reaching 1,17,644 MT |
Strong volume growth — 20% well above sector average |
BUY |
Wire industry riding infra boom. Bansal Wire = construction capex play |
|
8 |
7:50 PM |
Hero MotoCorp |
March total sales 598,198 units vs 549,604 YoY; est 600,100 |
Strong growth, near estimate — volume king delivering |
HOLD |
Hero steady as ever. Hold for dividend + consistent volume growth |
|
9 |
7:51 PM |
Karnataka Bank |
Gross advances ₹833.4B vs ₹779.6B; deposits ₹1.09T vs ₹1.05T |
Moderate ~7% advance growth — slower than peers |
HOLD |
Growing but not exciting. Watch NIM compression in Q4 results |
|
10 |
~7:52 PM |
Eicher Motors |
March motorcycle sales 112,334 units vs 101,021 YoY — above estimates |
Royal Enfield beat estimates — premium 2W demand strong |
BUY |
Beat + premium segment = earnings upgrade likely. Strong hold / add |
|
11 |
7:52 PM |
Saudi Oil Exports |
Drop 50% in March after Iran closes Hormuz |
Massive Gulf supply shock — oil crisis signal |
SELL |
Crude spike risk for India. Sell oil-sensitive sectors; buy ONGC/Oil India as hedge |
|
12 |
7:53 PM |
Force Motors |
March total sales 4,199 units vs 3,700 YoY |
~13.5% YoY volume growth — steady niche performer |
HOLD |
Niche utility + defence van play. Not a trader's stock — long-term hold only |
|
13 |
7:54 PM |
Kansai Nerolac Paints |
Hirokazu Kotera resigns as ED from March 31, 2026 per promoter instructions |
Promoter-directed exit — Japanese parent making changes |
NO ACTION |
Not alarming. Watch if Kansai Paint Japan increases stake — that would be positive |
|
14 |
~7:56 PM |
RailTel Corp |
Secures ₹12.85 Cr order from Mahatma Gandhi Institute of Medical Sciences for HIMS |
Small healthcare IT order — diversification beyond railways |
HOLD |
RailTel slowly building health IT vertical. Small but directionally positive |
|
15 |
7:56 PM |
Orient Electric |
Launches India's first oxygen-enriching fan "Aero O2" — up to 90% oxygen boost for homes |
First-mover innovation in health-focused consumer appliances |
BUY |
If product catches on = brand re-rating. Health-tech appliance = premium margin play |
|
16 |
8:02 PM |
Dow Jones |
Up 368.29 points (0.79%) at 46,709.80 after market open |
US market opening positive — global risk-on sentiment |
BUY |
Positive US open = strong SGX Nifty cue next morning. Consider index longs |
|
17 |
8:06 PM |
Maruti Suzuki |
March total sales 225,251 units vs 192,984 YoY; est 209,600 |
Beat estimate by ~7.5% — exceptional month for entry-level cars |
BUY |
Maruti crushing estimates. Entry + mid segment surging — strong buy on dips |
|
18 |
8:07 PM |
Karur Vysya Bank |
FY26 provisional: total business +14.92% to ₹2,14,409 Cr; advances +16.87%; deposits +13.31% |
Full-year results — all metrics growing double-digit |
BUY |
KVB delivering year-after-year. One of the best mid-cap private banks — accumulate |
|
19 |
8:07 PM |
Info Edge (India) |
Whole-Time Director Pawan Goyal resigns, effective May 31, 2026 |
Board-level exit at Naukri/Jeevansathi parent company |
HOLD |
Not alarming yet — Info Edge has strong bench. Watch for further exits |
|
20 |
8:08 PM |
Ashok Leyland |
March total sales 25,381 units vs 24,060 YoY; est 26,400 |
~5.5% YoY growth but missed estimate by ~4% |
HOLD |
CV cycle okay but estimate miss is a mild concern. Wait for April data before adding |
|
Sl |
Time |
Company |
White Box News |
Meaning |
Signal |
Jay's Idea |
|
1 |
~11:47 PM |
V2 Retail |
Posts strong FY26 results — 61% revenue growth to ₹3,060 Cr; Q4 revenue +59% to ₹798 Cr; 325 stores via Tier 2/3 expansion |
Exceptional full-year performance — aggressive Tier 2/3 footprint growth |
BUY |
V2 Retail = deep Bharat retail play. 61% revenue growth is outstanding. Strong accumulate for 2-3 yr |
|
2 |
3:35 PM |
Kirloskar Pneumatic |
Aman Kirloskar appointed MD from April 1, 2026 after Srinivasan's tenure ends; approved via postal ballot |
Promoter family takes direct MD control — leadership transition |
HOLD |
Promoter at helm = long-term alignment. Watch for any strategic pivot under new MD |
|
3 |
3:27 PM |
Tata Motors |
Passenger vehicles March total sales 66,971 units vs 51,872 YoY; est 64,800 |
~29% YoY PV growth — beat estimate by ~3.3% |
BUY |
Tata Motors PV doing well — EV + ICE both growing. Beat estimates = positive earnings momentum |
|
4 |
2:47 PM |
Eicher Motors (CV) |
March CV total sales 13,311 units vs 12,094 YoY; est 13,300 |
~10% YoY growth — exactly matched estimates |
HOLD |
CV division in line with estimates. RE (2W) is the real bull story — focus there |
|
5 |
2:47 PM |
Tata Motors (CV) |
Commercial vehicles March total sales 47,976 units vs 41,122 YoY; est 46,000 |
~16.7% YoY CV growth — beat estimate by ~4.3% |
BUY |
CV beat is a big positive — infra & logistics driving demand. JLR + CV + PV all firing |
|
6 |
8:12 PM |
NASDAQ |
Up 152.50 points (0.71%) at 21,743.13 after market open |
Tech-heavy index opening green — risk-on for global tech |
BUY |
Dow + S&P + NASDAQ all green = broad US rally. Strong cue for Indian IT stocks next day |
|
7 |
2:35 PM |
Taj GVK Hotels |
Positional call: BUY TAJGVK at ₹321.5, target ₹480, stop loss ₹280 |
Broker positional buy call — 49% upside targeted with defined risk |
CALL |
Target ₹480 from ₹321.5 = ~49% upside. SL at ₹280 = 13% risk. Good R:R. Hospitality sector recovering |
|
8 |
2:23 PM |
Solarworld Energy Solutions |
Receives award letter for 200MW Block-IX solar project from NTPC Renewable Energy in Bikaner — ₹267.53 Cr with 3-yr O&M and 19-month execution |
Significant NTPC solar EPC order — quality client, defined timeline |
BUY |
NTPC order = high-quality revenue visibility. Solar EPC with O&M contract = recurring income angle |
|
9 |
1:56 PM |
Yes Bank |
Appoints S. Anantharaman as Chief Risk Officer — comes from Jio Financial, Bank of Baroda, HDFC Bank, L&T Finance |
Experienced CRO hired — strong pedigree from top financial institutions |
BUY |
Yes Bank rebuilding with quality leadership. CRO from HDFC/Jio = risk culture upgrade. Gradual re-rating story |
|
10 |
1:44 PM |
India Semiconductor Mission 2.0 |
Finance Ministry clears allocation of over ₹1 lakh crore for ISM 2.0; Cabinet likely to consider before April-end |
Massive govt push for domestic semiconductor industry — policy catalyst |
BUY |
₹1L Cr semiconductor push = decade theme. Buy semiconductor plays: Dixon, Tata Elxsi, KPIT, Kaynes |
|
11 |
1:41 PM |
Baazar Style Retail |
Closes one store in Brahmapur, Odisha — total stores now 262 |
Store closure — minor contraction in network |
SELL |
Store closures in value retail = demand concern in that region. Monitor if more closures follow |
|
12 |
1:39 PM |
Garden Reach Shipbuilders |
₹30.78 Cr NSE block trade — ~1,30,736 shares at ₹2,354 |
Large block trade — institutional buying/selling at ₹2,354 |
HOLD |
Block trades signal institutional activity. If it's buying = accumulation. GRSE = defence PSU hold |
|
13 |
1:17 PM |
Atul Auto |
March total sales 4,212 units vs 3,693 YoY |
~14% YoY volume growth — steady 3-wheeler performance |
HOLD |
Atul Auto niche 3W player. Consistent growth but small cap — only for high-risk investors |
|
14 |
1:07 PM |
Bandhan Bank |
Positional call: BUY BANDHANBNK at ₹149, target ₹180, stop loss ₹140 |
Broker positional buy call — ~21% upside, 6% downside risk |
CALL |
Target ₹180 from ₹149 = ~21% upside. SL ₹140 = 6% risk. Good R:R. Bandhan recovering — MFI stress easing |
|
15 |
12:57 PM |
L&T (Options) |
Positional call: BUY L&T 28 Apr 2026 3700 CE at ₹129, target ₹300, stop loss ₹74 |
Options call — buy L&T 3700 CE expiring April 28, 2026 |
CALL |
₹300 target from ₹129 = ~132% upside on option. High risk/reward. Only for options traders with discipline |
|
16 |
8:48 PM |
Iran / Geopolitical |
Iran FM Aragchi says they do NOT accept a ceasefire — seeking end to war with guarantees against future aggression |
Iran rejecting ceasefire — Hormuz tension continues, oil supply risk remains |
SELL |
No ceasefire = crude stays elevated. Bad for India macro. Sell rate-sensitive sectors; hedge via ONGC/Oil India |
|
17 |
~10:03 PM |
FII / DII Flow |
FII sells net ₹8,331.15 Cr in Indian shares today; DII buys net ₹7,171.80 Cr |
Heavy FII selling partially offset by DII buying — net negative flow |
SELL |
₹8,331 Cr FII sell is significant. Market likely under pressure next session. Stay defensive or go to cash |
|
18 |
~10:04 PM |
Yatra Online |
Wins CESTAT ruling — ₹111+ Cr tax demand and ₹39+ Cr penalty set aside, including relief for TSI Yatra |
Major tax dispute resolved in company's favor — ₹150 Cr+ liability removed |
BUY |
₹150 Cr+ tax win = balance sheet positive. Travel sector recovery + clean dispute = re-rating trigger |
|
19 |
11:46 PM |
Texmaco Rail & Engineering |
Bags ₹41.47 Cr order from Sushila Transport for Act-1 Auto Car Taller Wagons and BVCM Brake Vans (domestic, non-related party) |
New wagon order — adds to railway rolling stock order book |
BUY |
Railway capex theme continues. Texmaco = direct play on wagon demand surge. Accumulate on dips |
|
20 |
11:47 PM |
Shree Cement |
Receives draft FY23 tax demand of ~₹149 Cr; plans to object; company says no major impact expected |
Tax demand received but being contested — management confident of resolution |
NO ACTION |
FY23 demand = old issue. Company contesting — unlikely to materially impact. Hold existing position |
The biggest alerts from this batch: FII selling ₹8,331 Cr is a serious red flag, ISM 2.0 ₹1L Cr approval is a massive policy catalyst, and Iran rejecting ceasefire keeps crude risk elevated
bb
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 ₹2,200 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 ₹515 | Brokerage | 515 | BUY | Broker positive on QSR |
| 23 | 2026-05-08 | 10:00:00 | — | 10:00:00 | Dabur | Investec maintains Hold with Target Price ₹514 (cut from ₹525) | 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 ₹490 | 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 ₹1,500 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 ₹21,927 | Brokerage | 21927 | BUY | Specialty chemical high target |
| 32 | 2026-05-08 | 09:48:00 | — | 09:48:00 | CarTrade | Citi maintains Buy with Target Price ₹2520 (cut from ₹3150) | 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 ₹2386 | 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 ₹2500 | 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 ₹2500 | 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 ₹1230 (raised from ₹1110) | 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 ₹2750 (raised from ₹2285) | 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 ₹525 (raised from ₹460) | 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 ₹3425 (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 ₹250 (raised from ₹240) | Brokerage | 250 | BUY | Paint demand recovery |
| 44 | 2026-05-08 | 09:42:00 | — | 09:42:00 | Dabur | Jefferies maintains Buy with Target Price ₹610 | Brokerage | 610 | BUY | Positive management outlook |
| 45 | 2026-05-08 | 09:41:00 | — | 09:41:00 | Pidilite | Jefferies maintains Hold with Target Price ₹1390 | 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 ₹1300 (raised from ₹1250) | 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 ₹2000 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 ₹7,020 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 ₹1000 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 ₹160 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 ₹1,909.82 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 ₹510.25 Million including ₹174.78 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 ₹3500 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 ₹1,000 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 ₹3500 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 ₹1,000 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 ₹1,000 Crore NCD Issuance with ₹500 Cr Base and ₹500 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 ₹6,000 Cr Net Revenue and Surpasses ₹1,000 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 ₹72.15 Cr Order from HPCL, Market Cap ₹900 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 ₹495 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 ₹150 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 ₹4 | 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 ₹5 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 ₹8.50 | 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 ₹5835 Cr, DII Buy Net ₹6837 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 ₹14.5 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 ₹13,000 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 ₹103.47 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 ₹25B to ₹50B | 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 ₹40 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 ₹100-250 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 ₹3622 Cr. DII Purchases Net ₹2603 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 ₹75. Q4 NET PROFIT 14.01B VS 10.8B (YOY); EST 14B. REVENUE 127.97B. | Results | BUY | Dividend ₹75/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 ₹100B To ₹150B. | 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 ₹1,480. | 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 ₹135. 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 ₹1,978. | Brokerage | BUY | Auto ancillaries strong, defence diversification positive. | |
| 13 | 2026-05-06 | 11:18:48 | L&T | Goldman Sachs maintains Buy with Target Price ₹4,370. CLSA maintains Outperform with Target Price ₹4,842. 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 ₹1,860. 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 ₹3,800 (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 ₹3,940. 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 ₹5,000. Goldman Sachs maintains Sell with Target Price ₹4,300. | Brokerage | SELL | Brokers cautious on 2-wheeler demand and EV transition. | |
| 18 | 2026-05-06 | 11:21:18 | AFCOM HOLDINGS | Successfully Raises ₹199.85 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 ₹3,550. 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 ₹922. 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 ₹5,500 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 ₹88. 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, ₹191 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 ₹1.60. 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 ₹5 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 ₹24 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 ₹12 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 ₹62 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 ₹155 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 ₹2.5/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 ₹33/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 ₹38/share · Q4 EBITDA 86.1B vs 82B (Est 93B) · Margin 10.4% vs 11.03% | Dividend | HOLD | Infra major, dividend good but margin miss. |
| # | 📅 Date / Time (stacked) |
📄 Cleaned Text | 🏷️ Category | ⚡ Action | ✍️ Your Analysis |
|---|---|---|---|---|---|
| 🏢 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. | 📊 Results | POSITIVE |
✍️ 🏦 Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
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| 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%. | 📊 Results | POSITIVE |
✍️ 🏦 Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
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| 3 | Bandhan Bank: UBS Neutral TP₹200, Jefferies Buy TP₹215. | 📌 Corporate News | HOLD |
✍️ 🏦 Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
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| 4 | Bandhan Bank: Macquarie Underperform TP₹130. Dr. Reddy's: Delhi HC trademark warning. | 📌 Corporate News | NoAction |
✍️ 🏦 Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
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| 5 | Bandhan Bank: JPMorgan Neutral TP₹157. NIM guidance +10-20bps. | 📌 Corporate News | HOLD |
✍️ 🏦 Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
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| 6 | Bandhan Bank: Credit cost guidance 1.6-1.7% by FY27 exit. | 📌 Corporate News | NoAction |
✍️ 🏦 Mixed broker calls (Buy to Underperform). PAT up 68% YoY, asset quality improving.
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| 🏢 BANSAL WIRE (2 items) | |||||
| 7 | BANSAL WIRE: Q4 EBITDA 764M vs 719M, Margin 6.7% vs 7.76%. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 8 | BANSAL WIRE: Q4 Revenue 11.4B vs 9.4B, Net Profit 401M vs 331M. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 BLUE CLOUD SOFTECH (1 items) | |||||
| 9 | Blue Cloud Softech: Partners with GCIB Africa for digital projects in Senegal. | 📌 Corporate News | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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. | 📊 Results | NoAction |
✍️ 🏗️ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
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| 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%. | 📊 Results | NoAction |
✍️ 🏗️ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
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| 12 | DALMIA BHARAT: Q4 Net Profit 3.8B VS 2.1B; Est 3.4B. Leela Palaces: Net Debt cut from ₹25,677M to ₹12,707M, Debt/EBITDA improving. | 📊 Results | POSITIVE |
✍️ 🏗️ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
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| 13 | DHANLAXMI BANK: Q4 Interest Earned 4.43B VS 3.5B. DALMIA BHARAT: Q4 Net Profit 3.8B VS 2.1B. | 📊 Results | POSITIVE |
✍️ 🏗️ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
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| 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. | 📊 Results | POSITIVE |
✍️ 🏗️ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
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| 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. | 📊 Results | POSITIVE |
✍️ 🏗️ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
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| 🏢 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. | 📊 Results | POSITIVE |
✍️ 🛵 Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
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| 17 | Eternal: Macquarie Underperform TP₹200, InCred Add TP₹383. | 🏦 Brokerage Call | NoAction |
✍️ 🛵 Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
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| 18 | Eternal: Citigroup Buy TP₹360. Volatility alert: IDEA & BANDHANBNK. | ⚠️ Volatility Alert | NoAction |
✍️ 🛵 Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
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| 19 | Eternal: DAM Capital Buy TP₹330. Positional call: CONCORD BIOTECH book profit. | 📌 Corporate News | NoAction |
✍️ 🛵 Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
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| 20 | Bandhan Bank: CLSA Outperform TP₹220. Eternal: DAM Capital Buy. | 🏦 Brokerage Call | BUY |
✍️ 🛵 Mixed broker views. Q4 quick commerce sales up 7% QoQ, margin guidance 5-6% by FY29.
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| 🏢 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. | 📊 Results | NoAction |
✍️ 🏦 GNPA improves to 1.62%, provisions spike – asset quality stable.
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| 22 | FEDERAL BANK: GNPA 1.62% vs 1.72% (QoQ), NNPA 0.20% vs 0.42%. | 📊 Results | NoAction |
✍️ 🏦 GNPA improves to 1.62%, provisions spike – asset quality stable.
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| 23 | FEDERAL BANK: Q4 Net Profit 12.6B vs 10.3B, Revenue 74B vs 66.48B. UAE Fujairah oil stocks at 6M barrels low. | 📊 Results | POSITIVE |
✍️ 🏦 GNPA improves to 1.62%, provisions spike – asset quality stable.
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| 🏢 FIVE-STAR BUSINESS FINANCE (1 items) | |||||
| 24 | FIVE-STAR BUSINESS FINANCE: Dividend ₹2. FII Sell ₹2,103.74 Cr, DII Buy ₹1,712 Cr. RAJOO ENGINEERS: Q4 Net Profit 8M VS 138M, Revenue 467M VS 899M. | 📊 Results | SELL |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 GRANULES INDIA (2 items) | |||||
| 26 | GRANULES INDIA: Q4 Revenue 14.7B vs 12B. SUN PHARMA: ₹195.59 Cr block trade. | 📊 Results | NoAction |
✍️ 💊 Q4 profit +31%, margin expansion – pharma API tailwind.
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| 27 | GRANULES INDIA: Q4 EBITDA 3.5B vs 2.52B, Margin 23.94% vs 21.07%. | 📊 Results | NoAction |
✍️ 💊 Q4 profit +31%, margin expansion – pharma API tailwind.
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| 🏢 INDIAN BANK (3 items) | |||||
| 28 | INDIAN BANK: NPA Provisions 7.5B vs 3B (QoQ), Interest Earned 175B vs 158B. | 📌 Corporate News | NoAction |
✍️ 🏦 Dividend ₹18.25, GNPA down, profit slightly below est. Capital raise via QIP.
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| 29 | Sterlite Tech: Order Book Q1 ₹14.9B, Q2 & beyond ₹58.4B. INDIAN BANK: Q4 Net Profit 31B vs 29.56B; Est 32B. | 📊 Results | POSITIVE |
✍️ 🏦 Dividend ₹18.25, GNPA down, profit slightly below est. Capital raise via QIP.
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| 30 | INDIAN BANK: Dividend ₹18.25, GNPA 1.98% vs 2.23% (QoQ), NNPA 0.15% steady. | 📊 Results | POSITIVE |
✍️ 🏦 Dividend ₹18.25, GNPA down, profit slightly below est. Capital raise via QIP.
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| 🏢 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. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 LT FOODS (1 items) | |||||
| 32 | MAHINDRA LIFESPACE DEVELOPERS: Q4 Net Profit 901M VS 851M. LT Foods: Introduces Daawat Factory at KidZania. Infineon India Expansion. | 📊 Results | POSITIVE |
✍️ 💻 German chipmaker expands India via OSAT – semiconductor ecosystem boost.
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| 🏢 MARUTI SUZUKI (4 items) | |||||
| 33 | MARUTI SUZUKI: Q4 Net Profit 36B VS 37B; Est 41.5B. MARUTI SUZUKI: Dividend 140 Rupees Per Share. | 📊 Results | POSITIVE |
✍️ 🚗 Dividend ₹140, profit miss (36B vs 41B est) – margin recovery but volume soft.
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| 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%. | 📊 Results | NoAction |
✍️ 🏗️ EBITDA beat, volume growth miss (3% vs 7-8%). Cement sector mixed.
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| 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. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 36 | Seamec: Signs ONGC contract for MSV Samudra Sevak. Maruti Suzuki: Trade deal with NZ creates export opportunity. | 🏭 Order / Contract | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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%. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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 ₹311 Cr. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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. | 📊 Results | CAUTION |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 40 | Piramal Pharma: CEO expects strong FY27 revenue growth. OMDC: Mining approval extended to 2030. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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. | 📊 Results | NoAction |
✍️ 🏦 Profit miss (33.6B vs 42B est), loan growth below guidance – PSU NBFC pressure.
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| 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. | 📊 Results | POSITIVE |
✍️ 🏦 Profit miss (33.6B vs 42B est), loan growth below guidance – PSU NBFC pressure.
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| 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%. | 📌 Corporate News | NoAction |
✍️ 🏦 Profit miss (33.6B vs 42B est), loan growth below guidance – PSU NBFC pressure.
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| 🏢 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. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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. | 📊 Results | NoAction |
✍️ 🏭 Q4 profit +63%, margin expansion – engineering turnaround.
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| 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. | 📊 Results | POSITIVE |
✍️ 🏭 Q4 profit +63%, margin expansion – engineering turnaround.
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| 47 | SKIPPER: Q4 Revenue 16.7B VS 12.88B. ETERNAL: Q4 Revenue 173B VS 163B. | 📊 Results | NoAction |
✍️ 🏭 Q4 profit +63%, margin expansion – engineering turnaround.
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| 🏢 VAKRANGEE (1 items) | |||||
| 48 | VAKRANGEE: Q4 Revenue 567M vs 632M, Net Profit 20M vs 25M. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| # | 📅 Date / Time (stacked) |
📄 Cleaned Text | 🏷️ Category | ⚡ Action | ✍️ Your Analysis |
|---|---|---|---|---|---|
| 🏢 📊 MARKET INDICES / FLOWS (1 items) | |||||
| 1 | NSE Index Ends Up 0.81% Or +194.75 Points At 24,092.70. | 🌍 Market / Macro | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 📌 OTHER NEWS (2 items) | |||||
| 2 | Himadri Specialty: Targets PAT from ₹555 Cr to ₹1,100 Cr by FY28, 20% EBITDA margin. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 3 | L&T Finance: Nomura Buy TP ₹340. Positional call: HINDUSTAN ZINC book profit. | 🎯 Positional Call | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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. | 📊 Results | POSITIVE |
✍️ 🏭 Profit declines 52% – margin compression.
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| 🏢 ALEMBIC PHARMA (1 items) | |||||
| 5 | Alembic Pharma: co Receives Final U.S. FDA Approval For Fingolimod Capsules. | 📋 Regulatory Approval | NoAction |
✍️ 💊 USFDA approval for Fingolimod – generic opportunity.
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| 🏢 AMAZON (1 items) | |||||
| 6 | Amazon India: 'Amazon Now' expansion to 100 cities. | 📌 Corporate News | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 AU SMALL FINANCE (5 items) | |||||
| 7 | AU Small Finance Bank: Elara Capital Reduce with Target Price ₹990 (raised) as despite strong Q4 led by higher NIM (+26bp QoQ to ~6%), lower credit costs, strong loan growth. | 📊 Results | SELL |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 8 | AU Small Finance Bank: Nomura Neutral TP ₹975. SBI Cards: Jefferies Hold. | 📌 Corporate News | HOLD |
✍️ 💳 Mixed calls – asset quality improving but growth muted.
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| 9 | Coal India: Motilal Oswal Buy TP ₹530. AU Small Finance Bank: Nomura Neutral. | 📌 Corporate News | HOLD |
✍️ ⛏️ Mixed views – EBITDA beat but inventory high.
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| 10 | AU Small Finance Bank: UBS Neutral TP ₹1,150. Himadri Speciality: Birla Tyres growth target. | 📌 Corporate News | HOLD |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 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. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 AXIS BANK (9 items) | |||||
| 12 | Axis Bank: Nomura Buy with Target Price ₹1,560 as Q4 PAT in line but weak core PPOP offset by credit cost beat. Reliance Industries: Morgan Stanley Overweight TP ₹1,803. Reliance Industries: Macquarie Outperform TP ₹1,570. | 📊 Results | BUY |
✍️ 🛢️ Multiple broker views – O2C weak but Jio strong.
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| 13 | IndusInd Bank: UBS Sell with Target Price ₹730 as Q4 PAT beat driven by lower credit costs, but weak loan growth (-0.5% QoQ). Axis Bank: Nomura Buy TP ₹1,560. Reliance Industries: Morgan Stanley Overweight. | 📊 Results | BUY |
✍️ 🛢️ Multiple broker views – O2C weak but Jio strong.
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| 14 | India 10-Year Government Bond Yield At 6.9620% From 6.9365%. IndusInd Bank: UBS Sell TP ₹730. Axis Bank: Nomura Buy TP ₹1,560. | 🌍 Market / Macro | SELL |
✍️ 🏦 Turnaround signs – broker upgrades.
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| 15 | Axis Bank: Kotak Buy TP ₹1,600. Transformers And Rectifiers: $16.26M export order. Paytm: Bernstein Outperform TP ₹1,500. | 🏦 Brokerage Call | BUY |
✍️ 📱 RBI license cancellation – limited impact per brokers.
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| 16 | Reliance Industries: CLSA Outperform TP ₹1,800. Axis Bank: Kotak Buy. | 🏦 Brokerage Call | BUY |
✍️ 🛢️ Multiple broker views – O2C weak but Jio strong.
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| 17 | Axis Bank: Bernstein Outperform TP ₹1,600. | 🏦 Brokerage Call | NoAction |
✍️ 🏦 Buy calls – strong loan growth +18.5% YoY.
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| 18 | IDFC First Bank: CLSA Hold TP ₹73. Axis Bank: Bernstein Outperform. | 🏦 Brokerage Call | HOLD |
✍️ 🏦 Buy calls – strong loan growth +18.5% YoY.
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| 19 | Axis Bank: UBS Buy TP ₹1,620. Positional call: BUY JSW ENERGY. | 🎯 Positional Call | NoAction |
✍️ 🏦 Buy calls – strong loan growth +18.5% YoY.
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| 20 | RBL Bank: CLSA Hold TP ₹320. Axis Bank: UBS Buy. | 📌 Corporate News | HOLD |
✍️ 🏦 Buy calls – strong loan growth +18.5% YoY.
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| 🏢 BAJAJ HOUSING (1 items) | |||||
| 21 | BAJAJ HOUSING: Q4 Net Profit 6.7B VS 5.87B, Revenue 29B VS 25.1B. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 BHARTI AIRTEL (1 items) | |||||
| 22 | Bharti Airtel: Partnership With Google And AdaniConnex For AI Hub in Visakhapatnam, $15 Billion investment. | 🤝 Partnership / JV | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 BONDADA ENGINEERING (1 items) | |||||
| 23 | BONDADA ENGINEERING: Q4 Net Profit 592M VS 531M. Q4 Revenue 9.1B VS 7.1B. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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: ₹73.54 Cr block trade. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 25 | CASTROL INDIA: Q4 Net Profit 2.42B VS 2.33B. Q4 EBITDA 3.3B VS 3.07B, Margin 21.31% vs 21.61%. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 CHENNAI PETROLEUM (2 items) | |||||
| 26 | Chennai Petroleum: Capex ₹2,000 Cr over 2-3 years. Sterling and Wilson: Geopolitical issues slowing orders. | 🏭 Order / Contract | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 27 | Mahindra Finance: Macquarie Underperform TP ₹280. Chennai Petroleum: recognizes crude volatility challenges. | 📌 Corporate News | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 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. | 🌍 Market / Macro | NoAction |
✍️ 🌍 GIFT Nifty +0.75%, Dow flat – mixed global cues.
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| 🏢 HIMADRI SPECIALITY (2 items) | |||||
| 29 | Himadri Speciality: Confident about sustaining EBITDA margins above 20%, anticipating improvements. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 30 | Himadri Speciality: Birla Tyres targets ₹3,000 Cr revenue in 4 years from ₹187 Cr. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 IDFC FIRST BANK (3 items) | |||||
| 31 | IDFC First Bank: UBS Sell TP ₹70. Reliance Industries: CLSA Outperform. | 🏦 Brokerage Call | SELL |
✍️ 🛢️ Multiple broker views – O2C weak but Jio strong.
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| 32 | IDFC First Bank: Nomura Buy TP ₹85. IDFC First Bank: UBS Sell. | 📌 Corporate News | SELL |
✍️ 🏦 Mixed views – fraud overhang but Buy calls.
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| 33 | IDFC First Bank: Jefferies Buy TP ₹82. | 📌 Corporate News | NoAction |
✍️ 🏦 Mixed views – fraud overhang but Buy calls.
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| 🏢 IFCI (2 items) | |||||
| 34 | IFCI: Q4 Net Profit 340M VS 2.6B (YOY). | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 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%. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 IZMO (1 items) | |||||
| 36 | IZMO: Packaging partner for National Silicon Photonics Mission. Positional call: NYKAA buy. | 🎯 Positional Call | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 JINDAL SAW (1 items) | |||||
| 37 | JINDAL SAW: Q4 EBITDA 4.78B VS 7.4B, Margin 10.27% vs 14.62%. | 📊 Results | NoAction |
✍️ 🏭 Profit declines 52% – margin compression.
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| 🏢 JSW STEEL (2 items) | |||||
| 38 | JSW Steel: Goldman Sachs Buy TP ₹1,490 initiation. India-NZ FTA talks. | 📌 Corporate News | NoAction |
✍️ 🏭 Goldman initiation – structural demand shift.
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| 39 | Shyam Metals: Goldman Sachs Buy TP ₹1,065. JSW Steel: Goldman Sachs Buy. | 📌 Corporate News | NoAction |
✍️ 🏭 Goldman initiation – structural demand shift.
|
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| 🏢 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. | 📌 Corporate News | NoAction |
✍️ 🔧 Dividend ₹8.5 + profit +74% – engineering.
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| 41 | KIRLOSKAR PNEUMATIC: Dividend ₹8.50. Q4 EBITDA 1.86B VS 1.1B, Margin 26.34% vs 18.87%. Q4 Net Profit 1.4B VS 806M. | 📊 Results | POSITIVE |
✍️ 🔧 Dividend ₹8.5 + profit +74% – engineering.
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| 42 | KIRLOSKAR PNEUMATIC: Q4 Revenue 7.1B VS 5.82B. | 📊 Results | NoAction |
✍️ 🔧 Dividend ₹8.5 + profit +74% – engineering.
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| 🏢 LODHA (5 items) | |||||
| 43 | Lodha: Jefferies on Lodha Buy with Target Price ₹1,215 as FY27 pre-sales guidance beat with strong pipeline, path to net-debt-free despite land acquisitions, and catalysts like data center (1GW...) | 🏦 Brokerage Call | BUY |
✍️ 🏠 Buy TP ₹1215 – pre-sales beat, data center catalyst.
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| 44 | NMDC: Goldman Sachs Sell TP ₹84. Lodha Developers: Jefferies Buy TP ₹1,215. | 📌 Corporate News | SELL |
✍️ 🏠 Buy TP ₹1215 – pre-sales beat, data center catalyst.
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| 45 | Lodha Developers: Nomura Buy TP ₹1,450. Adani Green: ₹1,200-1,500 Cr EBITDA hit due to transmission issues. | 📊 Results | NoAction |
✍️ ☀️ Transmission hit ₹1,200-1,500 Cr – execution risk.
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| 46 | Shriram Finance: HSBC Buy TP ₹1,200. Lodha Developers: Nomura Buy. | 📌 Corporate News | NoAction |
✍️ 🏦 Multiple Buys – 15-18% loan growth guidance.
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| 47 | Lodha Developers: Jefferies Buy TP ₹1,215. Adani Green: Committed to 50 GW by 2030. | 📌 Corporate News | NoAction |
✍️ 🏠 Buy TP ₹1215 – pre-sales beat, data center catalyst.
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| 🏢 MAHINDRA HOLIDAY (2 items) | |||||
| 48 | MAHINDRA HOLIDAY: Q4 Net Profit 416M VS 731M (YOY). | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
|
|
| 49 | MAHINDRA HOLIDAYS: Q4 EBITDA 1.97B VS 2.04B, Margin 24.04% vs 26.24%. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
|
|
| 🏢 NIPPON LIFE (2 items) | |||||
| 50 | Nippon Life India AMC: HSBC Hold TP ₹890 (raised) as Q4 beat. | 📊 Results | HOLD |
✍️ 📌 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. | 📊 Results | POSITIVE |
✍️ 🏦 Dividend ₹12.5 + 20% loan growth guidance.
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| 🏢 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. | 🤝 Partnership / JV | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 PIRAMAL FINANCE (4 items) | |||||
| 53 | Piramal Finance: Jefferies Hold TP ₹1,940 as Q4 sharp adj loss. UltraTech Cement: Motilal Oswal Buy TP ₹13,800. | 📊 Results | HOLD |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
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| 54 | SBI Cards: JPMorgan Underweight TP ₹625. Piramal Finance: Nomura Buy TP ₹2,150. | 🏦 Brokerage Call | SELL |
✍️ 💳 Mixed calls – asset quality improving but growth muted.
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| 55 | SBI Cards: UBS Neutral TP ₹780. Piramal Finance: Nomura Buy. | 📌 Corporate News | HOLD |
✍️ 💳 Mixed calls – asset quality improving but growth muted.
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| 56 | PIRAMAL FINANCE: Q4 Loss Before Tax 8.2B VS Profit 1.16B (exceptional item ₹13.3B). BAJAJ HOUSING: GNPA 0.27% steady. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 POWER MECH PROJECTS (1 items) | |||||
| 57 | Power Mech Projects: Wins ₹227.95 Cr order for Vande Bharat sleeper trains. | 🏭 Order / Contract | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
|
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| 🏢 QUESS CORP (1 items) | |||||
| 58 | Quess Corp: Receives ₹155.11 Cr refund. MAHINDRA HOLIDAY: Q4 Revenue 8.2B VS 7.8B. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 RALLIS (1 items) | |||||
| 59 | FII Sell ₹1,151.48 Cr, DII Buy ₹4,124 Cr. RALLIS INDIA: Dividend ₹3 per share. Q4 Revenue 4.56B VS 4.3B. | 📊 Results | SELL |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 🏢 SAPPHIRE FOODS (1 items) | |||||
| 60 | SAPPHIRE FOODS: Q4 Net Loss 126M VS Profit 20M (YOY). | 📊 Results | CAUTION |
✍️ 📌 Monitor quarterly trend / management commentary.
|
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| 🏢 SBI CARDS (3 items) | |||||
| 61 | Coal India: Morgan Stanley Equal-weight TP ₹410. SBI Cards: UBS Neutral. | 📌 Corporate News | HOLD |
✍️ ⛏️ Mixed views – EBITDA beat but inventory high.
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| 62 | SBI Cards: Jefferies Hold TP ₹700. Coal India: HSBC Hold. | 📌 Corporate News | HOLD |
✍️ ⛏️ Mixed views – EBITDA beat but inventory high.
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| 63 | SBI Cards: Aims To Gain 900,000 - 1 Million New Users In Q1. | 📌 Corporate News | NoAction |
✍️ 💳 Mixed calls – asset quality improving but growth muted.
|
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| 🏢 SHRIRAM FINANCE (4 items) | |||||
| 64 | Shriram Finance: Nomura Buy TP ₹1,200. Shriram Finance: HSBC Buy. | 📌 Corporate News | NoAction |
✍️ 🏦 Multiple Buys – 15-18% loan growth guidance.
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| 65 | Shriram Finance: CLSA Outperform TP ₹1,150. | 🏦 Brokerage Call | NoAction |
✍️ 🏦 Multiple Buys – 15-18% loan growth guidance.
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| 66 | Shriram Finance: Kotak Add TP ₹1,100. Volatility alert: SUNPHARMA, TORNTPOWER. | 🏦 Brokerage Call | NoAction |
✍️ 🏦 Multiple Buys – 15-18% loan growth guidance.
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| 67 | IndusInd Bank: Jefferies Buy TP ₹1,100. Shriram Finance: Kotak Add. | 🏦 Brokerage Call | BUY |
✍️ 🏦 Turnaround signs – broker upgrades.
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| 🏢 SUPREME INDUSTRIES (4 items) | |||||
| 68 | SUPREME INDUSTRIES: Final Dividend ₹25. FY26 plastic pipes volume growth 11.8% vs guidance 15-17%. | 💰 Dividend | POSITIVE |
✍️ 💰 Dividend ₹25 + profit +46% – plastic pipes.
|
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| 69 | SUPREME INDUSTRIES: Q4 Net Profit 4.3B VS 2.94B. Sterling Tools: Teams up with Nanjing Haohang. | 📊 Results | POSITIVE |
✍️ 💰 Dividend ₹25 + profit +46% – plastic pipes.
|
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| 70 | SUPREME INDUSTRIES: Q4 Revenue 35.3B VS 30.08B. | 📊 Results | NoAction |
✍️ 💰 Dividend ₹25 + profit +46% – plastic pipes.
|
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| 71 | SUPREME INDUSTRIES: Q4 EBITDA 6.2B VS 4.15B, Margin 17.66% vs 13.73%. | 📊 Results | NoAction |
✍️ 💰 Dividend ₹25 + profit +46% – plastic pipes.
|
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| 🏢 TAMILNAD MERCANTILE BANK (2 items) | |||||
| 72 | TAMILNAD MERCANTILE BANK: Q4 Net Profit 3.7B VS 2.92B. MRPL: Plans JV with ONGC and OPAL. | 📊 Results | POSITIVE |
✍️ 🏦 Dividend ₹12.5 + 20% loan growth guidance.
|
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| 73 | TAMILNAD MERCANTILE BANK: Dividend ₹12.5 per share. Q4 Interest Earned 15.5B VS 13.42B. Oil India: Hydrocarbon discovery in Libya. | 📊 Results | POSITIVE |
✍️ 🏦 Dividend ₹12.5 + 20% loan growth guidance.
|
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| 🏢 TATA MOTORS (1 items) | |||||
| 74 | TATA MOTORS: NHTSA engineering analysis on 331,559 JLR vehicles. Adani Total Gas: FY27 EBITDA ₹15B guidance. Magellanic Cloud: Investment partnership with Rayonix Tech worth ₹1.50B. | 📊 Results | NoAction |
✍️ 📌 Monitor quarterly trend / management commentary.
|
|
| 🏢 TATA STEEL (1 items) | |||||
| 75 | Tata Steel: Goldman Sachs Neutral TP ₹210. Positional call: ROUTE MOBILE book profit. | 🎯 Positional Call | HOLD |
✍️ 📌 Monitor quarterly trend / management commentary.
|
|
| 🏢 ULTRATECH CEMENT (7 items) | |||||
| 76 | UltraTech Cement: Goldman Sachs Buy TP ₹13,230 (cut) as strong Q4 with 9% volume growth. | 📊 Results | NoAction |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
|
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| 77 | Coal India: HSBC Hold TP ₹440. UltraTech Cement: Jefferies Buy TP ₹14,050. | 📌 Corporate News | HOLD |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
|
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| 78 | UltraTech Cement: CLSA Outperform TP ₹14,000. Coal India: Motilal Oswal Buy. | 🏦 Brokerage Call | BUY |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
|
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| 79 | Jindal Steel: HSBC Hold TP ₹1,280. UltraTech Cement: CLSA Outperform. | 🏦 Brokerage Call | HOLD |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
|
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| 80 | ULTRATECH CEMENT: Q4 Net Profit 30B VS 25B; Est 27.5B. Q4 EBITDA 56B VS 46.2B; Margin 21.71% vs 20.02%. | 📊 Results | POSITIVE |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
|
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| 81 | ULTRATECH CEMENT: Final Dividend ₹240 per share. Q4 Revenue 255B VS 231B. | 📊 Results | POSITIVE |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
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| 82 | SBI CARDS: Q4 Net Profit 6.1B VS 5.34B; Est 6.1B. Ultratech Cement: capacity exceeding 200 MTPA. | 📊 Results | POSITIVE |
✍️ 🏗️ Dividend ₹240 + profit beat – cement leader.
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| 🏢 VARDHMAN SPECIAL (2 items) | |||||
| 83 | VARDHMAN SPECIAL: Q4 Net Profit 340M VS 197M (YOY). HDB Financial Services: Allots ₹3,250 Cr debentures. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
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| 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%. | 📊 Results | POSITIVE |
✍️ 📌 Monitor quarterly trend / management commentary.
|
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| 🏢 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: ₹51.34 Cr block trade. | 📊 Results | POSITIVE |
✍️ 🥤 Q4 profit +19% – beverage momentum.
|
|
Jay stock news 24 April 2026
| # | 📅 Date / Time (stacked) |
📄 Cleaned Text (headline) | 🏷️ Category | ⚡ Action | ✍️ Your Analysis |
|---|---|---|---|---|---|
| 📁 ⚠️ 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. | ⚠️ Volatility Alert | NoAction |
✍️ ⚠️ Volatility alert – margin risk for these stocks.
|
|
| 📁 🌍 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 ₹8,136 Cr, Collections +23.5% YoY. NSE Index Ends Down 0.84% Or -205.05 Points At 24,173.05 | 🌍 Macro / Regulatory | NoAction |
✍️ 🏠 ₹8,136 Cr bookings – strong real estate momentum.
|
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| 3 | Pfizer: Income-Tax Dept Issues ₹85.74 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. | 🌍 Macro / Regulatory | BUY |
✍️ 📌 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. | 🌍 Macro / Regulatory | NoAction |
✍️ 📌 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 ₹128 Cr. Cyient: Eyeing mid-to-high single-digit FY27 growth. | 🌍 Macro / Regulatory | BUY |
✍️ ⚡ ₹128 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. | 🌍 Macro / Regulatory | NoAction |
✍️ 📌 Monitor further developments / quarterly trend.
|
|
| 📁 🏭 Order / Contract (1 items) | |||||
| 7 | SHRIRAM FINANCE: Approves Resource Mobilisation Plan. Steel Authority of India: Secures court order halting antitrust probe. | 🏭 Order / Contract | BUY |
✍️ 🏦 Asset quality stable, approves debt plan.
|
|
| 📁 👔 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. | 👔 Leadership Change | NoAction |
✍️ ⚠️ CFO resignation – monitor for succession.
|
|
| 9 | Alkem Laboratories: CEO Dr. Vikas Gupta Resigns, will stay until June 30. | 👔 Leadership Change | NoAction |
✍️ 👔 CEO resigns – leadership transition risk.
|
|
| 📁 📈 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 ₹483 Each, Raising ₹450 Cr. | 📈 Bulk / Block Deal | NoAction |
✍️ 💊 ₹98 Cr block trade – institutional interest.
|
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| 11 | EMCURE PHARMACEUTICALS: ₹98.33 Cr Block Trade. Balrampur Chini Mills: Share sale ₹450 Cr. | 📈 Bulk / Block Deal | NoAction |
✍️ 💊 ₹98 Cr block trade – institutional interest.
|
|
| 12 | SBI LIFE INSURANCE: ₹197.87 Cr Block Trade. Apollo Hospitals: ₹32.42 Cr Block Trade. Aditya Birla Sun Life AMC: ₹32.31 Cr Block Trade. | 📈 Bulk / Block Deal | NoAction |
✍️ 📌 Monitor further developments / quarterly trend.
|
|
| 📁 📊 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. | 📊 Results / Dividend | BUY (earnings beat) |
✍️ 🧪 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 ~₹4,500 Cr Top-Line. | 📊 Results / Dividend | NoAction |
✍️ 💻 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%. | 📊 Results / Dividend | NoAction |
✍️ 🛢️ 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 (₹6.8B). | 📊 Results / Dividend | BUY |
✍️ 🛢️ 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. | 📊 Results / Dividend | BUY (earnings beat) |
✍️ 🧪 Q4 profit +65% – chemical turnaround.
|
|
| 18 | Adani Green: 30 GW Khavda by 2029. HINDUSTAN ZINC: Q4 Net Profit 50B vs 29.8B. | 📊 Results / Dividend | BUY (earnings beat) |
✍️ ☀️ 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. | 📊 Results / Dividend | BUY (earnings beat) |
✍️ 🧪 Q4 profit +65% – chemical turnaround.
|
|
| 20 | ATUL: Q4 Net Profit 2.1B. ATUL: Revenue 17B. Britannia Industries: ₹17.57 Cr Block Trade. | 📊 Results / Dividend | NoAction |
✍️ 🧪 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). | 📊 Results / Dividend | BUY (earnings beat) |
✍️ ☀️ 30 GW target by 2029 – huge renewable pipeline.
|
|
| 22 | ADANI GREEN: Q4 Net Profit 5.14B. Iran's Foreign Minister Holds Calls With Pakistan. | 📊 Results / Dividend | HOLD |
✍️ ☀️ 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. | 📊 Results / Dividend | NoAction |
✍️ 💰 Dividend ₹11 + profit beat – mining major.
|
|
| 24 | HINDUSTAN ZINC: Dividend 11 Rupees Per Share. Q4 Revenue 135B VS 90.4B (YOY); EST 120B. | 📊 Results / Dividend | BUY |
✍️ 💰 Dividend ₹11 + profit beat – mining major.
|
|
| 25 | FII Net Sell ₹8,827.87 Cr || DII Net Buy ₹4,700.71 Cr. JAYASWAL NECO: Q4 Net Profit 1.9B VS 1B (YOY) || Revenue 19.7B VS 16.75B. | 📊 Results / Dividend | BUY |
✍️ 🏭 Q4 profit +90% – steel casting recovery.
|
|
| 26 | JAYASWAL NECO: Q4 EBITDA 3.75B VS 3.42B (YOY) || Margin 19.03% VS 20.39%. | 📊 Results / Dividend | NoAction |
✍️ 🏭 Q4 profit +90% – steel casting recovery.
|
|
| 27 | Mahindra & Mahindra Financial Services: Dividend ₹7.50 Per Share. Q4 Net Profit 8.73B VS 5.63B (YOY) || Revenue 48.1B VS 42.4B. | 📊 Results / Dividend | BUY |
✍️ 🏦 Dividend ₹7.50 + profit +55% – NBFC strong.
|
|
| 28 | MAHINDRA FINANCIAL: Q4 Net Profit 8.73B. SEBI Creates Net Settlement Framework For FPIs Cash Market Trades. | 📊 Results / Dividend | NoAction |
✍️ 🏦 Dividend ₹7.50 + 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). | 📊 Results / Dividend | NEUTRAL (asset quality stable) |
✍️ 🏦 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. | 📊 Results / Dividend | NoAction |
✍️ 🏦 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). | 📊 Results / Dividend | BUY (earnings beat) |
✍️ 🏦 GNPA down, profit +16% – small bank turnaround.
|
|
| 32 | Supreme Power Equipment: ₹128 Cr Orders. WENDT: Q4 Net Profit 51M VS 128.9M (YOY) || Revenue 668M VS 756M. | 📊 Results / Dividend | BUY |
✍️ ⚡ ₹128 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%. | 📊 Results / Dividend | BUY (earnings beat) |
✍️ 💻 IT sequential profit growth – midcap IT.
|
|
| 📁 📌 Stock News (1 items) | |||||
| 34 | Hindustan Organic Chemicals: Resumes Kochi Unit Operations. KPI Green Energy: Adds Wholly Owned Unit In GIFT City. | 📌 Stock News | NoAction |
✍️ 📌 Monitor further developments / quarterly trend.
|
|
| 📁 🤝 JV / Expansion (1 items) | |||||
| 35 | Wipro: Partners With Kongsberg Digital For AI Digital Twin Tech. Chennai Petroleum: Reviewing Secondary Refinery Upgrades. | 🤝 JV / Expansion | NoAction |
✍️ 🛢️ Q4 EBITDA +38% QoQ – refining margin recovery.
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| # | 📅 Date / Time (stacked) |
📄 Cleaned Text (headline) | 🏷️ Category | ⚡ Action | ✍️ Your Analysis |
|---|---|---|---|---|---|
| 📁 ⚖️ 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 | ⚖️ Legal / Court | NoAction |
✍️ 💰 ₹6 dividend + AUM ₹3T (+14.9% YoY) – NBFC strength.
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| 📁 💰 Dividend Announcement (2 items) | |||||
| 2 | Tamil Nadu Newsprint Recommends Final Dividend Of Rs 4 Per Share. Mastek: Signs MOU To Sell Commercial Building For ₹60 Crore. Lodha Developers: Announces 4.25 Rupees Dividend Per Share | 💰 Dividend Announcement | BUY |
✍️ 🏠 Q4 profit +9% – real estate steady growth.
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| 3 | Lodha Developers: Announces 4.25 Rupees Dividend Per Share. Reliance Industries: Company Says Gas From KG-D6 Basin Now Powers Priority Energy Needs | 💰 Dividend Announcement | BUY |
✍️ 🏠 Q4 profit +9% – real estate steady growth.
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| 📁 📈 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 | 📈 Bulk Deal / Acquisition | SELL / AVOID |
✍️ ⚠️ RBI cancels license – major negative for Paytm ecosystem.
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| 📁 📊 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 ₹3 Trillion, Up 14.85% YoY And 3.62% QoQ. ZENSAR TECH: Q4 REVENUE 14.5B VS 14.3B (QOQ) | 📊 Results / Earnings | NoAction |
✍️ 💰 ₹6 dividend + AUM ₹3T (+14.9% YoY) – NBFC strength.
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| 6 | ZENSAR TECHNOLOGIES: PROPOSES FINAL DIVIDEND OF 12.60 RUPEES PER SHARE. Shriram Finance: Q4 Total AUM ₹3 Trillion +14.85% YoY. ZENSAR TECH: Q4 REVENUE 14.5B VS 14.3B (QOQ). EBIT MARGIN 14.7% VS 16.05% (QOQ) | 📊 Results / Earnings | NoAction |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 7 | Shriram Finance: Q4 Total AUM ₹3 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) | 📊 Results / Earnings | NoAction |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 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 | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 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 | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 10 | SHRIRAM FINANCE: Q4 NET PROFIT 30B VS 21.4B (YOY); EST 27B | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 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) | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🏠 Q4 profit +9% – real estate steady growth.
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| 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 | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🏠 Q4 profit +9% – real estate steady growth.
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| 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 | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🧪 Dividend ₹8 + profit +56% – chemical turnaround.
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| 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. | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🧪 Dividend ₹8 + profit +56% – chemical turnaround.
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| 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% | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🧪 Dividend ₹8 + profit +56% – chemical turnaround.
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| 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) | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🏦 Dividend ₹8 + GNPA improves – HFC quality play.
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| 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% | 📊 Results / Earnings | BUY |
✍️ 🏦 Dividend ₹8 + GNPA improves – HFC quality play.
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| 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% | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📱 Q4 profit +15% – CPaaS growth steady.
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| 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 | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📱 Q4 profit +15% – CPaaS growth steady.
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| 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 | 📊 Results / Earnings | BUY |
✍️ 📱 Q4 profit +15% – CPaaS growth steady.
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| 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 ₹60 Crore | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📄 Dividend ₹4 + profit skyrockets – paper sector revival.
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| 22 | Reliance Industries: Jio Q4 ARPU At ₹214 Per Subscriber, Jio Platforms Q4 Consolidated Profit ₹79.35B, Revenue ₹382.59B. MRPL: Q4 NET PROFIT 1.19B VS 14.5B (QOQ) || REVENUE 284.9B VS 297.2B (QOQ) | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📱 ARPU ₹214, profit ₹79B – digital strength.
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| 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) | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🛢️ Sharp QoQ profit drop – refining margin pressure.
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| 24 | MRPL: Q4 EBITDA 17.81B VS 27.84B (QOQ) || MARGIN 6.25% VS 9.4%. Reliance Jio Infocomm: Q4 Net Profit ₹73.17B, Revenue ₹333.81B | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 🛢️ Sharp QoQ profit drop – refining margin pressure.
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| 25 | Reliance Jio Infocomm: Q4 Net Profit ₹73.17B, Revenue ₹333.81B. Reliance Industries: Announces ₹6 Dividend Per Share | 📊 Results / Earnings | BUY |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 26 | Reliance Industries: Announces ₹6 Dividend Per Share. RELIANCE INDUSTRIES: Q4 EBITDA 441B VS 460B (QOQ) || MARGIN 14.78% VS 17.08% (QOQ) | 📊 Results / Earnings | BUY |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 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) | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 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 ₹19.70 Crore | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📌 Monitor quarterly trends / management commentary.
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| 29 | L&T FINANCE: Q4 NET PROFIT 8.1B VS 6.4B (YOY) || REVENUE 47.71B VS 40.2B (YOY) | 📊 Results / Earnings | BUY (earnings beat) |
✍️ 📌 Monitor quarterly trends / management commentary.
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