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Company Profile

EMPOWER INDIA LTD.

NSE : NABSE : 504351ISIN CODE : INE507F01023Industry : IT - HardwareHouse : Private
BSE2.850.05 (+1.79 % )
PREV CLOSE (Rs.) 2.80
OPEN PRICE (Rs.) 2.85
BID PRICE (QTY) 0.00 (0 )
OFFER PRICE (QTY) 0.00 (0 )
VOLUME 2182778
TODAY'S LOW / HIGH (Rs.)2.85 2.85
52 WK LOW / HIGH (Rs.) 0.23 3.86
NSE
This Company is not listed in NSE

Smart Quotes

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STOCK SUMMARY
Trade Value (Rs. in Lacs) 0.00
Dividend Yield(%) 0.00
TTM EPS (Rs.) 0.01
P/E Ratio 283.01
Book Value (Rs.) 2.53
Face Value (Rs.) 1
MCap (Rs. in Mn) 3316.83
Price/Earning (TTM) 283.01
Price/Sales (TTM) 19.32
Price/Book (MRQ) 1.13
PAT Margin (%) 1.85
ROCE (%) 0.08
Incorporation Year : 1981

Management Info :

Sumit Pawar - Chairman Rajgopalan Srinivasa Iyengar - Managing Director

Registered Office :

Address : 25/25 A, 2nd Floor,327, Nawab Building,Dr. D. N. Road, Fort,
Mumbai,
Maharashtra-400001

Phone : 022- 22045055 / 44 / 09702003139

Registrar's Details : Purva Shareregistry (India) Pvt Ltd
Gala No 9,Shiv Shakti, Industrial Estate,Sitaram Mill Comp.,J R Boricha Marg, Lower Parel [E],Mumbai
Listing : BSE
NEWS More
02Mar03-02-2024$Empower India informs about newspaper publication Empower India informs about
Empower India has attached copies of newspaper advertisements for Corrigendum to Postal Ballot Notice which was published in English Newspaper (Having nation-wide circulation); Marathi Newspaper (Having Regional circulation).

The above information is a part of company’s filings submitted to BSE.
Empower India has attached copies of newspaper advertisements f..
15Feb02-15-2024$Allotment of Convertible warrants Allotment of Convertible war
Inter alia, considered and fixed Issue Price of Warrants. As per the provisions of regulation 161 of SEBI(ICDR) Regulations, 2018, the relevant date for determining the issue price of the warrants was February 12, 2024. Accordingly, as per the provisions of Regulation 164(1) of SEBI(ICDR) Regulations, 2018, Issue Price of Warrants has been fixed at Rs. 2.50/- (Two Rupees and Fifty Paisa Only) per warrant [including a premium of Rs 1.50/- (One Rupee and Fifty Paisa only)]. The issue size for the preferential allotment would aggregate to Rs. 90,00,00,000/- (Rupees Ninety Crore only) consisting of 36,00,00,000 (Thirty-Six Crore) convertible equity warrants at a price of Rs. 2.50/- (Two Rupees and Fifty paisa only) per warrant [including a premium of Rs 1.50/- (One Rupee and Fifty Paisa only)].
Inter alia, considered and fixed Issue Price of Warrants. As p..
15Feb02-15-2024$Allotment of Equity Shares Allotment of Equity Shares
Inter alia, considered and fixed Issue Price of Warrants. As per the provisions of regulation 161 of SEBI(ICDR) Regulations, 2018, the relevant date for determining the issue price of the warrants was February 12, 2024. Accordingly, as per the provisions of Regulation 164(1) of SEBI(ICDR) Regulations, 2018, Issue Price of Warrants has been fixed at Rs. 2.50/- (Two Rupees and Fifty Paisa Only) per warrant [including a premium of Rs 1.50/- (One Rupee and Fifty Paisa only)]. The issue size for the preferential allotment would aggregate to Rs. 90,00,00,000/- (Rupees Ninety Crore only) consisting of 36,00,00,000 (Thirty-Six Crore) convertible equity warrants at a price of Rs. 2.50/- (Two Rupees and Fifty paisa only) per warrant [including a premium of Rs 1.50/- (One Rupee and Fifty Paisa only)].
Inter alia, considered and fixed Issue Price of Warrants. As p..
06Feb02-06-2024$Allotment of Equity Shares Allotment of Equity Shares
Preferential Issue of shares (Revised) & Increase in Authorised Capital
Preferential Issue of shares (Revised) & Increase in Authorise..
01Feb02-01-2024$Allotment of Equity Shares Allotment of Equity Shares
Increase in Authorised Capital & Preferential Issue of shares
Increase in Authorised Capital & Preferential Issue of shares
Financials More
Rs. in Millions
QTR Dec 23 ANNUAL 23
Net Profit0.9600000000000011.72
Gross Profit 0.960000000000001 2.13
Operating Profit 0.9600000000000012.19
Net Sales 29.4297.32
ROLLING FORWARD P/E (EOD)
EVENT CALENDAR
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Shareholding Pattern More
NON-INSTITUTION 84.73 %
PROMOTERS 15.02 %
MUTUAL FUNDS/UTI 0 %
FI/BANKS/INSURANCE 0 %
GOVERNMENT 0 %
FII 0 %
MF HOLDINGS
Scheme NameHold(%)
No Data Found
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