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MOIL LTD.137.30 -2.25 (-1.61%)

  • BSE: 533286
  • |
  • NSE: MOIL
  • |
  • ISIN NO: INE490G01020
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  • INDUSTRY: Mining
Profile

MOIL

MOIL

As on June 2 ... 2, 1962, it was being incorporated as a public limited company with the RoC under the company name ‘Manganese Ore (India) Limited. Soon, the company name was changed from Manganese Ore (India) Limited to the MOIL Limited, and the RoC was issuing a fresh certificate of incorporation as on August 17, 2010.

The business area of the Company:

It is the largest producer of manganese ore by volume in India in Fiscal 2008 and also has a long operating history of mining manganese ore in India based on more than four decades of experience since its incorporation. Currently, it operates seven underground mines (Munsar, Kandri, Beldongri, Gumgaon, Chikla, Balaghat, and Ukwa mines) and other three opencast mines (Sitapatore/Sukli, Dongri Buzurg, and Tirodi).

Also, the manganese ore production of the company increased from 864,890 tonnes in Fiscal 2006 to 1,093,363 tonnes in Fiscal 2010. Even on July 1, 2010, it has access to about 22.0 million tonnes of proved and probable reserves and also 37.2 million tonnes of the measured mineral resources of the manganese ore. Also, it produced 700,776 tonnes of the manganese ore from the underground mines and about 392,587 tonnes of manganese ore from its opencast mines in Fiscal 2010.

It is actively involved in both the exploration and development activities to increase its proven manganese ore reserves. Besides, an area of about 814.71 hectares in Maharashtra has been reserved for the company via a notification from the Ministry of Mines as of October 2009. It also has applied for a prospecting license concerning this area.

Besides, to high, medium and low-grade manganese ore, its products include manganese dioxide and chemical grade manganese ore. And at the Balaghat and Dongri Buzurg mines that are its largest mines, it has beneficiation plants of upgrading the quality of the manganese ore produced that they can sell commercially and also use it in the manufacturing of the value-added products such as electrolytic manganese dioxide (“or EMD”), and high carbon ferromanganese (“or HCFM”). On August 31, 2010, its processing capacity at the Balaghat and Dongri Buzurg mines was about 500,000 tonnes and 400,000 tonnes per annum (“TPA”), each.

It was conferred the Mini Ratna status in 2008, and it intends to expand its value-added production capacity and is also in joint ventures with Steel Authority of India Limited (“or SAIL”) and Rashtriya Ispat Nigam Limited (“or RINL”) to set up ferroalloy plants in both Chhattisgarh and Andhra Pradesh, that can collectively produce ferromanganese (with a total installed capacity of about 51,000 TPA) and silicomanganese (of about 112,500 TPA). It also owns two wind farms a total aggregate capacity of about 20.0 MW in Nagda Hills and Ratedi hills that is near Dewas in Madhya Pradesh.

Some of the Milestones:

1.      1962: Incorporation of the Company

  • Transfer of mining leases for manganese ore over the Nagpur, Dongri Buzurg and other areas, consumable stores, and other fixed assets from CPMO according to the 1962 Agreement.

2.      2006: Windfarm with a power generation capacity of 4.8MW commissioned.

3.      2007: It achieved annual production of about 1mn tonnes.

  • It shifted to its present corporate office at ‘MOIL Bhavan’ located at the 1–A, Katol Road, Nagpur.
  • It set up an integrated Manganese Beneficiation Plant located at Balaghat mines with a capacity of about 0.5mn TPA.

4.      2009: The equity shares of the company were split from INR 100 per share to INR 10 per share.

  • It also issued the Bonus Shares in the ratio 1:5.
  • It achieved an annual turnover of more than INR 1000mn.
  • It incorporated 50:50 Joint Venture company ‘RINMOIL Ferro Alloys Private Ltd,’ along with Rashtriya Ispat Nigam Limited (or RINL) to manufacture ferroalloys at Vizag (in AP).

5.      2010: The change in the company name to MOIL Limited.

Some of the Achievements:

 

·         2010: International Convention on Quality Concepts Circle? Parakh Manganese Ore (India) Limited INDIA Gold Award from ICQCC. International Convention on Quality Concepts Circle Panchratna Manganese Ore (India) Limited INDIA Gold Award ICQCC–2010.

 

·         2006: First prize – National Energy Conservation Award in the chemical sector awarded to the Company’s Electrolytic Manganese Dioxide Plant by the Government of India. First prize – National Energy Conservation Award in the mining sector awarded to the Balaghat Mine by the Government of India.

 

·         2007: First prize - The National Energy Conservation Award for the Mining Sector was being awarded to the Chikla Mine by the GoI. National Safety Award – Winner’s Trophy for Longest Accident-Free Period at Dongri Buzurg Mine awarded from Directorate General of Mines Safety, Ministry of Labour & Employment, Government of India. National Safety Award - It received the runners-up trophy for the lowest injury frequency rate at Beldongri Mine that was awarded by the Directorate General of Mines Safety, Ministry of Labour and Employment, GoI.

 

·         2009: National Quality Circle Award - Team Pancharatna QC from Dongri Buzurg Mine also awarded Par Excellent Award, as well as Parakh QC from Tirodi Mine also awarded the Excellent Award. It received the second prize in the National Energy Conservation Award for the achievements in the Mining sector awarded to the Company by the GoI, Ministry of Power. OHSAS 18001: Vexil Business Process Systems were issuing 2007 for the Opencast Mining and Sale of Manganese Ore located at Dongri Buzurg Mine. It is valid until October 8, 2012. OHSAS 18001: Vexil Business Process Systems were issuing 2007 for the Underground Mining and Sale of Manganese Ore located at Balaghat Mine. It is valid until October 8, 2012.

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Key Data
  • Market cap 3345.00 CR.
  • Book value 116.44
  • Stock P/E 17
  • Dividend Yield 4.26%
  • ROCE 11.40%
  • ROE 8.31%
  • Sales Growth (3Y) 1.90%
  • Face Value (3Y) 10.00
Trend Analysis
  • Short Term Trend :
    Not clear
  • Medium Term Trend :
    Not Clear
  • Long Term Trend :
    Not Clear

Are you friends with trend?

There is a saying in stock market, "Trend is your best friend"

It means, a good trader doesn't place his money against the trend. Many new traders lose money because they are trying to catch trend reversals but seasoned traders wait for a clear trend to emerge before taking the trade in the direction of trend.

Day Technicals

What is Opening Range Breakout?

An opening range breakout is breaking out of the day's range after a stock has moved for some time in a sideways trend. In technical terms, its a breakout from the support and resistance level in an upward or downward trend.

NR7

What is NR7 trading strategy?

Narrow Range trading strategy or NR7 Trading strategy is a breakout based method which assumes that the price of security trends up or down after a brief consolidation in a narrow range.

Opening Price clues

How to use Opening Price Clues in your trades?

If the stock has same open and high after it has traded for some time, it implies there was a consistent selling pressure that didn't allow the stock to move higher from the opening price. Similarly, if the stock has same open and low price, it implies there was a consistent buying intent that kept the stock price above the opening price.

Day High Low Range
TIME LOWEST HIGHEST
10 AM - -
11 AM - -
12 PM - -
1 PM - -
2 PM - -
Japanese Candlestick Patterns
Candle Pattern 1 :None
Candle Pattern 2 : None
Candle Pattern 3 :None
Candlestick Price Action
Lower High Lower Low
Pivot Points
Name S4 S3 S2 S1 Pivot Points R1 R2 R3 R4
classic 122.58 128.73 134.88 137.22 141.03 143.37 147.18 153.33 159.48
woodie's 127.53 133.68 136.19 139.82 142.34 145.98 148.49 152.12 158.28
fibonacci - 134.88 137.23 138.68 141.03 143.38 144.84 147.18 -
camarilla 136.17 137.86 138.42 138.99 -- 140.11 140.68 141.24 142.93
Past Performance & Moving Averages
Day’s LOW HIGH RANGE SMA PERFORMANCE Nifty
10 DAY 136.65
159.50
144.13 -3.09 % 0.10 %
20 DAY 136.65
159.50
145.91 -6.03 % 2.30 %
50 DAY 121.55
159.50
139.39 0.32 % 8.53 %
100 DAY 120.60
159.50
138.37 4.89 % 21.59 %
200 DAY 105.30
170.00
139.27 -4.32 % 33.90 %
YTD 136.65
159.50
146.40 -3.76 % 2.72 %
52 Week 85.55
170.00
137.11 -6.97 % 18.71 %

Why are moving Averages important in technical Analysis?

An opening range breakout is breaking out of the day's range after a stock has moved for some time in a sideways trend. In technical terms, its a breakout from the support and resistance level in an upward or downward trend.

Gaps On Day Chart
Unfilled Gap Down On 2018-03-05
222.50 ~ 222.85 RESISTANCE
Unfilled Gap Down On 2017-09-27
198.45 ~ 389.10 RESISTANCE
Industry Growth Rate

In Last 1 Year the industry has grown by 4.05 %

In Last 5 Year the industry has grown by 0.00 %

Peer comparison

Sales

COMPANY NAME20152016201720182019
MOIL822.00632.00978.001314.001438.00
NMDC12356.006456.008828.0011615.0012153.00
ASHAPURMIN1752.841775.35832.90794.36621.37
20MICRONS356.00357.00392.00427.00480.00
Total 3821.71 2305.09 2757.73 3537.59 3673.09 3821.71

Financial

LAST FISCAL CURRENT GROWTH 10 YEAR CAGR
S.NO. COMPANY NAME MARKET CAP CMP BOOK VALUE EPS STOCK P/E ROE ICR REVENUE NET PROFIT NPM REVENUE NET PROFIT REVENUE NET PROFIT
1 NMDC LTD. 33695.20 110.05 90.91
2 ASHAPURA MINECHEM LTD. 26003.74 29.85 -49.45
3 20 MICRONS LTD. 9187.91 26.00 47.03
4 MOIL LTD. 3254.21 137.00 133.04
5 ORISSA MINERALS DEVELOPMENT COMPANY LTD. 894.87 1490.80 168.37
Sales

What is Sales Trend ?

Sales trend is a methodology to understand sales results which helps in understanding the trends of the market over a specific period of time. Sales results are an indicative of the sales patterns followed by the customer over a time period.

Profitability

What is Profit & EPS Trend ?

EPS Trends was initially built in late 2015 when I was just getting into frontend development. Coming from a background in Rails, I was frustrated with how many decisions you had to make early on as a javascript developer.

Net Profit
EPS

What is EBITDA Margin & EBIT Margin ?

Corporate accounting is required to adhere to the standards and practices collectively referred to as the generally accepted accounting principles. EBITDA is an excellent way for corporate accountants to start compiling data, but it should not be considered an absolute result. This is due to the fact that many consider EBITDA more of a broad stroke than a definitive form of accounting practice.

EBITDA Margin
EBIT Margin
NPM
Cash Flow

Why is the Cash Flow Analysis important?

A business needs cash to pay its expenses, to pay bank loans, to pay taxes and to purchase new assets. A cash flow report determines whether a business has enough cash to do exactly this.

Operating Activities
Financing Activities
Investing Activities
Financial Health

What Is Financial Health?

Financial health is a term used to describe the state of one's personal monetary affairs. There are many dimensions to financial health, including the amount of savings you have, how much you’re putting away for retirement, and how much of your income you are spending on fixed or non-discretionary expenses.

Debt to Equity
Piotroski Score
  • 0
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • 8
  • 9

What Is the Piotroski Score?

The Piotroski score is a discrete score between 0-9 that reflects nine criteria used to determine the strength of a firm's financial position.

Altman Z Score (Mfg Company)
  • Distress (< 1.81)
  • 2.86
    Caution (>1.81 < 2.99)
  • Safe (3 & above)
Altman Z Score (Non-Mfg Company)
  • Distress ( < 1.23)
  • Caution (>1.23 < 2.6)
  • 7.75
    Safe (2.6 & above)
Valuation

What Is Valuation?

Valuation is the analytical process of determining the current (or projected) worth of an asset or a company. There are many techniques used for doing a valuation. An analyst placing a value on a company looks at the business's management, the composition of its capital structure, the prospect of future earnings, and the market value of its assets, among other metrics.

What is the significance of Rollover data?

Rollover in an important data point and should be analyzed in the expiry week. Rollover involves carry forwarding of ‘futures’ positions from one series (which is nearing expiry date) to the next one.

Rollover percentage actually indicates whether the traders are willing to carry forward their existing. positions (long or short) to the next series or not. Generally, the rollover figures alone will not indicate which direction traders are betting on. You should also check whether absolute open interest is increasing or decreasing over expiries

What is Options Max Pain Theory?

Options Max Pain Theory suggests,

“On option expiration day, the underlying stock price often moves toward a point that brings maximum loss to option buyers.”

Ratio Analysis

The Bank was incorporated in the year 2004 by Rana Kapoor and Late Ashok Kapur, which is a new age private sector bank. And since the inception of the bank has fructified into a “Full-Service Commercial Bank,” it has steadily built Corporate and Institutional Banking, Financial Markets, Investment Banking, Corporate Finance, Branch Banking, Business and Transaction Banking, and Wealth Management business lines across the whole country.

It is well-equipped to offer a spectrum of products and services to all the corporate and retail customers.

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Bulk Deals
Symbol Name Deal Date Client Name Transcation Type Quantity Price
MOIL 2013-05-31 MFS INTERNATIONAL NEW DISCOVERY FUND P 863140.00 200.05
MOIL 2010-12-22 CROSSEAS CAPITAL SERVICES PRIVATE LIMITED S 908358.00 454.59
MOIL 2010-12-22 CROSSEAS CAPITAL SERVICES PRIVATE LIMITED P 908112.00 454.72
MOIL 2010-12-22 OPG SECURITIES P LTD S 911158.00 457.48
MOIL 2010-12-22 OPG SECURITIES P LTD P 911158.00 457.21
MOIL 2010-12-16 CROSSEAS CAPITAL SERVICES PRIVATE LIMITED S 1076207.00 465.58
MOIL 2010-12-16 CROSSEAS CAPITAL SERVICES PRIVATE LIMITED P 1076520.00 465.76
MOIL 2010-12-16 OPG SECURITIES P LTD S 962364.00 465.00
MOIL 2010-12-16 OPG SECURITIES P LTD P 962364.00 464.83
MOIL 2010-12-15 CROSSEAS CAPITAL SERVICES PRIVATE LIMITED S 1850031.00 525.23
MOIL 2010-12-15 CROSSEAS CAPITAL SERVICES PRIVATE LIMITED P 1849943.00 511.95
MOIL 2010-12-15 GENUINE STOCK BROKERS PVT. LTD. S 961925.00 517.26
MOIL 2010-12-15 GENUINE STOCK BROKERS PVT. LTD. P 961925.00 514.88
MOIL 2010-12-15 OPG SECURITIES P LTD S 3465386.00 510.65
MOIL 2010-12-15 OPG SECURITIES P LTD P 3463386.00 510.21
MOIL 2010-12-15 SMART EQUITY BROKERS PRIVATE LIMITED S 1932456.00 510.17
MOIL 2010-12-15 SMART EQUITY BROKERS PRIVATE LIMITED P 1932456.00 509.74
Block Deals
Symbol Name Deal Date Client Name Transcation Type Quantity Price
Dividend history
Ex Date Amount
2020-02-13 3.00
2019-08-22 3.00
2019-02-14 3.00
2018-09-12 2.50
2018-02-16 3.00
2017-09-07 6.00
2017-02-22 5.00
2016-09-07 2.00
2016-02-17 3.00
2015-08-20 3.50
2015-02-26 5.00
2014-08-21 3.50
2014-01-30 4.00
2013-08-14 3.50
2013-02-14 2.00
2012-07-18 3.00
2012-02-15 2.00
2011-09-14 4.50
2011-02-17 2.50
Bonus Data
Company Name Split Date From Value To Value
MOIL LTD. 2017-09-27 1.00 1.00
Split Data
Company Name Split Date From Value To Value