COMPANY SNAPSHOT - TATA CONSULTANCY SERVICES LTD.
Market Cap. (Rs.) 815937.29 Cr. P/BV 9.12 Book Value (Rs.) 238.37
52 Week High/Low (Rs.) 2296/1785 FV/ML 1/1 P/E(X) 25.93
Bookclosure 18/10/2019 EPS (Rs.) 83.87 Div Yield (%) 1.38
Key Statistics
Market Cap. (Rs. Crore) 815937.29
EV (Rs. Crore) 803133.29
Latest no. of shares 3752384706
P/E (trailing) 25.18
Price/BV (x) 9.08
EPS 86.36
Latest CEPS (Rs.) 93.65
Div. yield 1.38
EV/TTM EBIDTA (x) 17.53
EV/TTM Sales (x) 5.27
MCap/TTM Sales (x) 5.35
Latest Book Value (Rs.) 238.37
Face value 1.00
Promoter Shareholding Pledge (%) 0.00
Share holding pattern as on 30/09/2019
Promoters (%) 72.04
Institutions (%) 23.72
Other Investors (%) 0.65
General Public (%) 3.56
Total No. of Shares 3752384706
Free Float % 26.00
Company Address
Registered Office Registered Office : 9th Floor, , Nirmal Building, Nariman Point,, Mumbai, Maharashtra - 400021
Phone 022-67789595, 67789191, 67789179
Fax 022-66303672
Website http://www.tcs.com
Email investor.relations@tcs.com

Price Returns
Period Return Period Return Period Return
1 Week 2.09 1 Month 6.73 3 Months -1.36
6 Months 3.77 1 Year 16.10 2 Years 60.75
3 Years 105.01 5 Years 66.85
Price Information
Latest Date 15-Nov-2019
Latest Price (Rs) 2174.45
Previous Close (Rs) 2196.80
1 Day Price Var% -1.02
52 Week High (Rs) 2296.20
52 Week Low (Rs) 1784.50
Beta 0.57
Price Vs. Sensex Chart
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Financial Highlights (Standalone)
Description201903(12)201803(12)201703(12)201703(12)201703(12)
Equity Paid Up375.00191.00197.00197.00195.87
Reserve78523.0075675.0077825.0064816.0045220.57
Total Debt33.00220.00244.00163.00250.27
Gross Block21864.0020338.0018698.009080.0014095.04
Net Sales123170.0097356.0092693.0085864.0073578.06
PBIDT42591.0033608.0031657.0030811.0025494.93
PAT30065.0025241.0023653.0023075.0019256.96
Dividend %3000.005000.004700.004350.007900.00
Adj. EPS (Rs)80.12131.86120.04117.1198.31
Adj. Book Value (Rs)210.26396.31395.96329.94231.87
Quarter on Quarter (Standalone)
Description201909201906Q On Q Var%201809Y On Y Var%
Net Sales32387.0032657.00-0.8230792.005.17
Total Expenditure23393.0022996.001.7221810.007.25
PBIDT (Excl OI)8994.009661.00-6.908982.000.13
PAT8636.008714.00-0.897620.0013.33
PBIDTM % (Excl OI)27.7729.58-6.1129.16-4.76
PBIDTM %35.9136.33-1.1534.773.27
PATM %26.6626.68-0.0724.747.76
Adj. EPS (Rs)23.0323.24-0.8920.3213.33
Growth
1 Yr Dividend Growth (%) -40.00
1 Yr Sales Growth % 26.51
1 Yr EBITDA Growth (%) 26.72
1 Yr Net Profit Growth 19.11
3 Yr CAGR Profit (%) 9.22
3 Yr CAGR Sales (%) 12.78
Q on Q EBITDA Growth (%) -6.90
Q on Q Sales Growth (%) -0.82
Q on Q Net Profit Growth (%) -0.89
Quarterly Sales Growth (YoY) % 5.17
Quarterly EBITDA Growth (YoY)% 0.13
Qtry Net Profit Growth (YoY) % 13.33
Solvency & Liquidity
Current Ratio (x) 2.85
Debt to Equity Ratio (x) 0.00
Interest Coverage(x) 250.54
Margins
Operating Profit Margin (%) 28.38
Gross Profit Margin (%) 26.99
Net Profit Margin (%) 24.40
Cash Profit Margin (%) 24.29
Return Ratios
Return on Assets (%) 38.09
Return on Capital Employed (%) 51.78
Return on Equity (%) 38.10
Valuation
Dividend Payout (%) 33.54
EV to EBITDA (x) 20.33
EV to Sales (x) 5.48
Market Cap to Sales (x) 5.57
PEG (x) 25.93
Market
% Advanced from 3 Year Low 111.66
% Advanced from 52 Week Low 21.85
% Fall from 3 Year High -5.29
% Fall from 52 Week High -5.30
1 Week Price performance (%) 2.09
1 Month Price performance (%) 6.73
3 Months Price performance (%) -1.36
6 Months Price performance (%) 3.77
1 Year Price performance (%) 16.10
3 Years Price performance (%) 105.01
Avg Daily Trd Turnover (Rs Cr) 578.04
Avg Trd Volumes 3102635
Latest Closing Price (BSE) 2174.80
Latest Closing Price (NSE) 2174.45
Company News
Latest Events
Mutual Fund Holding
Holding DateScheme NameAUM Size
(Rs. Crore)
Value
(Rs. Crore)
%age
31/10/2019SBI ETF Nifty 50 (G) 62681.373053.624.87
31/10/2019Axis LongTermEquity (G) 21492.331486.206.92
31/10/2019SBI ETFSensex (G) 20728.991194.825.76
31/10/2019Kotak StanMulticaRP (G) 28348.01998.653.52
31/10/2019HDFC Equity RP (G) 23440.76798.583.41
Other Information
BSE Code 532540
NSE Code TCSEQ
Market Lot 1
Industry Type IT Consulting & Software
Average Price 1882.84
Bonus in Equity Capital 92.56
Long Term Debt Equity Ratio 0.00
Average Volume 3102635
Interest Coverage Ratio 250.54
Trading in F & O Y
Deliverable Volumes 31556256
Net Worth 89446.24
Peer Group Comparison (Standalone)
Company NameYear EndNet Sales
(Rs. Crore)
PBIDT
(Rs. Crore)
PAT
(Rs. Crore)
EPS
(Rs.)
PBIDTM
(%)
PATM
(%)
ROCE
(%)
ROE
(%)
Infosys20190373107.0021526.0014702.0033.7525.5420.1131.7723.44
Wipro20190348123.8011329.707614.0012.6218.2015.8219.0815.41
Tech Mahindr20190327219.606129.104380.4044.5518.9816.0924.9921.21
HCLTechnolog20190326012.0011223.008185.0060.3540.0531.4632.6426.88
LT Infotech2019038907.202052.101475.1085.0219.3416.5641.6631.29
Bulk Deals
Deal DateDeal TypeClient NameQuantity
(Nos.)
Trade Price
(Rs.)
Value
(Rs. Crore)
13/03/2018STATA SONS LTD106696442872.193064.52
13/03/2018STATA SONS LIMITED205993562876.465925.32
06/05/2009STATA LIMITED10321324615.04634.80
31/10/2007STATA SONS LIMITED82514951020.08841.72
31/10/2007BHSBC GLOBAL INVESTMENT FUNDS A/C HSBC GLOBAL INVESTMENT FUND50747181020.00517.62
Block Deals
Deal DateDeal TypeClient NameQuantity
(Nos.)
Trade Price
(Rs.)
Value
(Rs. Crore)
27/08/2019BINVESCO DEVELOPING MARKETS SRI EQUITY FUND973932276.3022.17
27/08/2019BINVESCO DEVELOPING MARKETS EQUITY FUND524572276.3011.94
27/08/2019SOPPENHEIMER DEVELOPING MARKETS EQUITY UCITS FUND524572276.3011.94
27/08/2019SOPPENHEIMER DEVELOPING MARKETS EQUITY SRI UCITS FUND973932276.3022.17
01/04/2019BJANUS HENDERSON EMERGING MARKETS FUND965072005.0019.35
Best/Worst Return Best Return Worst Return
  Period Return (%) Period Return (%)
Month 01/07/2009 to 31/07/2009 35.86 01/04/2005 to 29/04/2005 -21.06
3 Month Jul - Sep 2009 60.42 Jul - Sep 2006 -41.32
1 Year Jan - Dec 2013 71.43 Jan - Dec 2008 -55.62
Disclaimer : The informabon contained in this report has been obtained from sources considered to be authentic and reliable. However, we will not be responsible for any error or inaccuracy or for any losses suffered on account of information contained in. Mutual Funds and securities investments are subject to market risks and there is no assurance or guarantee that the objective of the Scheme will be achieved. Past performance of the Sponsor/AMC/Fund or that of any scheme of the Fund does not indicate the future performance of the Schemes of the Fund. Please read the Key Information Memorandum and Offer Document carefully before investing.