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Aricent Technologies (Holdings) Limited Unlisted Shares Logo

Aricent Technologies (Holdings) Limited Unlisted Shares

Industry: Technology | Sector: Services

Depository: NSDL, CDSL

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DRHP: not filed

Key Indicators

Key Indicators2022
Current Share Price0.00
Face Value | Share10.00
Book Value | Share199.20
Price To Earning (PE)37.40
Price | Sales3.40
Price | Book3.80
Outstanding Shares (Crores)13.10
Market Cap (Rs. Crores)9,785.70
Debt | Equity0.30
Dividend | Share0.00
Dividend % (On Current Market Price)0.0%
Return on Total Assets7.2%
Return on Equity9.2%
Return on Working Capital17.2%

* Ratio is calculated based on latest financial & current share price.

About The Company

Aricent Technologies Holdings Ltd. provides communication software for the communications industry. The Company offers middleware, consumer and enterprise applications, network management, service provisioning, and billing mediation. Aricent Technologies (Holdings) Limited is a subsidiary of Capgemini SE which acquired Altran Technologies SAS at a global level in the first half of the calendar year 2020. Pursuant to the said acquisition, all the Altran group companies, including the Company are now a part of the Capgemini group. The Company is now a step-down subsidiary of Capgemini

Pricing Trend

Financial Summary

Revenue Growth %

EBITDA Margin %

NET Margin %

Profit & Loss Summary

(All Amount in ₹ Crores)

PROFIT & LOSS20222021202020192018
Revenue2,857.72,610.02,546.92,337.32,245.2
Expense2,286.72,143.82,039.21,919.11,795.2
EBITDA571.0466.2507.7418.2450.0
Other Cost160.7179.3159.071.2123.3
Profit Before Taxes410.3286.9348.7347.0326.7
Tax Expense147.890.9-354.0142.4122.4
Profit after Taxes262.5196.0702.7204.6204.3
Other Income | Exp.0.060.5-64.92.40.9
Income (Net Of Taxes)262.5256.5637.8207.0205.2
Outstanding Share13.113.113.113.113.1
Earning per Share (Rs | Share)20.015.054.016.016.0
Revenue Growth %9.5%2.5%9%4.1%-
EBITDA Margin %20%17.9%19.9%17.9%20%
Net Margin %9.2%9.8%25%8.9%9.1%
Earning per Share Growth %33.3%-72.2%237.5%0%-

Balance Sheet

(All Amount in ₹ Crores)

Balance Sheet20222021202020192018
Cash & Cash Equivalent246.3139.0178.7111.348.2
Non Current Asset1,364.01,438.91,761.61,286.81,296.4
Current Asset2,031.31,934.41,473.61,141.01,077.5
Total Asset3,641.63,512.33,413.92,539.12,422.1
Equity Share Capital131.2131.2131.2131.2131.2
Reserves2,737.52,478.72,363.51,720.91,513.9
Total Equity2,868.72,609.92,494.71,852.11,645.1
Non Current Liability324.4390.5446.9414.1373.2
Current Liability448.5511.9472.3272.9403.8
Total Liabilities772.9902.4919.2687.0777.0
Total Equity & Liability3,641.63,512.33,413.92,539.12,422.1

Cash Flow Summary

(All Amount in ₹ Crores)

CASH FLOW SUMMARY20222021202020192018
Operating Activity514.3955.9152.3114.3189.0
Investing Activity-282.4-941.2-7.2-49.4-39.8
Financing Activity-85.0-105.2-75.3-1.8-158.3
Net Cash Flow146.9-90.569.863.1-9.1

Share Holding

SLTop Share Holders%
1Capgemini Technology Services India Ltd98.4%
2Ajay & Sons HUF0.0%
3Kredere Wealth Partner Pvt Ltd0.0%
4Dushyant Natwarlal Dalal0.0%
5Ajay Kumar0.0%
6Punit Kumar0.0%
7Arun Jain0.0%
8Ramanathan Mohan0.0%
9Darashana Ashok Shah0.0%
10All Others1.5%
Total100.0%

Registered Address

ISIN: INE272I01010

PAN: AACCK8280B

Electronic City Plot 31 Sector 18 Gurgaon,122012 India

Management

Mr. Krishna Chandra Reddy

chairman & managing director

Mr. Jitendra Grover

chief financial officer

Mr. Parveen Jain

company secretary

Download Financial Result

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Bangalore: Registered Office: 26, 1st Floor, 16th Cross Road, 18th Main Road, Phase 5, JP Nagar Bangalore - 560078, Karnataka.

Mumbai: Unit No. 305, 3rd Floor, Adani Inspire BKC, Bandra Kurla Complex, Bandra East, Mumbai - 400051+91 90712 43155

Gurugram: 91 Springboards, 2.35, 2nd Floor, Augusta Point, Golf Course Road, Parsvnath Exotica, DLF phase 5, Sector 53 Gurugram - 122002+91 99109 78350

Kolkata: Abacus By PS Group, Near City Center 2,
Office No 715, Kolkata, W.B+91 33 4809 2800

Dubai: Executive Tower, Business Bay, Dubai,
United Arab Emirates+971 56 3344662+971 502344662

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