Search & Analyze

Popular Searches

Intellect Design Arena Ltd.

ITIT - Software
₹659.25BSE0.54%

16 Sep, 4:01 PM

₹659.25
₹9.25K Cr
26.21
2.94
11.99%
₹666.30
₹648.65
₹1,244.90
₹594.65

Customise metrics bar

Price Performance

Peer Comparison

Name
TCS LTD.

TCS

2,191.5015.927,92,903.885.0213,420.004.69%72,275.0013.93%66.25
INFOSYS LTD

INFY

1,060.6514.214,30,436.434.537,775.0012.29%48,211.0014.03%42.84
HCL TECHNO

HCLTECH

1,251.1519.493,39,520.214.324,626.0020.34%34,579.0013.94%31.20
WIPRO LTD.

WIPRO

166.7012.491,65,110.016.603,356.300.59%24,478.6010.59%18.49
TECH MAH

TECHM

1,555.1529.681,52,429.443.281,486.3031.67%15,711.9017.68%23.04
LTM

LTM

4,240.0024.051,25,767.441.771,468.6017.06%11,608.0017.96%30.25
ORACLE FIN

OFSS

11,523.0029.401,00,345.893.471,415.50120.52%3,125.2068.73%45.50
Intellect Design Arena Ltd.

INTELLECT

659.2526.219,250.901.06101.828.68%845.1720.45%15.78

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
606.34558.13609.63725.91701.69758.09731.38847.02845.17
Expenses485.63477.15490.87521.68558.34604.61631.13663.65678.97
120.7180.98118.76204.22143.34153.48100.26183.37166.20
19.91%14.51%19.48%28.13%20.43%20.25%13.71%21.65%19.66%
16.5528.5415.1722.6432.6830.84-9.2437.4628.07
Interest1.011.161.020.991.391.351.442.131.24
36.5338.8039.6441.4448.1448.8253.2258.7257.60
98.0869.7793.72182.15125.24135.7636.97162.10135.16
23.79%24.79%24.46%25.11%25.19%24.92%25.84%25.83%24.66%
74.4652.8170.19135.3294.49102.2728.45120.23102.07
5.433.825.069.756.807.352.048.617.28

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
Operating Income1,878.192,231.252,506.442,500.003,038.18
Operating Income (Net)1,878.192,231.252,506.442,500.003,038.18
EXPENDITURE :
Power & Fuel Cost4.866.477.538.418.10
Employee Cost921.381,144.401,340.381,522.261,810.98
Cost of Software developments276.94376.42328.08185.87322.60
Operating Expenses10.3012.589.579.178.12
General and Administration Expenses104.12156.08160.83161.58201.00
Selling and Marketing Expenses40.7946.0760.8546.0460.32
Miscellaneous Expenses44.7650.7656.9632.6043.16
1,403.141,792.781,964.211,965.942,454.28
Operating Profit (Excl OI)475.05438.47542.24534.07583.90
40.5051.3458.9777.03122.58
515.55489.82601.21611.09706.48
Interest7.266.505.517.719.76
PBDT508.29483.31595.69603.39696.72
97.56121.51137.22156.41208.90
Profit Before Taxation & Exceptional Items410.73361.80458.47446.98487.82
Exceptional Income / Expenses-30.84
413.18363.35461.18443.71460.07
Provision for Tax62.7494.75138.48109.29116.81
350.44268.59322.71334.42343.25
Extra items0.000.00
Minority Interest-1.36-1.37-1.52-1.652.18
Consolidated Net Profit349.08267.23321.19332.77345.43
Profit Balance B/F528.88879.571,103.221,392.281,676.76
Appropriations877.961,146.801,424.401,725.052,022.19
Equity Dividend %50.00%50.00%70.00%140.00%140.00%
25.9419.6923.4723.9724.73
Adjusted EPS25.9419.6923.4723.9724.73

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
67.2867.8668.4169.4369.84
Share Warrants & Outstandings87.99113.21138.84102.31126.86
Total Reserves1,653.481,876.632,231.602,614.102,973.41
Reserve excluding Revaluation Reserve1,653.481,876.632,231.602,614.102,973.41
Revaluation reserve0.00
1,808.752,057.702,438.852,785.833,170.11
Minority Interest12.9010.9212.2931.0229.12
Deferred Tax Assets / Liabilities-58.91-32.4818.2715.8911.84
Other Long Term Liabilities7.9217.7433.7159.37159.13
Long Term Provisions379.86452.78
Total Non-Current Liabilities-51.00-14.7551.99455.12623.75
Trade Payables256.76268.67267.04211.23235.99
Other Current Liabilities423.51412.09452.26544.69671.79
Short Term Borrowings0.840.010.00
Short Term Provisions82.53119.59155.76218.79319.53
Total Current Liabilities763.64800.34875.07974.711,227.31
Total Liabilities2,534.282,854.223,378.204,246.695,050.29
Gross Block944.231,111.831,276.501,607.272,006.29
Less: Accumulated Depreciation511.16619.19721.82882.831,118.05
Net Block433.07492.64554.68724.43888.23
Capital Work in Progress4.344.590.981.8814.97
Non Current Investments167.29335.06337.47335.13274.20
Long Term Investment167.29335.06337.47335.13274.20
Long Term Loans & Advances92.44110.75140.09665.79872.47
Other Non Current Assets80.46142.03185.68209.58189.22
Total Non-Current Assets1,119.321,452.421,594.892,244.662,528.07
Currents Investments248.9430.32111.82203.29360.39
Sundry Debtors257.19415.75554.29448.53678.67
Cash and Bank158.7597.10204.32327.52491.02
Other Current Assets716.17821.87881.00962.66892.36
Short Term Loans and Advances33.9136.7631.8760.0399.79
Total Current Assets1,414.961,401.801,783.312,002.032,522.22
Net Current Assets (Including Current Investments)651.32601.46908.241,027.311,294.91
Total Assets2,534.282,854.223,378.204,246.695,050.29
Contingent Liabilities132.25104.00191.48116.0144.20
Total Debt0.840.000.010.000.00
127.89143.27168.10193.27217.88
Adjusted Book Value127.89143.27168.10193.27217.88

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
413.18363.35461.18443.71460.07
Adjustment149.31178.83180.68179.95298.51
Changes In working Capital-94.36-295.92-130.44-93.50-146.42
Cash Flow after changes in Working Capital468.13246.26511.43530.17612.15
Cash Flow from Operating Activities452.94174.39410.15431.36510.50
Cash Flow from Investing Activities-399.14-177.39-254.73-244.65-272.34
Cash Flow from Financing Activitie-52.10-49.54-49.03-63.31-113.22
Net Cash Inflow / Outflow1.69-52.54106.39123.41124.94
Opening Cash & Cash Equivalents144.74146.1893.89199.81323.90
Cash & Cash Equivalent on Amalgamation / Take over / Merger0.09
Effect of Foreign Exchange Fluctuations-0.250.24-0.470.603.61
Closing Cash & Cash Equivalent146.1893.89199.81323.90452.44

Ratios

Valuation

26.21
2.94
12.15
2.91
25.15
224.12

Profitability

11.99
15.78
7.38
19.22
11.30

Leverage & Liquidity

0.00
2.06
48.13

Returns

1.06
0.65

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
30.2630.0529.9529.9129.8729.8429.8129.7329.62
32.7633.5433.3133.0934.9934.7133.7132.6730.85
36.9836.4136.7437.0035.1335.4536.4937.6039.53
69.7469.9570.0570.0970.1370.1670.1970.2770.38
No. of Shareholders1,05,1761,05,7751,11,6491,12,1521,03,8301,04,1621,13,3731,14,6631,12,804

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-17Board Meeting Quarterly Results
2026-07-06AGM
2026-05-08Ex DividendRs.3.0000 per share(60%)Special Dividend2026-07-242026-07-24

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

ITIT - Software

Intellect Design Arena Ltd. operates in the IT sector under the IT - Software industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

IT - Software

Founded

2011

Headquarters

Chennai, Tamil Nadu

Group

Polaris

Chairman

Arun Jain

Managing Director

Arun Jain

Company Secretary

Prakash Bharadwaj

Face Value

₹5

CIN

L72900TN2011PLC080183

Key Management

8 members across the board and senior leadership

Prakash Bharadwaj

Company Secretary & Compliance Officer

Arun Jain

Chairman & Managing Director

Anil Kumar Verma

Whole Time Director

Abhay Anant Gupte

Non Executive Independent Director

Ambrish Pandey Jain

Non Executive Independent Director

D Shivakumar

Non Executive Independent Director

Vijaya Sampath

Non Executive Independent Director

Andrew England

Non Executive Director

INTELLECT Latest News

News

10 of 10 articles

INTELLECT

₹659.25

-0.54%