Zero Promoter Holding

Companies with 0 promoter holding

by Ronak

182 results found: Showing page 1 of 8
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S.No. Name CMP Rs. P/E Mar Cap Rs.Cr. Div Yld % NP Qtr Rs.Cr. Qtr Profit Var % Sales Qtr Rs.Cr. Qtr Sales Var % ROCE % Prom. Hold. %
1. Noble Polymers 1.781.150.000.03-91.180.00103.910.00
2. Bridge Securitie 14.3180.6255.630.000.33-54.790.42-44.0090.260.00
3. Ontic Finserve 1.3816.1312.420.000.01-97.060.00-100.0068.440.00
4. Cams Services 660.9036.9016389.301.88121.983.53366.975.5954.750.00
5. Indian Energy Ex 119.4223.0610648.592.51115.0911.58143.909.5953.610.00
6. Aayush Wellness 30.5233.01148.550.081.03-5.5044.5173.6651.020.00
7. BSE 2851.4053.24116137.260.21596.59175.791244.1061.9746.570.00
8. Multi Comm. Exc. 2443.0066.4762294.510.25401.12150.64665.62120.8642.860.00
9. ITC 292.8517.79366925.484.905018.459.6220047.306.6936.790.00
10. GACM Tech-DVR 0.422.437.970.001.03-29.453.509.7232.550.00
11. Franklin Indust. 0.3829.310.00-7.76-335.870.52-98.2728.090.00
12. Indegene 472.6025.9211380.310.42102.90-6.20942.1030.7724.800.00
13. CARE Ratings 1496.1027.934495.331.2036.5429.14112.1216.3324.550.00
14. Padam Cotton 1.854.5840.607.032.33-54.3118.181537.8424.230.00
15. Guj. Toolroom 0.513.9471.010.007.10407.140.00-100.0023.960.00
S.No. Name CMP Rs. P/E Mar Cap Rs.Cr. Div Yld % NP Qtr Rs.Cr. Qtr Profit Var % Sales Qtr Rs.Cr. Qtr Sales Var % ROCE % Prom. Hold. %
16. UTI AMC 941.1516.9512095.662.76123.6845.33423.1228.5623.720.00
17. CMS Info Systems 281.3014.044631.252.3157.40-29.91618.226.3223.670.00
18. N S D L 861.5546.2017231.000.2389.674.44359.63-0.8123.570.00
19. Vaishno Cement 3.693.300.00-0.03-50.000.0023.080.00
20. Press. Senstive 1.0415.430.00-0.01-100.810.00-100.0022.670.00
21. Prime Securities 276.4534.52937.170.542.10-74.3930.1942.5422.620.00
22. Spright Agro 0.4750.362.13-10.35-245.984.56-91.7021.230.00
23. Karnawati Innovation 1.452.097.830.001.8518600.0071.4720.720.00
24. Coforge 1213.4032.4140747.301.25296.7055.544188.1028.5420.340.00
25. Interactive Fin 13.845.139.590.000.4528.571.5520.1619.690.00

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Market capitalization > 500 AND Price to earning < 15 AND Return on capital employed > 22%