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News

17 Jun 26
JLR plans double digit revenue growth with refocus on North America market
JLR today announced plans to unlock double digit revenue growth by giving markets and customers more choice through greater propulsion flexibility on its Range Rover and Defender models and refocusing its strategic intent on the North America market.
17 Jun 26
Tata Motors Passenger Vehicles Ltd leads losers in 'A' group
Man Infraconstruction Ltd, Cyient Ltd, Aarti Industries Ltd and Colgate-Palmolive (India) Ltd are among the other losers in the BSE's 'A' group today, 17 June 2026.
12 Jun 26
Tata Motors Passenger Vehicles to hike prices by up to 1.5% from July 1 2026
The company said the price revision has been necessitated due to rising input costs and continued inflationary pressures.
12 Jun 26
TMPV to hike price of PVs from 01 July
Tata Motors Passenger Vehicles announced that it will increase prices of its passenger vehicle portfolio, including both internal combustion engine (ICE) and electric vehicles (EV), by up to 1.

Historical Prices

Share Price Chart

Historical Share Price

Date Open Price (₹) High Price(₹) Low Price(₹) Close Price(₹) Total Volume No of Trades Net Turnover(₹) NIFTY
22-06-26 362.00 370.50 360.00 361.50 15447905 155558 5646291732.20 24102.90
19-06-26 363.75 363.75 356.50 359.50 11928855 128867 4279923420.40 24013.10
18-06-26 363.90 366.25 359.15 364.65 22656468 200435 8225817653.05 24168.00
17-06-26 395.50 395.60 355.00 360.95 51987488 468983 19060545034.05 24085.70
16-06-26 398.30 398.65 387.55 393.60 6432360 71477 2525129264.60 23989.15
15-06-26 398.20 407.80 395.25 396.40 11097635 106453 4451818463.20 23853.90
12-06-26 380.25 392.95 379.00 390.00 7787586 91780 3001568603.20 23622.90
11-06-26 375.00 378.40 372.35 375.90 6508792 70920 2447952159.25 23161.60
10-06-26 388.00 388.80 380.00 381.00 7251442 67197 2784277494.95 23214.95
09-06-26 393.95 395.45 386.80 387.80 8550946 87064 3328068035.45 23242.10

Fundamentals

Company Valuation

Market Cap (₹cr)

PE Ratio

PB Ratio

Dividend Yield

ROE

ROCE

Book Value (₹)

Face Value (₹)

Share Holding Pattern

Category of Shareholder No of Shares % Share Holdings Demat Shares Share Holders
plus  Promoter & Group
plus  Foreign
Foreign (Promoter & Group) - Bodies Corporate
Foreign (Promoter & Group)-Individuals (Non-Resident / Foreign)
Foreign Promoter(Institutional)
Promoter Others
Sub Total
plus  Indian
Bodies Corporate-Indian (Promoter & Group)
Government(Central / State)-Indian (Promoter & Group)
Directors & their Relatives-Indian (Promoter & Group)
Financial Institutions / Banks-Indian (Promoter & Group)
Individuals / Hindu Undivided Family-Indian (Promoter & Group)
Partnership Firms-Indian (Promoter & Group)
Persons Acting in Concert
Trusts
Others
Sub Total
Total ShareHolding for Promoter & Group
plus   Publice Share Holding
plus  Institution
Government(Central / State)
Clearing Members
Corporate Bodies
Foreign Direct Investments
Financial Institutions / Banks
Foreign Bank
Foreign Bodies Corporate/OCBs/FBC
Foreign Collaborators
Foreign Institutional Investors
Foreign Venture Capital Investors
Foreign Institution Other
Insurance Companies
Mutual Funds / UTI
Individuals (Non-Resident / Foreign)
NSDL Intransit
Others
Trusts
Venture Capital Funds
Sub total
plus  Non Institution
Bodies Corporate
Clearing Members
Directors & their Relatives
Employees
Escrow Account
Foreign Corporate Bodies
Foreign Direct Investments
NRIs/Foreign Individuals/Foreign Nationals
Foreign Non Institution Other
Hindu Undivided Families
Indian Public
Individuals holding nominal share capital in excess of Rs. 1 lakh
Individuals holding nominal share capital up to Rs. 1 lakh
Market Maker
NSDL Transit
Shares in transit
Societies
Trust & Foundation
Others
Sub Total
Total Public Shareholding
Total of Promoter & Public ShareHolding
plus  Shares held by Custodians and against which Depository Receipts have been issued
ADR
GDR
Other Custodians
Total Shares held by Custodians and against which Depository Receipts have been issued
Grand Total

Financials (₹ in cr)

Balance Sheet (₹ in cr)

Particulars (Sources Of Funds)Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Share Capital 737.00736.00767.00766.02765.88765.81
Reserves Total 24223.0032490.0029374.0021701.3719171.8818290.16
Equity Share Warrants0.000.000.000.000.000.00
Equity Application Money0.000.002.002.466.390.00
Total Shareholders Funds24960.0033226.0030143.0022469.8519944.1519055.97
Secured Loans 281.001954.0065.001046.134002.536027.08
Unsecured Loans 2592.008461.0014125.0018232.5619526.5416411.85
Total Debt2873.0010415.0014190.0019278.6923529.0722438.93
Other Liabilities841.004033.003033.002695.272448.612565.13
Total Liabilities28674.0047674.0047366.0044443.8145921.8344060.03
APPLICATION OF FUNDS :
Gross Block 40036.0065332.0031352.0029658.3130438.9955235.27
Less : Accumulated Depreciation 24690.0039718.0017007.0015115.9916363.2328812.17
Less:Impairment of Assets0.000.000.000.000.000.00
Net Block 15346.0025614.0014345.0014542.3214075.7626423.10
Lease Adjustment0.000.000.000.000.000.00
Capital Work in Progress1385.003619.001234.001084.951467.243006.46
Producing Properties0.000.000.000.000.000.00
Investments 13917.0024892.0032309.0032324.5834399.4717693.17
Current Assets, Loans & Advances
Inventories 3261.005735.003470.003027.903718.494551.71
Sundry Debtors 454.002394.002765.002307.722111.782087.51
Cash and Bank Balance4466.004292.005151.001414.652605.434318.94
Loans and Advances 1672.005652.001828.001606.722040.833318.17
Total Current Assets9853.0018073.0013214.008356.9910476.5314276.33
Less : Current Liabilities and Provisions
Current Liabilities 12793.0026333.0017460.0016813.2517146.5919651.75
Provisions 401.002493.001208.00462.55657.731081.38
Total Current Liabilities & Provisions13194.0028826.0018668.0017275.8017804.3220733.13
Net Current Assets-3341.00-10753.00-5454.00-8918.81-7327.79-6456.80
Miscellaneous Expenses not written off 0.000.000.000.000.000.00
Deferred Tax Assets427.002664.005535.005200.072991.675061.39
Deferred Tax Liability1870.003846.004026.003773.973165.395327.89
Net Deferred Tax-1443.00-1182.001509.001426.10-173.72-266.50
Other Assets2810.005484.003423.003984.673480.873660.60
Total Assets28674.0047674.0047366.0044443.8145921.8344060.03
Contingent Liabilities895.002110.001795.003143.473504.353669.37

Cash Flow (₹ in cr)

Yearly Cash FlowMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Financing Activities -515.84-7,021.32-7,930.00-4,883.00-4,071.00
Investing Activities -4,681.40917.091,492.00-10,731.001,391.00
Net Cash Flow 84.69-1,328.802,224.00-2,036.00311.00
Operating Activities 5,281.934,775.438,662.0013,578.002,991.00

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