CIN- L67120MH1995PLC084899

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Ashoka Buildcon Ltd.

NSE : ASHOKAEQ BSE : 533271 ISIN CODE : INE442H01029Industry : Construction, Contracting & Engineering
114.27-1.50
(-1.30%)

16 Mar 2026

Open (Rs.) 116.64
Prev. close (Rs.) 115.92
Bid Price(Qty.) 0.00(0)
Offer Pr.(Qty.) 0.00(0)
Volume (Rs.) 1475774.00
Today's High / Low
116.64112.20
52 Week High / Low
230.80112.20

Company Info

Management
  • Mr. Ashok KatariyaExecutive Chairman
  • Mr. Satish ParakhManaging Director
  • Mr. Sanjay LondheWhole Time Director
  • Mr. Ashish KatariaWhole Time Director
  • Mr. Mahendra MehtaIndependent Director
Incorporation Year

13/05/1993

Registered Address


Nasik, Maharashtra - 422011
Tel: Tel: 0253-6633705
Fax: Fax: 0253-2236704
Email : investors@ashokabuildcon.com
Website : http://www.ashokabuildcon.com

Registrar Office

MUFG Intime India Pvt. Ltd.
C 101, 247 Park, L.B.S. Marg, Vikhroli (West)
Mumbai - 400083Tel: 022-49186270
Fax: 49186060

Listing

BSE , MCXSX , NSE

Financials

Owners Fund (₹ Cr.)

Net Block (₹ Cr.)

Curr. Assets (₹ Cr.)

Investments (₹ Cr.)

Note: Values are based on Consolidated Data

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Peer Comparison

Company NamePrice
( ₹ )
Book
Value
( ₹ )
EPS
( ₹ )
Market Cap.
(₹ Cr.)
P/E (x)Year EndSales
(₹ Cr.)
PAT
(₹ Cr.)
+ AB Infrabuild Ltd. 17.012.560.251,086.5867.42202503208.1716.12
+ Abhishek Infraventures L... 8.237.270.004.160.002025030.00-0.21
+ Adhbhut Infrastructure L... 12.78-7.560.0014.060.002025030.83-0.64
+ Afcons Infrastructure Lt... 278.50149.1613.2410,242.8021.0420250312,548.42486.81
+ AGI Infra Ltd. 303.7529.715.463,710.8355.66202503324.8766.66

MF Holding

Scheme NameScheme TypeHolding DateValue ( ₹ Cr)Holding (%)
HDFC Balanced Advantage Fund - Regular ...Open Ended 28/02/2026192.870.18
Kotak Multicap Fund Open Ended 28/02/2026133.600.56
SBI Infrastructure Fund Open Ended 28/02/202655.561.20
SBI Multi Asset Allocation Fund Open Ended 28/02/202640.050.24
Kotak Multi Asset Allocation Fund Open Ended 28/02/202632.530.25

Individual Holding

Announcements

Date of MeetingPurpose
30/01/2026Quarterly Results
14/11/2025Quarterly Results
11/08/2025Quarterly Results & Fund Raising
23/05/2025Audited Results
10/02/2025Quarterly Results
AnnouncementPurposeDateFrom DateTo DateRemarks
04/02/2026POM 10/03/2026   
10/09/2025AGM 29/09/2025   
28/05/2025POM 28/06/2025   
27/02/2025POM 01/04/2025   
16/09/2024AGM 27/09/202421/09/202427/09/2024A.G.M.
Year - MonthDividend (%)
2018 - 0316.00
2017 - 0332.00
2016 - 0330.00
2015 - 0328.00
2014 - 0330.00
No Data Available
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Commodity

Gold1552970.58%
Silver2522963.09%
Copper1181.5189.73%
Crude Oil863934.71%
Lead195.6545.57%
Mentha Oil1070.10.25%
Nickel1618.9111.10%

Currency

USD/INR 92.40(-0.04 %)
GBP/INR 122.37(-0.67 %)
EUR/INR 105.59(-0.67 %)
JPY/INR 0.58(0.00 %)
CAD/INR 66.93(0.00 %)
HKD/INR 11.80(0.00 %)