Jagran Prakashan Ltd.

Jagran Prakashan Ltd.

JAGRAN

Jagran Prakashan Ltd.

Jagran Prakashan Ltd.

JAGRAN

Jagran Prakashan Ltd. Share Price

61.30 -0.38 (-0.62%)
Jagran Prakashan is engaged primarily in printing and publication of newspapers and magazines in India. The other activities of the Company comprise outdoor advertising business.
61.20Today's Low
62.02Today's High
59.5052W Low
78.9052W High

Fundamentals

Market Cap

₹1,348Cr

EPS

₹9.05

Book Value/Share

₹95.41

P/E Ratio (TTM)

7.11

Industry P/E (TTM)

8.53

P/B Ratio

0.66

Long Term D/E

0.05

ROE

9.94%

Dividend Yield (TTM)

16.10%

Sector P/E Ratio (TTM)

19.38

Sector P/B Ratio

1.83

Analysis

Overview

Key stock indicators that show how well a company is doing, making it easier to understand its true value and performance.

Huge Underperformer

Highly Undervalued

Excellent Quality

Low Price Fluctuation

Peer Comparison

Peer comparison lists companies from the same sector, scored and ranked based on Crisp Analysis. It helps understand how a company stands against its competitors.

Stock Name
Momentum
Value
Quality
Low Volatility
Sentiment
Disclosure and Disclaimer

Shareholding Pattern

Shareholding pattern shows how a company’s shares (ownership) are distributed among different shareholding entities like promoters, Foreign Institutional Investors (FIIs), Domestic Institutional Investors (DIIs), and retail investors, among others. Changes in the shareholding pattern can indicate the performance outlook of a stock.

FAQs on Jagran Prakashan Ltd.

The share price of Jagran Prakashan Ltd. is ₹61.30 on NSE as of 29/8/2026, 12:02:30 am. Share prices may change frequently due to market movements.

The market capitalisation of Jagran Prakashan Ltd. is ₹1,348Cr as of 29/8/2026, 12:02:30 am

The current Price to Earnings (P/E) ratio of Jagran Prakashan Ltd. is 7.12 as of 29/8/2026, 12:02:30 am

The Price to Book (P/B) ratio of Jagran Prakashan Ltd. stands at 0.67 as of 29/8/2026, 12:02:30 am

Jagran Prakashan Ltd. reported an ROE of 9.94% for the last reported financial year on a consolidated account basis.

As of 29/8/2026, 12:02:30 am, Jagran Prakashan Ltd.’s shareholding pattern is: promoters hold 69.00%, FIIs hold 2.30%, DIIs hold 0.10%, and public shareholders hold 24.40%.

The 52-week high of Jagran Prakashan Ltd. is ₹62.02 and the 52-week low is ₹61.20 as of 29/8/2026, 12:02:30 am.

The earnings per share (EPS) of Jagran Prakashan Ltd. is ₹2.70 for the quarter ended Jun 2026.

The stock symbol of Jagran Prakashan Ltd. is JAGRAN.

You can buy Jagran Prakashan Ltd. shares by opening a demat and trading account with Share.Market and placing a buy order on NSE or BSE during market hours.

The fair value of Jagran Prakashan Ltd. depends on factors such as earnings growth, financial performance, and overall market conditions. Investors should assess fundamentals before making investment decisions.

Earnings Per Share

Earnings per share (EPS) measures the profit earned by a company for each of its outstanding shares. Generally, the higher a company’s EPS is, the more profitable it is considered to be.

Income Statement

Also called a profit and loss statement, an income statement shows a company’s income, expenses, and how much profit or loss it has made over a specific accounting period. It provides a clear view of how well the business is running.

Particulars (in Cr)Jun 2026Q/Q Change
Operating Revenue499.35+5.77%
Other Income31.71+136.82%
Total Income531.06+9.39%
Total Expenditure423.73-0.13%
EBIDT101.74+66.21%
Depreciation17.42-29.93%
Interest3.33-15.05%
Tax19.79-24.47%
Net Profit58.84+246.53%

Balance Sheet

A balance sheet is a financial statement that details a company’s assets, liabilities, and shareholders’ equity at a given time. It helps assess how financially strong and stable the company is.

Particulars (in Cr)Mar 2026
Total Current Assets1,526.13
Total Non-Current Assets1,183.02
Fixed assets432.34
Total Assets2,709.16
Total Current liabilities428.27
Total Non Current Liabilities149.80
Total Equity Plus Liabilities2,709.16
Total Shareholder Funds2,006.07
Total Debt to Equity2.00%

Cash Flow

Cash flow highlights the cash or cash equivalents moving in and out of a company during a particular period. It provides a clear picture of how well a company manages its cash by tracking its operating, investing and financing activities.

Particulars (in Cr)Mar 2026
Cash from Operating Activity268.55
Cash from Financing Activities-236.15
Cash from Investing Activities-37.51
Net Cash Flow-5.10

Time Period: Daily

SMA/EMA (Moving Average) Analysis

Bullish Moving Averages3

Bearish Moving Averages13

5 Day

61.80

10 Day

61.80

20 Day

62.50

30 Day

62.60

50 Day

63.40

100 Day

65.40

150 Day

64.90

200 Day

66.20

Indicators

RSI (14)

39.08

MACD (12, 26)

-0.51

MACD Signal Line (9)

-0.49

MFI (14)

42.02

ATR (14)

0.98

ADX (14)

9.46

ROC (21)

-1.39

ROC (125)

-2.30

Pivot Analysis

Pivot analysis uses a special price point, called the pivot point, to show the overall market trend during different periods. This pivot point is the average of the previous day’s high, low, and closing prices of a specific asset.

TypeR1R2R3PPS1S2S3
Classic62.0962.4962.8061.7861.3861.0760.67

Note: Support and Resistance level for the day, calculated based on price range of the previous trading day.

Volume Analysis

Volume analysis tracks how many shares were traded for a specific period. Total traded volume represents the overall number of shares traded, while combined delivery volume indicates only those shares which are delivered (transferred for ownership). Delivered shares indicate long-term investor interest.

Time Period: Daily

SMA/EMA (Moving Average) Analysis

Bullish Moving Averages3

Bearish Moving Averages13

5 Day

61.80

10 Day

61.80

20 Day

62.50

30 Day

62.60

50 Day

63.40

100 Day

65.40

150 Day

64.90

200 Day

66.20

Indicators

RSI (14)

39.08

MACD (12, 26)

-0.51

MACD Signal Line (9)

-0.49

MFI (14)

42.02

ATR (14)

0.98

ADX (14)

9.46

ROC (21)

-1.39

ROC (125)

-2.30

Pivot Analysis

Pivot analysis uses a special price point, called the pivot point, to show the overall market trend during different periods. This pivot point is the average of the previous day’s high, low, and closing prices of a specific asset.

TypeR1R2R3PPS1S2S3
Classic62.0962.4962.8061.7861.3861.0760.67

Note: Support and Resistance level for the day, calculated based on price range of the previous trading day.

Volume Analysis

Volume analysis tracks how many shares were traded for a specific period. Total traded volume represents the overall number of shares traded, while combined delivery volume indicates only those shares which are delivered (transferred for ownership). Delivered shares indicate long-term investor interest.

Jagran Prakashan Ltd.

Jagran Prakashan Ltd.

JAGRAN

Open Price

61.80

Prev Close

61.68

Upper Circuit

74.01

Lower Circuit

49.35

Volume

1,32,770

Average Traded Price

61.51
61.20Today's Low
62.02Today's High
59.5052W Low
78.9052W High

Historical Performance

1 DayNA
5 DaysNA
1 MonthNA
3 MonthsNA
1 YearNA
5 YearsNA
10 YearsNA
Trademarks owned by their respective owners are shown here only for ease of recall of the respective owner by public.