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Onward Technologies Ltd.
BSE CODE: 517536   |   NSE CODE: ONWARDTEC   |   ISIN CODE : INE229A01017   |   22-Jan-2025 Hrs IST
BSE NSE
Rs. 301.05
-27.5 ( -8.37% )
 
Prev Close ( Rs.)
328.55
Open ( Rs.)
325.70
 
High ( Rs.)
325.70
Low ( Rs.)
294.10
 
Volume
27654
Week Avg.Volume
14387
 
52 WK High-Low Range(Rs.)
BSE NSE
Rs. 300.20
-27.7 ( -8.45% )
 
Prev Close ( Rs.)
327.90
Open ( Rs.)
326.55
 
High ( Rs.)
326.55
Low ( Rs.)
294.15
 
Volume
216373
Week Avg.Volume
281860
 
52 WK High-Low Range(Rs.)
291.15
620.1
1D   | 1M   | 3M   | 1Y  | 3Y  | 5Y
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F&O Quote of ONWARDTEC
Instrument Type Expiry Date Option Type Strike Price
  QUOTES  
Rs.     ()
Open (Rs.)
Prev Close (Rs.)
High (Rs.)
Low (Rs.)
Average Price Rs.
Contracts Traded
Turnover (Rs.Lakhs)
Open Interest 
Open Int. Chg 
Open Int. Chg(%)
Competitors
Company NameLast Price (Rs.)Chg (Rs./%)Sales TurnOverVolume
TCS4154.00119.65(2.97)198.2962430.00
LTIMindtree5848.0592.00(1.60)640.385247.00
Sasken Technologies2060.6581.50(4.12)506.56894.00
Infosys1856.6056.80(3.16)193.40142272.00
Tech Mahindra1683.5043.25(2.64)234.1023494.00
More>
KEY PERSONNEL & ADDRESS
Chairman
Harish Mehta
Managing Director
Jigar Mehta
Registered Office :
Sterling Centre,2nd Floor, Dr A B Road,Worli, Mumbai,
Maharashtra-400018 .
Phone :
022-24926570  
E-mail :
info@onwardgroup.com
URL
www.onwardgroup.com
 
News On ONWARDTEC
22/01/2025
Onward Technologies informs ab...
15/01/2025
Onward Technologies informs ab...
23/12/2024
Onward Technologies submits in...
17/12/2024
Onward Technologies informs ab...
24/10/2024
Onward Technologies informs ab...
More >
Financials
QUARTERLY (Dec 24)
Net Profit( Rs . In Cr) 62.4999999999999
Gross Profit( Rs . In Cr) 85.3299999999999
Operating Profit( Rs . In Cr) 125.97
Net Sales( Rs .In Cr) 964.98
More>
MF Holding Details
Scheme NameMkt value (In Cr.)
ICICI Pru Technology Fund(G)13.96
WOC Flexi Cap Fund-Reg(G)7.10
WOC Mid Cap Fund-Reg(G)4.32
WOC Multi Cap Fund-Reg(G)1.79
WOC Balanced Advantage Fund-Reg(G)0.88
WOC Multi Asset Allocation Fund-Reg(G)0.42
WOC ELSS Tax Saver Fund-Reg(G)0.32
More>