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REAL ESTATE

PRESENTED TO-
PROF.NATIKA PODDAR

PRESENTED BY
1} TANIA GHOSH - 2022015
2} NISHA KUMAWAT-2022037
3} KHUSHI SHARMA - 2022080
4} RUCHIKA GEHLOT -2022014
5} ANSHU YADAV -2022099
6} POOJA RAM -2022069
DLF LTD
Delhi Land & Finance (DLF Limited)

Founded :- 4 July 1946


Founder :- Ch. Raghvendra Singh
Key People :- Rajiv Singh (Chairman)
Headquarters :- DLF Gateway Tower, Phase 2, Gurugram, Haryana, India
Revenue:- ₹6,012 crore (US$750 million) (2022-23)
Net Income :- ₹2,053 crore (US$260 million) (2022-23)
Total Assets :- ₹54,809.64 crore (US$6.9 billion) (2021-22)
Number of employees :-1,608 (excluding hotel business)
Competitors :- Macrotech Developers ltd.
DLF Stock Price :- 800.55 (per share)
Godrej Properties Limited

Type :- Public Company

Founded :- 1 January 1990


Founder:- Adi Godrej
Headquarters:- Mumbai, India
Revenue:- ₹3,039 crore
Net Income:- ₹571 crore
Total Assets:- ₹17,803 crore
Number of employees:- 2000+ (as of 2019)
competitors :- CoWrks, Smartworks and Emaar India
Stock Price:- 2273
PRESTIGE GROUP

Type :- Public Company

Founded :- 1986
Founder:- Razack Sattar
Headquarters:- Bangalore,Karnataka, India
Revenue:- 1.2 billion
Net Income:- ₹571 crore
Total Assets:- 5.5 Billion
Number of employees:- 3000+ (as of 2019)
competitors :- Sunway
Stock Price:- 1380
OBEROI REALTY
Type :- Private Company

Founded :- 08 May 1998


Founder:- The Rai Bahadur Mohan Singh Oberoi
Headquarters:- Mumbai, India
Revenue:- 20 billion
Net Income:- ₹1903 crore
Total Assets:- 20 Billion
Number of employees:- 13000+ (as of 2019)
competitors :- Godrej,Prestige,etc.
Stock Price:- 1540
Sr. No Company Risk Market Cap

1. Godrej. 7.17% 63220cr

2. Lodha. 7.17% 108387cr

3. DLF. 7.35% 198321cr

4. Obroie. 7.35% 55994cr


Conclusion
Identifying Lower-Risk Real Estate Companies

• Financial Performance: Assessing revenue growth, profitability, and debt levels. Companies with consistent
growth and manageable debt are less risky.
• Diversification: Evaluating portfolio diversification across different geographies and segments. Well-
diversified portfolios can withstand market fluctuations and reduce risk.
• Reputation and Track Record: Assessing historical track record and reputation for timely and quality
projects. Companies with a proven track record are less risky.
• Market Conditions: Assessing market conditions and regulatory environment. Companies operating in stable
environments are less risky.
• Corporate Governance: Evaluating transparency, ethical standards, and board independence. Strong
corporate governance indicates lower risk.
Thank You

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