Chemicals

Bharat Rasayan Ltd

BHARATRAS · NSE · INE838B01021
₹1,171.4+1.01%consolidatedstandalone
Wednesday, 9 Sept 20263:17 pm
Sentiment11 · Extreme Fear
Extreme FearFearNeutralGreedExtreme Greed
Market Cap₹1,947 Cr
P/E3.4
P/B1.5
EPS₹349.17
Div Yield0.0%
ROE12.2%
ROCE14.9%
ROE12.2%
1Y Return-46.53%
Avg. Volume0.0M

Price Chart

2,9432,5002,0571,6141,1712.1L4.2LSept 2025Oct 2025Nov 2025Jan 2026Feb 2026Mar 2026May 2026Jul 2026Sept 2026

52-Week Range

₹1,148.1₹1,171.4₹2,987.5
52W Low52W High

About

Bharat Rasayan Ltd is a Chemicals company listed on NSE.

Chemicals

Technicals

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Key Ratios

Market Cap₹1,947 Cr
Current Price₹1,171.4
52W High / Low₹2,987.5 / ₹1,148.1
Stock P/E3.4
Price to Book1.5
EPS (TTM)₹349.17
Dividend Yield0.0%
ROE12.2%
1Y Return-46.53%
Day Change+1.01%
Profit and loss statement
PeriodTTMFY26FY25FY24FY23FY22FY21FY20FY19
Sales₹1,203 Cr₹1,240 Cr₹1,171 Cr
Expenses₹1,027 Cr₹1,041 Cr₹996 Cr
Operating Profit₹176 Cr₹199 Cr₹175 Cr
OPM %15.0%16.0%15.0%
Other Income₹44 Cr₹25 Cr₹42 Cr
Depreciation₹27 Cr₹26 Cr₹27 Cr
Interest₹4 Cr₹5 Cr₹5 Cr
Profit Before Tax₹188 Cr₹193 Cr₹185 Cr
Tax₹45 Cr₹47 Cr₹44 Cr
Net Profit₹143 Cr₹146 Cr₹141 Cr
EPS (₹)86.287.784.9
Dividend Payout %1%0%
Financial history locked

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Quarterly Results

Quarterly results
QuarterJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024Mar 2024Dec 2023Sep 2023Jun 2023
Sales₹338 Cr₹308 Cr₹270 Cr₹286 Cr
Expenses₹287 Cr₹259 Cr₹228 Cr₹253 Cr
Operating Profit₹51 Cr₹49 Cr₹43 Cr₹33 Cr
OPM %15.0%16.0%16.0%12.0%
Depreciation₹7 Cr₹7 Cr₹7 Cr₹6 Cr
Interest₹1 Cr₹1 Cr₹1 Cr₹1 Cr
Net Profit₹37 Cr₹38 Cr₹40 Cr₹28 Cr
EPS (₹)22.423.024.116.8
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Balance Sheet

Balance sheet
PeriodFY26FY25FY24FY23FY22FY21FY20FY19
Liabilities
Equity Capital₹8 Cr₹4 Cr₹4 Cr
Reserves₹1,266 Cr₹1,126 Cr₹984 Cr
Borrowings₹1 Cr₹85 Cr₹80 Cr
Other Liabilities₹158 Cr₹193 Cr₹129 Cr
Total Liabilities₹1,433 Cr₹1,408 Cr₹1,197 Cr
Assets
Fixed Assets₹246 Cr₹230 Cr₹230 Cr
Investments₹324 Cr₹298 Cr₹143 Cr
Receivables
Inventory
Cash & Equivalents
Other Assets₹816 Cr₹865 Cr₹818 Cr
Total Assets₹1,433 Cr₹1,408 Cr₹1,197 Cr
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Cash Flow

Cash flow statement
PeriodOperatingInvestingFinancingNet Cash Flow
FY26₹132 Cr₹-75 Cr₹-89 Cr₹-33 Cr
FY25₹172 Cr₹-148 Cr₹-1 Cr₹23 Cr
FY24₹41 Cr₹-76 Cr₹49 Cr₹14 Cr
FY23
FY22
FY21
FY20
FY19
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Peer Comparison

Peer comparison
CompanyM.CapP/EROE1Y Return
Asian Paints Ltd+21.56%-12.09%
Berger Paints India Ltd+17.3%-9.41%
Aarti Industries Ltd+7.25%+36.31%
Aarti Surfactants Ltd+5.17%+44.16%
ABM International Limited₹52 Cr-17.19%+18.22%

Mutual Fund Holdings

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