Bharat Petroleum Corporation Ltd.

3110.75%

2026-08-21

bharatpetroleum.inBSE: 500547NSE: BPCL
Market Cap₹ 1,34,060 Cr.
Current Price₹ 309
High / Low₹ 392 / 267
Stock P/E7.8
Book Value₹ 226
Price to Book1.20
Dividend Yield5.66 %
ROCE27.1 %
ROE28.5 %
Face Value₹ 10

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ABOUT

KEY POINTS

Revenue Breakup Mar 2026 • Downstream Petroleum: 100.0% • E&P: 0.0%

PROS

  • Company has a good return on equity (ROE) track record: 3 Years ROE 29.0%
  • Company has a healthy return on capital (ROCE) of 26.1%
  • Company has consistently been profitable over the last 5 years
  • Operating margins have improved to 7.9% from 2.3%
  • Strong cash generation - operating cash flow backs reported profits (CFO/PAT 1.67x)

CONS

  • Recent results are weak - TTM profit is down 23.7% versus prior year
  • Recurring exceptional / one-off items are inflating headline profit
  • Company has delivered a poor profit growth of 8.3% over past five years
  • Valuation is stretched - P/E of 7.8 is well above its own 5-year median (4.6)

* The pros and cons are machine generated based on quantitative rules.

Peer comparison

EDIT COLUMNS
S.No.NameCMP Rs.P/EMar Cap Rs.Cr.Div Yld %NP Qtr Rs.Cr.Qtr Profit Var %Sales Qtr Rs.Cr.Qtr Sales Var %ROCE %OPM %
1.RELIANCE1307.5023.681769379.440.4623196.00-24.65311850.0025.4112.1715.30
2.IOC136.555.73192825.515.13-1141.09-116.76281933.0727.0819.691.69
3.BPCL309.007.83134059.825.66-1872.70-127.38159527.0523.0827.09-2.29
4.HINDPETRO365.0546.4877676.166.64-12264.67-398.34145225.1121.3923.10-11.08
5.MRPL176.509.8530933.372.27945.68449.4041608.9698.2518.123.24
6.CHENNPETRO1440.105.1421444.734.311031.352671.9529358.7557.1435.155.35
Detailed Comparison with:

Quarterly Results

Consolidated Figures in Rs. Crores / View Standalone

Jun 2023
1,28,264
1,12,478
Operating Profit
OPM %
Other Income
562
Interest
1,071
Depreciation
1,614
13,626
Tax %
25.38%
Net Profit
10,644
25
Equity Capital
2,129
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,129
Reserves
0
Promoter Pledge %
0.00%
Sep 2023
1,16,657
1,03,717
Operating Profit
OPM %
Other Income
676
Interest
1,190
Depreciation
1,605
10,756
Tax %
26.15%
Net Profit
8,244
19
Equity Capital
2,129
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,129
Reserves
0
Promoter Pledge %
0.00%
Dec 2023
1,29,985
1,23,786
Operating Profit
OPM %
Other Income
491
Interest
920
Depreciation
1,830
3,876
Tax %
30.59%
Net Profit
0
7
Equity Capital
2,129
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,129
Reserves
0
Promoter Pledge %
0.00%
Mar 2024
1,32,087
1,22,929
Operating Profit
OPM %
Other Income
507
Interest
967
Depreciation
1,722
6,872
Tax %
27.35%
Net Profit
0
11
Equity Capital
2,136
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,136
Reserves
0
Promoter Pledge %
0.00%
Jun 2024
1,28,106
1,22,480
Operating Profit
OPM %
Other Income
570
Interest
889
Depreciation
1,686
3,480
Tax %
29.24%
Net Profit
2,842
7
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Sep 2024
1,17,949
1,13,432
Operating Profit
OPM %
Other Income
697
Interest
923
Depreciation
1,779
2,438
Tax %
32.67%
Net Profit
2,297
5
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Dec 2024
1,27,551
1,20,025
Operating Profit
OPM %
Other Income
608
Interest
861
Depreciation
1,810
5,403
Tax %
28.26%
Net Profit
3,806
9
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Mar 2025
1,26,916
1,19,180
Operating Profit
OPM %
Other Income
805
Interest
919
Depreciation
1,982
5,539
Tax %
27.17%
Net Profit
4,392
10
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Jun 2025
1,29,615
1,19,937
Operating Profit
OPM %
Other Income
750
Interest
758
Depreciation
1,889
7,714
Tax %
26.35%
Net Profit
6,839
16
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Sep 2025
1,21,605
1,11,844
Operating Profit
OPM %
Other Income
953
Interest
833
Depreciation
1,958
7,757
Tax %
27.76%
Net Profit
6,191
14
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Dec 2025
1,36,653
1,24,967
Operating Profit
OPM %
Other Income
646
Interest
657
Depreciation
1,979
9,530
Tax %
26.75%
Net Profit
7,188
17
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Mar 2026
1,34,948
1,24,871
Operating Profit
OPM %
Other Income
951
Interest
705
Depreciation
2,031
8,281
Tax %
26.73%
Net Profit
5,625
13
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Jun 2026
1,59,527
1,66,278
Operating Profit
OPM %
Other Income
1,249
Interest
627
Depreciation
2,069
-3,216
Tax %
41.76%
Net Profit
-1,873
-0
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
4,273
Reserves
0
Promoter Pledge %
0.00%

Profit & Loss

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
2,01,251
1,87,600
Operating Profit
15,560
OPM %
8
Other Income
1,909
Interest
696
Depreciation
2,108
13,700
Tax %
31
Net Profit
9,507
EPS
44
Dividend Payout %
49
Minority Interest
-786
Share of Associates
0
Adjusted EPS
22
Minority Interest
-786
Share of Associates
0
Adjusted EPS
22
Mar 2018
2,35,895
2,20,758
Operating Profit
16,955
OPM %
7
Other Income
1,819
Interest
1,186
Depreciation
2,885
14,174
Tax %
31
Net Profit
9,792
EPS
46
Dividend Payout %
46
Minority Interest
-783
Share of Associates
0
Adjusted EPS
23
Minority Interest
-783
Share of Associates
0
Adjusted EPS
23
Mar 2019
2,98,226
2,83,113
Operating Profit
17,150
OPM %
6
Other Income
2,038
Interest
1,764
Depreciation
3,418
12,905
Tax %
34
Net Profit
8,528
EPS
40
Dividend Payout %
48
Minority Interest
-726
Share of Associates
0
Adjusted EPS
20
Minority Interest
-726
Share of Associates
0
Adjusted EPS
20
Mar 2020
2,84,572
2,75,826
Operating Profit
10,860
OPM %
4
Other Income
2,115
Interest
2,637
Depreciation
4,080
3,652
Tax %
-0
Net Profit
3,666
EPS
16
Dividend Payout %
106
Minority Interest
-610
Share of Associates
0
Adjusted EPS
8
Minority Interest
-610
Share of Associates
0
Adjusted EPS
8
Mar 2021
2,30,171
2,08,874
Operating Profit
23,801
OPM %
10
Other Income
2,504
Interest
1,975
Depreciation
4,334
22,432
Tax %
23
Net Profit
17,320
EPS
82
Dividend Payout %
102
Minority Interest
-1,155
Share of Associates
0
Adjusted EPS
39
Minority Interest
-1,155
Share of Associates
0
Adjusted EPS
39
Mar 2022
3,46,791
3,27,656
Operating Profit
21,406
OPM %
6
Other Income
2,271
Interest
2,606
Depreciation
5,434
16,037
Tax %
27
Net Profit
11,682
EPS
55
Dividend Payout %
29
Minority Interest
0
Share of Associates
0
Adjusted EPS
27
Minority Interest
0
Share of Associates
0
Adjusted EPS
27
Mar 2023
4,73,187
4,62,300
Operating Profit
12,386
OPM %
3
Other Income
1,499
Interest
4,263
Depreciation
6,369
2,821
Tax %
24
Net Profit
2,131
EPS
10
Dividend Payout %
40
Minority Interest
0
Share of Associates
0
Adjusted EPS
5
Minority Interest
0
Share of Associates
0
Adjusted EPS
5
Mar 2024
4,48,083
4,04,002
Operating Profit
46,317
OPM %
10
Other Income
2,235
Interest
4,149
Depreciation
6,771
36,194
Tax %
26
Net Profit
26,859
EPS
126
Dividend Payout %
25
Minority Interest
0
Share of Associates
0
Adjusted EPS
63
Minority Interest
0
Share of Associates
0
Adjusted EPS
63
Mar 2025
4,40,272
4,14,870
Operating Profit
28,086
OPM %
6
Other Income
2,685
Interest
3,591
Depreciation
7,257
18,182
Tax %
27
Net Profit
13,337
EPS
31
Dividend Payout %
32
Minority Interest
0
Share of Associates
0
Adjusted EPS
31
Minority Interest
0
Share of Associates
0
Adjusted EPS
31
Mar 2026
4,55,228
4,14,066
Operating Profit
44,501
OPM %
10
Other Income
3,339
Interest
2,953
Depreciation
7,856
34,791
Tax %
26
Net Profit
25,843
EPS
60
Dividend Payout %
29
Minority Interest
0
Share of Associates
0
Adjusted EPS
60
Minority Interest
0
Share of Associates
0
Adjusted EPS
60
TTM
5,52,733
5,27,959
Operating Profit
OPM %
Other Income
3,798
Interest
2,823
Depreciation
8,036
22,351
Tax %
25
Net Profit
16,779
EPS
Dividend Payout %
Minority Interest
0
Share of Associates
754
Adjusted EPS
Minority Interest
0
Share of Associates
754
Adjusted EPS

COMPOUNDED SALES GROWTH

10 Years:
9%
5 Years:
15%
3 Years:
-1%

COMPOUNDED PROFIT GROWTH

10 Years:
12%
5 Years:
10%
3 Years:
130%

STOCK PRICE CAGR

10 Years:
4%
5 Years:
6%
3 Years:
21%
1 Year:
-4%

RETURN ON EQUITY

10 Years:
25%
5 Years:
23%
3 Years:
29%
Last Year:
28%

Balance Sheet

Consolidated Figures in Rs. Crores / View Standalone

Corporate actions

2024

Jun 21

1:1

Final Dividend & Bonus issue & Audited Results

2017

Jul 13

1:2

Bonus issue

2016

Jul 13

1:1

Mar 2017
Equity Capital
1,311
29,508
10,728
Trade Payables
11,382
56,156
Total Liabilities
1,09,086
33,684
Capital Work in Progress
11,763
21,327
21,197
97
Cash & Bank
1,885
19,134
Total Assets
1,09,086
Total Debt
35,725
Net Working Capital
-9,401
Contingent Liabilities
11,736
Book Value per Share
235.04
Face Value
10.00
Total Debt
35,725
Net Working Capital
-9,401
Contingent Liabilities
11,736
Book Value per Share
235.04
Face Value
10.00
Mar 2018
Equity Capital
1,967
34,652
8,755
Trade Payables
15,198
59,784
Total Liabilities
1,20,356
45,539
Capital Work in Progress
4,486
23,725
22,531
52
Cash & Bank
1,354
22,669
Total Assets
1,20,356
Total Debt
37,659
Net Working Capital
-5,227
Contingent Liabilities
13,328
Book Value per Share
186.18
Face Value
10.00
Total Debt
37,659
Net Working Capital
-5,227
Contingent Liabilities
13,328
Book Value per Share
186.18
Face Value
10.00
Mar 2019
Equity Capital
1,967
36,798
9,133
Trade Payables
17,834
71,194
Total Liabilities
1,36,926
49,315
Capital Work in Progress
7,293
24,907
22,935
61
Cash & Bank
663
31,753
Total Assets
1,36,926
Total Debt
44,839
Net Working Capital
-4,342
Contingent Liabilities
13,488
Book Value per Share
197.09
Face Value
10.00
Total Debt
44,839
Net Working Capital
-4,342
Contingent Liabilities
13,488
Book Value per Share
197.09
Face Value
10.00
Mar 2020
Equity Capital
1,967
34,565
18,193
Trade Payables
13,108
83,027
Total Liabilities
1,50,860
60,142
Capital Work in Progress
9,949
27,029
22,243
67
Cash & Bank
1,165
30,266
Total Assets
1,50,860
Total Debt
59,666
Net Working Capital
-16,991
Contingent Liabilities
7,097
Book Value per Share
185.74
Face Value
10.00
Total Debt
59,666
Net Working Capital
-16,991
Contingent Liabilities
7,097
Book Value per Share
185.74
Face Value
10.00
Mar 2021
Equity Capital
2,093
50,606
5,576
Trade Payables
16,270
86,433
Total Liabilities
1,60,978
64,098
Capital Work in Progress
7,537
26,768
26,707
72
Cash & Bank
8,110
27,686
Total Assets
1,60,978
Total Debt
46,920
Net Working Capital
-5,651
Contingent Liabilities
7,121
Book Value per Share
251.80
Face Value
10.00
Total Debt
46,920
Net Working Capital
-5,651
Contingent Liabilities
7,121
Book Value per Share
251.80
Face Value
10.00
Mar 2022
Equity Capital
2,129
49,776
8,043
Trade Payables
30,348
97,232
Total Liabilities
1,87,529
83,901
Capital Work in Progress
4,980
23,616
42,179
49
Cash & Bank
2,237
30,567
Total Assets
1,87,529
Total Debt
56,493
Net Working Capital
-21,145
Contingent Liabilities
7,005
Book Value per Share
243.75
Face Value
10.00
Total Debt
56,493
Net Working Capital
-21,145
Contingent Liabilities
7,005
Book Value per Share
243.75
Face Value
10.00
Mar 2023
Equity Capital
2,129
51,393
7,812
Trade Payables
24,024
1,02,779
Total Liabilities
1,88,138
86,675
Capital Work in Progress
5,645
26,778
38,069
58
Cash & Bank
2,574
28,338
Total Assets
1,88,138
Total Debt
61,111
Net Working Capital
-18,846
Contingent Liabilities
9,238
Book Value per Share
251.34
Face Value
10.00
Total Debt
61,111
Net Working Capital
-18,846
Contingent Liabilities
9,238
Book Value per Share
251.34
Face Value
10.00
Mar 2024
Equity Capital
2,136
73,499
7,756
Trade Payables
28,306
90,721
Total Liabilities
2,02,418
86,798
Capital Work in Progress
8,680
26,631
42,836
8,342
Cash & Bank
6,286
22,845
Total Assets
2,02,418
Total Debt
45,999
Net Working Capital
-15,232
Contingent Liabilities
8,129
Book Value per Share
354.05
Face Value
10.00
Total Debt
45,999
Net Working Capital
-15,232
Contingent Liabilities
8,129
Book Value per Share
354.05
Face Value
10.00
Mar 2025
Equity Capital
4,273
77,112
17,568
Trade Payables
30,634
88,796
Total Liabilities
2,18,382
88,628
Capital Work in Progress
13,240
26,531
45,265
9,339
Cash & Bank
10,476
24,904
Total Assets
2,18,382
Total Debt
52,260
Net Working Capital
-17,872
Contingent Liabilities
8,736
Book Value per Share
190.48
Face Value
10.00
Total Debt
52,260
Net Working Capital
-17,872
Contingent Liabilities
8,736
Book Value per Share
190.48
Face Value
10.00
Mar 2026
Equity Capital
4,273
95,898
9,643
Trade Payables
42,654
96,149
Total Liabilities
2,48,616
93,624
Capital Work in Progress
16,394
30,136
53,304
4,980
Cash & Bank
17,761
32,417
Total Assets
2,48,616
Total Debt
44,808
Net Working Capital
-21,787
Contingent Liabilities
9,676
Book Value per Share
234.45
Face Value
10.00
Total Debt
44,808
Net Working Capital
-21,787
Contingent Liabilities
9,676
Book Value per Share
234.45
Face Value
10.00

Cash Flows

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
9,041
Cash from Investing
-15,274
Cash from Financing
4,804
-1,429
Free Cash Flow
-390
OCF / Net Profit
0.95
Cumulative 5-Year FCF
0
OCF / Net Profit
0.95
Cumulative 5-Year FCF
0
Mar 2018
11,068
Cash from Investing
-7,066
Cash from Financing
-4,218
-215
Free Cash Flow
3,816
OCF / Net Profit
1.13
Cumulative 5-Year FCF
0
OCF / Net Profit
1.13
Cumulative 5-Year FCF
0
Mar 2019
10,157
Cash from Investing
-10,451
Cash from Financing
207
-87
Free Cash Flow
208
OCF / Net Profit
1.19
Cumulative 5-Year FCF
0
OCF / Net Profit
1.19
Cumulative 5-Year FCF
0
Mar 2020
7,881
Cash from Investing
-11,135
Cash from Financing
3,583
329
Free Cash Flow
-9,357
OCF / Net Profit
2.15
Cumulative 5-Year FCF
0
OCF / Net Profit
2.15
Cumulative 5-Year FCF
0
Mar 2021
23,455
Cash from Investing
-2,474
Cash from Financing
-13,981
7,000
Free Cash Flow
18,981
OCF / Net Profit
1.35
Cumulative 5-Year FCF
13,259
OCF / Net Profit
1.35
Cumulative 5-Year FCF
13,259
Mar 2022
20,336
Cash from Investing
-8,138
Cash from Financing
-17,672
-5,474
Free Cash Flow
-2,092
OCF / Net Profit
1.74
Cumulative 5-Year FCF
11,557
OCF / Net Profit
1.74
Cumulative 5-Year FCF
11,557
Mar 2023
12,466
Cash from Investing
-7,806
Cash from Financing
-4,402
257
Free Cash Flow
3,475
OCF / Net Profit
5.85
Cumulative 5-Year FCF
11,215
OCF / Net Profit
5.85
Cumulative 5-Year FCF
11,215
Mar 2024
35,970
Cash from Investing
-10,554
Cash from Financing
-25,427
-12
Free Cash Flow
27,201
OCF / Net Profit
1.34
Cumulative 5-Year FCF
38,208
OCF / Net Profit
1.34
Cumulative 5-Year FCF
38,208
Mar 2025
23,678
Cash from Investing
-19,180
Cash from Financing
-6,241
-1,743
Free Cash Flow
10,617
OCF / Net Profit
1.78
Cumulative 5-Year FCF
58,181
OCF / Net Profit
1.78
Cumulative 5-Year FCF
58,181
Mar 2026
50,769
Cash from Investing
-26,067
Cash from Financing
-24,940
-238
Free Cash Flow
35,333
OCF / Net Profit
1.96
Cumulative 5-Year FCF
74,533
OCF / Net Profit
1.96
Cumulative 5-Year FCF
74,533

Ratios

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
EPS (₹)
66.51
Book Value (₹)
235.04
Dividend per Share (₹)
32.50
Cash EPS (₹)
29.53
Operating Margin %
6.38%
Net Margin %
3.90%
ROE %
32.44%
ROCE %
24.46%
9.73%
Debtor Days
5
Inventory Days
27
Payable Days
21
11
Debt to Equity (x)
1.16x
Interest Coverage (x)
20.67x
0.80x
Revenue Growth %
7.15%
Operating Profit Growth %
7.07%
Net Profit Growth %
17.53%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2018
EPS (₹)
45.80
Book Value (₹)
186.18
Dividend per Share (₹)
21.00
Cash EPS (₹)
32.23
Operating Margin %
6.07%
Net Margin %
3.50%
ROE %
29.04%
ROCE %
21.81%
8.54%
Debtor Days
7
Inventory Days
29
Payable Days
24
11
Debt to Equity (x)
1.03x
Interest Coverage (x)
12.95x
0.89x
Revenue Growth %
17.21%
Operating Profit Growth %
8.97%
Net Profit Growth %
3.00%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2019
EPS (₹)
39.67
Book Value (₹)
197.09
Dividend per Share (₹)
19.00
Cash EPS (₹)
30.37
Operating Margin %
5.03%
Net Margin %
2.50%
ROE %
22.63%
ROCE %
18.58%
6.63%
Debtor Days
6
Inventory Days
24
Payable Days
23
8
Debt to Equity (x)
1.16x
Interest Coverage (x)
8.32x
0.92x
Revenue Growth %
26.42%
Operating Profit Growth %
1.15%
Net Profit Growth %
-12.91%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2020
EPS (₹)
15.53
Book Value (₹)
185.74
Dividend per Share (₹)
16.50
Cash EPS (₹)
19.69
Operating Margin %
3.29%
Net Margin %
1.11%
ROE %
9.74%
ROCE %
6.99%
2.55%
Debtor Days
7
Inventory Days
25
Payable Days
22
9
Debt to Equity (x)
1.63x
Interest Coverage (x)
2.38x
0.72x
Revenue Growth %
-4.58%
Operating Profit Growth %
-36.67%
Net Profit Growth %
-57.01%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2021
EPS (₹)
77.24
Book Value (₹)
251.80
Dividend per Share (₹)
79.00
Cash EPS (₹)
51.73
Operating Margin %
7.82%
Net Margin %
5.69%
ROE %
38.82%
ROCE %
24.82%
11.11%
Debtor Days
8
Inventory Days
29
Payable Days
29
9
Debt to Equity (x)
0.89x
Interest Coverage (x)
12.36x
0.90x
Revenue Growth %
-19.12%
Operating Profit Growth %
119.16%
Net Profit Growth %
372.47%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2022
EPS (₹)
54.86
Book Value (₹)
243.75
Dividend per Share (₹)
16.00
Cash EPS (₹)
40.19
Operating Margin %
4.95%
Net Margin %
2.70%
ROE %
22.33%
ROCE %
17.85%
6.70%
Debtor Days
7
Inventory Days
29
Payable Days
28
8
Debt to Equity (x)
1.09x
Interest Coverage (x)
7.15x
0.75x
Revenue Growth %
50.67%
Operating Profit Growth %
-10.06%
Net Profit Growth %
-32.55%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2023
EPS (₹)
10.01
Book Value (₹)
251.34
Dividend per Share (₹)
4.00
Cash EPS (₹)
19.96
Operating Margin %
2.32%
Net Margin %
0.40%
ROE %
4.04%
ROCE %
6.35%
1.13%
Debtor Days
6
Inventory Days
27
Payable Days
23
10
Debt to Equity (x)
1.14x
Interest Coverage (x)
1.66x
0.75x
Revenue Growth %
36.45%
Operating Profit Growth %
-42.14%
Net Profit Growth %
-81.76%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2024
EPS (₹)
125.73
Book Value (₹)
354.05
Dividend per Share (₹)
31.50
Cash EPS (₹)
78.71
Operating Margin %
8.69%
Net Margin %
5.30%
ROE %
41.59%
ROCE %
34.15%
13.75%
Debtor Days
5
Inventory Days
29
Payable Days
25
9
Debt to Equity (x)
0.61x
Interest Coverage (x)
9.72x
0.81x
Revenue Growth %
-5.31%
Operating Profit Growth %
273.93%
Net Profit Growth %
1160.36%
1156.32%
P/E (x)
2.40x
P/B (x)
1.70x
Dividend Yield %
5.23%
3.64x
Mar 2025
EPS (₹)
31.21
Book Value (₹)
190.48
Dividend per Share (₹)
10.00
Cash EPS (₹)
48.20
Operating Margin %
5.08%
Net Margin %
2.66%
ROE %
16.99%
ROCE %
17.06%
6.34%
Debtor Days
6
Inventory Days
32
Payable Days
28
11
Debt to Equity (x)
0.64x
Interest Coverage (x)
6.06x
0.80x
Revenue Growth %
-1.74%
Operating Profit Growth %
-39.36%
Net Profit Growth %
-50.35%
-75.17%
P/E (x)
8.92x
P/B (x)
1.46x
Dividend Yield %
3.59%
5.72x
Mar 2026
EPS (₹)
60.49
Book Value (₹)
234.45
Dividend per Share (₹)
17.50
Cash EPS (₹)
78.87
Operating Margin %
7.87%
Net Margin %
4.94%
ROE %
28.47%
ROCE %
27.09%
11.07%
Debtor Days
5
Inventory Days
34
Payable Days
35
4
Debt to Equity (x)
0.45x
Interest Coverage (x)
12.78x
0.79x
Revenue Growth %
3.40%
Operating Profit Growth %
58.44%
Net Profit Growth %
93.78%
93.78%
P/E (x)
4.65x
P/B (x)
1.20x
Dividend Yield %
6.23%
3.31x

Shareholding Pattern

Numbers in percentages

TRADES
Jun 2024
52.98
15.04
21.29
0.94
9.74
Sep 2024
52.98
15.39
22.04
0.94
8.63
Dec 2024
52.98
14.71
22.25
0.94
9.10
Mar 2025
52.98
14.58
22.21
0.94
9.26
Jun 2025
52.98
15.45
22.16
0.94
8.46
Sep 2025
52.98
16.53
21.29
0.94
8.25
Dec 2025
52.98
18.46
19.56
0.43
8.57
Mar 2026
52.98
19.57
18.52
0.43
8.49
Jun 2026
52.98
16.84
21.07
0.86
8.25

Documents

Announcements

  • General Updates

    2026-08-20 - Bharat Petroleum Corporation Limited has informed the Exchange about General Updates

  • Outcome of Board Meeting

    2026-08-18 - Bharat Petroleum Corporation Limited has informed the Exchange regarding Outcome of Board Meeting held on August 18, 2026.

Credit Ratings

  • Credit Rating

    2026-07-25 - Bharat Petroleum Corporation Limited has informed the Exchange about Credit Rating

Concalls

  • Jul 2026

    TranscriptPPTREC
  • May 2026

    TranscriptPPTREC
  • Jan 2026

    TranscriptPPTREC