Nifty
Sensex
:
:
24426.85
79809.65
-74.05 (-0.30%)
-270.92 (-0.34%)

Construction - Real Estate

Rating :
60/99

BSE: 532929 | NSE: BRIGADE

923.10
29-Aug-2025
  • Open
  • High
  • Low
  • Previous Close
  •  949.4
  •  951.4
  •  920.1
  •  952.90
  • Volume
  • Traded Value (lacs)
  • 52 Week High
  • 52 Week Low
  •  185737
  •  173167624.7
  •  1448.7
  •  852

Stock Summary

  • Market Cap(Crs)
  • Stock P:E
  • Face Value
  • 22,553.56
  • 29.99
  • 10
  • Enterprise Value(Crs)
  • Dividend Yield
  • Price:Book Value
  • 24,567.02
  • 0.27%
  • 3.91

Shareholding Pattern

  • Promoter
  • Corporate
  • Public
  • 41.13%
  • 0.21%
  • 11.37%
  • FII
  • DII
  • Others
  • 19.33%
  • 22.79%
  • 5.17%

Chart

Price | P:E | P:BV | EV:EBITDA | MCap:Sales | EPS

Revenue CAGR (%)

  • 10 Years
  • 5 Years
  • 3 Years
  • 9.55
  • 21.08
  • 13.78

EBITDA CAGR (%)

  • 10 Years
  • 5 Years
  • 3 Years
  • 11.18
  • 24.55
  • 10.48

PAT CAGR (%)

  • 10 Years
  • 5 Years
  • 3 Years
  • 18.78
  • 25.79
  • 33.01

P:E (Median)

  • 8 Years
  • 5 Years
  • 3 Years
  • 24.55
  • 47.45
  • 54.65

P:BV (Average)

  • 8 Years
  • 5 Years
  • 3 Years
  • 3.28
  • 4.29
  • 5.14

EV:EBITDA (Average)

  • 8 Years
  • 5 Years
  • 3 Years
  • 15.51
  • 19.30
  • 19.15

Earnings Forecasts:

(Updated: 06-06-2025)
Description
2024
2025
2026
2027
Adj EPS
19.56
28.74
35.07
47.2
P/E Ratio
47.19
32.12
26.32
19.56
Revenue
4897
5074
6184
7364
EBITDA
1194
1414
1774
2175
Net Income
452
686
834
1119
ROA
2.6
3.4
14.8
16.6
P/B Ratio
5.06
4.00
3.43
2.97
ROE
13.1
14.77
13.6
15.61
FCFF
-423
49
1068
760
FCFF Yield
-1.46
0.17
3.68
2.62
Net Debt
3686
2166
1635
993
BVPS
182.54
230.73
269.23
310.65

Quarterly Results

Consolidated Figures in Rs. Crores /

Standalone
Description
Jun 25
Jun 24
Var%
Mar 25
Mar 24
Var%
Dec 24
Dec 23
Var%
Sep 24
Sep 23
Var%
Net Sales
1,281.14
1,077.72
18.88%
1,460.39
1,702.37
-14.21%
1,463.94
1,173.77
24.72%
1,072.16
1,366.58
-21.54%
Expenses
957.49
785.14
21.95%
1,044.41
1,269.64
-17.74%
1,050.22
911.73
15.19%
780.22
1,041.81
-25.11%
EBITDA
323.65
292.58
10.62%
415.98
432.73
-3.87%
413.72
262.04
57.88%
291.94
324.77
-10.11%
EBIDTM
25.26%
27.15%
28.48%
25.42%
28.26%
22.32%
27.23%
23.77%
Other Income
51.72
35.72
44.79%
71.90
60.25
19.34%
65.74
34.41
91.05%
65.97
41.34
59.58%
Interest
105.63
151.94
-30.48%
106.60
137.98
-22.74%
114.32
134.91
-15.26%
122.63
110.03
11.45%
Depreciation
75.61
67.92
11.32%
75.63
76.17
-0.71%
76.30
82.08
-7.04%
68.93
75.73
-8.98%
PBT
194.13
108.44
79.02%
305.65
278.83
9.62%
288.84
79.46
263.50%
166.35
180.35
-7.76%
Tax
35.86
27.91
28.48%
56.30
67.97
-17.17%
53.32
23.67
125.26%
51.27
67.85
-24.44%
PAT
158.27
80.53
96.54%
249.35
210.86
18.25%
235.52
55.79
322.15%
115.08
112.50
2.29%
PATM
12.35%
7.47%
17.07%
12.39%
16.09%
4.75%
10.73%
8.23%
EPS
6.13
3.62
69.34%
10.10
8.92
13.23%
9.67
3.18
204.09%
4.87
5.78
-15.74%

Annual Results

Consolidated Figures in Rs. Crores /

Standalone
Description
TTM
Mar 25
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Net Sales
5,277.63
5,074.21
4,896.69
3,444.61
2,998.78
1,949.97
2,632.16
2,972.78
1,897.20
2,024.14
2,037.92
Net Sales Growth
-0.80%
3.63%
42.16%
14.87%
53.79%
-25.92%
-11.46%
56.69%
-6.27%
-0.68%
 
Cost Of Goods Sold
662.22
783.12
1,348.37
65.87
267.67
221.82
520.50
861.65
204.07
254.73
392.60
Gross Profit
4,615.41
4,291.09
3,548.32
3,378.74
2,731.11
1,728.15
2,111.66
2,111.13
1,693.13
1,769.41
1,645.32
GP Margin
87.45%
84.57%
72.46%
98.09%
91.07%
88.62%
80.23%
71.02%
89.24%
87.42%
80.74%
Total Expenditure
3,832.34
3,660.00
3,702.34
2,585.60
2,232.45
1,478.04
1,968.93
2,183.11
1,342.74
1,449.78
1,547.76
Power & Fuel Cost
-
54.89
62.07
54.06
59.37
32.38
42.91
33.68
32.09
26.18
23.12
% Of Sales
-
1.08%
1.27%
1.57%
1.98%
1.66%
1.63%
1.13%
1.69%
1.29%
1.13%
Employee Cost
-
401.65
317.66
268.28
206.85
150.88
216.00
187.90
154.50
143.32
125.22
% Of Sales
-
7.92%
6.49%
7.79%
6.90%
7.74%
8.21%
6.32%
8.14%
7.08%
6.14%
Manufacturing Exp.
-
1,666.02
1,479.04
1,783.39
1,369.73
868.84
852.84
773.62
673.82
775.54
792.42
% Of Sales
-
32.83%
30.20%
51.77%
45.68%
44.56%
32.40%
26.02%
35.52%
38.31%
38.88%
General & Admin Exp.
-
444.06
306.27
258.37
205.37
134.15
199.25
204.24
160.85
122.98
110.80
% Of Sales
-
8.75%
6.25%
7.50%
6.85%
6.88%
7.57%
6.87%
8.48%
6.08%
5.44%
Selling & Distn. Exp.
-
220.25
144.81
113.30
96.21
45.21
88.50
80.62
77.91
80.99
83.50
% Of Sales
-
4.34%
2.96%
3.29%
3.21%
2.32%
3.36%
2.71%
4.11%
4.00%
4.10%
Miscellaneous Exp.
-
90.01
44.12
42.33
27.25
24.76
48.93
41.40
39.50
46.04
83.50
% Of Sales
-
1.77%
0.90%
1.23%
0.91%
1.27%
1.86%
1.39%
2.08%
2.27%
0.99%
EBITDA
1,445.29
1,414.21
1,194.35
859.01
766.33
471.93
663.23
789.67
554.46
574.36
490.16
EBITDA Margin
27.39%
27.87%
24.39%
24.94%
25.55%
24.20%
25.20%
26.56%
29.23%
28.38%
24.05%
Other Income
255.33
239.33
167.46
118.60
66.73
60.42
49.40
55.39
50.15
34.24
32.75
Interest
449.18
495.49
491.04
434.15
443.60
346.81
340.34
278.50
259.40
246.48
199.01
Depreciation
296.47
288.78
302.09
314.58
350.54
236.93
192.04
140.00
137.66
122.55
105.92
PBT
954.97
869.27
568.68
228.88
38.92
-51.39
180.25
426.56
207.55
239.57
217.98
Tax
196.75
188.80
167.64
55.82
49.72
-28.69
47.35
145.76
63.53
73.16
80.19
Tax Rate
20.60%
21.72%
29.48%
20.38%
-280.27%
22.47%
29.64%
34.17%
32.41%
30.54%
36.79%
PAT
758.22
685.76
451.61
291.41
82.77
-48.89
128.98
238.81
138.80
152.29
122.65
PAT before Minority Interest
752.25
680.47
401.04
222.17
-64.76
-98.98
112.40
280.80
132.48
166.41
137.79
Minority Interest
-5.97
5.29
50.57
69.24
147.53
50.09
16.58
-41.99
6.32
-14.12
-15.14
PAT Margin
14.37%
13.51%
9.22%
8.46%
2.76%
-2.51%
4.90%
8.03%
7.32%
7.52%
6.02%
PAT Growth
64.95%
51.85%
54.97%
252.07%
-
-
-45.99%
72.05%
-8.86%
24.17%
 
EPS
31.02
28.06
18.48
11.92
3.39
-2.00
5.28
9.77
5.68
6.23
5.02

Results Balance Sheet

Consolidated Figures in Rs. Crores /

Standalone
Description
Mar 25
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Shareholder's Funds
5,638.45
3,516.15
3,245.01
2,909.93
2,347.66
2,281.13
2,169.40
2,287.02
1,694.91
1,537.81
Share Capital
244.37
231.10
230.73
230.26
210.91
204.38
136.18
136.07
113.66
113.18
Total Reserves
5,377.99
3,272.12
3,007.02
2,676.19
2,131.85
2,044.62
2,031.31
2,150.46
1,580.27
1,423.41
Non-Current Liabilities
4,307.24
4,920.11
4,138.02
4,374.22
3,993.11
3,968.31
3,370.04
2,831.55
1,763.10
1,677.59
Secured Loans
3,833.57
4,377.45
3,466.09
3,659.23
3,297.15
3,298.46
2,865.41
2,196.53
1,203.16
1,041.12
Unsecured Loans
527.78
509.11
727.21
725.83
636.99
568.59
450.14
436.55
385.31
459.24
Long Term Provisions
2.83
2.12
1.70
1.74
2.08
1.75
1.69
1.42
0.73
0.71
Current Liabilities
11,408.48
9,038.76
8,752.05
7,585.12
7,141.67
5,698.19
4,957.91
2,468.11
2,664.50
2,657.40
Trade Payables
785.77
760.07
734.67
649.08
576.96
500.49
608.08
526.46
516.12
423.96
Other Current Liabilities
10,334.84
8,241.21
7,971.34
6,921.38
6,467.90
5,122.26
4,271.09
1,670.14
1,905.78
2,037.82
Short Term Borrowings
250.09
4.02
21.24
2.56
73.22
43.68
62.29
244.97
228.58
176.56
Short Term Provisions
37.78
33.46
24.80
12.10
23.59
31.76
16.45
26.54
14.02
19.06
Total Liabilities
21,631.06
17,516.67
16,033.76
14,836.99
13,598.00
12,113.50
10,685.78
7,809.74
6,349.95
5,996.62
Net Block
1,027.72
936.09
918.58
944.98
1,016.47
1,028.57
929.13
821.37
483.74
340.13
Gross Block
1,672.47
1,523.52
1,452.20
1,432.72
1,428.49
1,346.68
1,157.87
978.12
569.42
372.44
Accumulated Depreciation
644.75
587.43
533.62
470.74
395.02
312.11
228.74
156.75
85.68
32.31
Non Current Assets
7,848.65
6,586.28
6,321.63
6,316.14
6,187.71
5,801.98
4,923.95
4,704.98
3,549.98
3,166.43
Capital Work in Progress
1,928.59
1,231.53
740.47
540.65
494.91
2,097.47
2,009.71
2,129.12
1,563.68
1,410.83
Non Current Investment
6.41
2.61
5.52
48.82
4,041.12
2,025.21
1,403.88
1,038.02
1,000.92
968.13
Long Term Loans & Adv.
704.97
715.78
852.20
618.94
519.78
565.99
492.28
634.67
431.39
383.90
Other Non Current Assets
99.94
43.08
42.32
202.59
115.43
84.74
88.95
81.80
70.25
63.44
Current Assets
13,782.41
10,930.39
9,712.13
8,520.85
7,410.29
6,311.52
5,761.83
3,104.76
2,799.97
2,830.19
Current Investments
36.61
47.05
56.18
459.80
51.29
16.20
41.33
181.28
0.00
25.89
Inventories
8,868.81
7,735.88
7,327.31
6,222.80
5,901.97
5,209.36
4,816.06
2,179.47
2,263.91
2,306.69
Sundry Debtors
629.12
499.71
461.60
504.17
527.19
430.61
420.82
176.95
37.37
42.94
Cash & Bank
3,261.00
1,737.27
1,478.08
944.75
559.42
304.91
222.22
146.58
136.33
108.93
Other Current Assets
986.87
552.81
184.27
107.09
370.42
350.44
261.40
420.48
362.36
345.74
Short Term Loans & Adv.
315.18
357.67
204.69
282.24
310.41
307.33
232.03
189.69
119.09
136.22
Net Current Assets
2,373.93
1,891.63
960.08
935.73
268.62
613.33
803.92
636.65
135.47
172.79
Total Assets
21,631.06
17,516.67
16,033.76
14,836.99
13,598.00
12,113.50
10,685.78
7,809.74
6,349.95
5,996.62

Cash Flow

Consolidated Figures in Rs. Crores /

Standalone
Description
Mar 25
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Cash From Operating Activity
995.31
333.98
966.47
1,032.08
802.88
464.89
467.21
48.73
397.83
338.69
PBT
869.27
568.68
277.99
-15.04
-125.10
161.35
427.42
195.70
239.57
217.98
Adjustment
602.65
686.71
610.11
746.62
600.23
532.03
387.83
361.90
347.27
281.06
Changes in Working Capital
-157.08
-679.40
237.44
404.43
381.36
-164.29
-236.34
-414.09
-113.41
-102.46
Cash after chg. in Working capital
1,314.84
575.99
1,125.54
1,136.01
856.49
529.09
578.91
143.51
473.43
396.58
Interest Paid
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Tax Paid
-319.53
-242.01
-159.07
-103.93
-53.61
-64.20
-111.70
-94.78
-75.60
-57.89
Other Direct Exp. Paid
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Extra & Other Items
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Cash From Investing Activity
-589.90
-379.46
-270.60
-971.44
-748.39
-716.58
-451.96
-1,084.22
-334.59
-948.02
Net Fixed Assets
-800.64
-659.18
-14.80
-0.14
69.02
100.82
254.40
-187.97
397.07
1,102.56
Net Investments
122.33
-196.30
247.81
815.89
-240.15
-420.57
-414.46
-561.99
-143.04
-1,438.79
Others
88.41
476.02
-503.61
-1,787.19
-577.26
-396.83
-291.90
-334.26
-588.62
-611.79
Cash from Financing Activity
859.66
240.62
-695.23
33.37
29.74
320.98
44.79
1,031.68
-57.87
630.73
Net Cash Inflow / Outflow
1,265.07
195.14
0.64
94.01
84.23
69.29
60.04
-3.81
5.37
21.40
Opening Cash & Equivalents
570.23
375.09
374.45
280.44
196.21
126.92
66.88
70.69
65.32
43.92
Closing Cash & Equivalent
1,835.30
570.23
375.09
374.45
280.44
196.21
126.92
66.88
70.69
65.32

Financial Ratios

Consolidated /

Standalone
Description
Mar 25
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Book Value (Rs.)
229.74
151.23
139.97
125.86
110.69
109.63
105.70
111.62
98.87
90.02
ROA
3.48%
2.39%
1.44%
-0.46%
-0.77%
0.99%
3.04%
1.87%
2.70%
2.68%
ROE
14.94%
11.93%
7.25%
-2.48%
-4.33%
5.11%
12.66%
6.68%
10.36%
9.55%
ROCE
13.82%
12.74%
9.18%
5.71%
3.12%
7.85%
12.14%
9.17%
11.78%
11.90%
Fixed Asset Turnover
3.18
3.30
2.39
2.10
1.41
2.10
2.78
2.45
4.30
1.95
Receivable days
40.59
35.78
51.17
62.77
89.64
59.03
36.70
20.62
7.24
5.19
Inventory Days
597.04
560.60
717.90
737.89
1039.92
695.11
429.46
427.43
412.09
344.87
Payable days
360.25
202.31
3833.83
835.93
886.46
128.93
281.02
117.38
107.66
97.53
Cash Conversion Cycle
277.38
394.06
-3064.76
-35.27
243.10
625.21
185.14
330.67
311.68
252.52
Total Debt/Equity
0.94
1.53
1.41
1.67
2.11
2.02
1.75
1.49
1.53
1.61
Interest Cover
2.75
2.16
1.64
0.97
0.63
1.47
2.53
1.76
1.97
2.10

News Update:


  • Brigade Group launches latest residential offering ‘Brigade Lakecrest’
    23rd Aug 2025, 15:32 PM

    The project has received RERA approval as of June 24, 2025, with a scheduled completion in March 2030

    Read More
  • Brigade Enterprises - Quarterly Results
    13th Aug 2025, 17:54 PM

    Read More
  • Brigade Group launches Brigade Cherry Blossom in East Bengaluru
    9th Aug 2025, 14:15 PM

    This marks a significant addition to Brigade’s expanding footprint in East Bengaluru

    Read More
  • Brigade Group inks joint development agreements for two residential projects in Hyderabad
    29th Jul 2025, 15:16 PM

    The projects span a total development potential of around 1 million square feet, with an estimated revenue potential exceeding Rs 970 crore

    Read More
  • Brigade Group launches latest premium residential project Brigade Avalon
    26th Jul 2025, 12:15 PM

    Situated in one of Bengaluru’s most sought-after localities, Brigade Avalon offers seamless access to corporate hubs, malls, schools, hospitals, and vibrant retail zones

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  • Brigade Group acquires land parcel in Whitefield-Hoskote corridor of Bengaluru
    21st Jul 2025, 09:59 AM

    Brigade Group has acquired 20.19-acre land parcel for Rs 588.33 crore

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  • Brigade Group’s BuzzWorks launches latest pre-eminent centre at Mindspace Business Park in Hyderabad
    16th Jul 2025, 11:30 AM

    This launch, which adds 1000 seats to its existing desk bank, marks yet another strategic expansion beyond Brigade-owned developments

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  • Brigade Enterprises gets nod to raise upto Rs 1500 crore through NCDs
    15th Jul 2025, 11:39 AM

    The Board of Directors at its meeting held on July 14, 2025 has approved the same

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  • Brigade Enterprises’ arm enters into Investment Agreement with 360 ONE
    3rd Jul 2025, 15:51 PM

    BHVL proposes to issue 1.40 crores equity shares to the 360 ONE Funds for a total investment of Rs 126 crore

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  • Brigade Group launches Brigade Morgan Heights
    23rd Jun 2025, 11:08 AM

    The project has a total development potential of 2.2 million square feet

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  • Brigade Enterprises’ arm incorporates Limited Liability Partnership
    6th Jun 2025, 09:42 AM

    The said LLP will take up development of real estate projects

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Source: www.accordfintech.com | DISCLAIMER: Information is provided " as is" and solely for informational purposes, not for trading purposes or advice, and may be delayed.