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BASF India Ltd

NSE: BASF BSE: 500042

BASF India Ltd's portfolio consists of six segments: Agricultural Solutions, Materials, Industrial solutions, Surface Technologies, Nutrition & Care and Chemicals.[1]

3,810
52W: ₹2907 — ₹5424
PE 42.7 · Book ₹881 · +332% vs book
Market Cap₹16,492 Cr
Stock P/E42.7Price to Earnings
ROCE18%Return on Capital
ROE13.7%Return on Equity
Div. Yield0.52%Face Value ₹10

Strengths

  • +Company is almost debt free.

Weaknesses

  • Dividend payout has been low at 12.5% of profits over last 3 years

Shareholding Pattern

Promoters73.33%
FIIs5.34%
DIIs6.29%
Public15.04%
CategoryJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoters73.33%73.33%73.33%73.33%73.33%73.33%73.33%73.33%
FIIs4.35%4.44%0.14.24%0.24.29%0.04.21%0.14.14%0.14.13%0.05.34%1.2
DIIs5.97%6.27%0.36.24%0.06.3%0.16.31%0.06.43%0.16.42%0.06.29%0.1
Public16.34%15.94%0.416.19%0.316.07%0.116.14%0.116.09%0.116.11%0.015.04%1.1

Financial Statements

MetricSep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales3,7073,3263,3603,9674,2483,6353,1893,7523,9043,877
Expenses3,4733,1143,1143,6544,0473,4653,1263,5303,7503,707
Operating Profit23421224631220117063222154169
OPM %6%6%7%8%5%5%2%6%4%4%
Net Profit14914016222112810447147101105
EPS ₹34.4532.3637.3150.9629.5623.9310.883423.3424.29

AI Insights

Revenue Trend

TTM revenue at ₹14,721Cr, down 2.9% YoY. OPM at 4%.

Debt Position

Borrowings at ₹144Cr. Debt-to-equity ratio: 0.04x. Healthy balance sheet.

Capex Cycle

CWIP at ₹120Cr (18% of fixed assets). Moderate ongoing capital expenditure.

Institutional Flow

DIIs: 6.29% (-0.29pp change). FIIs: 5.34% (+2.32pp change). Promoters hold 73.33%.

Margin & Efficiency

ROCE improving from 12% (Mar 2014) to 18% (Mar 2025). Working capital days: 40.

Valuation

PE 42.7x with 18% ROCE. Price is 332% above book value of ₹881. Dividend yield: 0.52%.

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