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Shankara Building Products Ltd

NSE: SHANKARA BSE: 540425Retail

Shankara Building Products Ltd is one of the India's leading organized retailers of home improvement and building products in India. It caters to a large customer base spread across various end-user segments in urban and semi-urban markets through a retail led multi-channel approach.[1]

122
52W: ₹98.2 — ₹295
PE 0 · Book ₹97.5 · +25% vs book
Market Cap₹296 Cr
Stock P/EPrice to Earnings
ROCE1.34%Return on Capital
ROE1.46%Return on Equity
Div. Yield2.45%Face Value ₹10

Strengths

  • +Company has reduced debt.
  • +Company is almost debt free.
  • +Promoter holding has increased by 4.27% over last quarter.

Weaknesses

  • Company has low interest coverage ratio.
  • The company has delivered a poor sales growth of -42.0% over past five years.
  • Company has a low return on equity of 8.38% over last 3 years.
  • Promoter holding has decreased over last 3 years: -7.74%

Shareholding Pattern

Promoters44.45%
FIIs6.47%
DIIs4.5%
Public37.91%
CategoryJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoters49.23%49.23%49.25%0.049.25%40.17%9.140.17%40.17%44.45%4.3
FIIs10.35%7.95%2.45.86%2.15.69%0.210.55%4.912.27%1.710.09%2.26.47%3.6
DIIs4.74%4.79%0.05.04%0.35.03%0.010.06%5.010.18%0.14.93%5.34.5%0.4
Public35.71%38.06%2.439.86%1.840.03%0.239.22%0.837.38%1.841.01%3.637.91%3.1

Financial Statements

MetricDec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales11,79,.441,32,1.411,78,.01012,90,.66015,68,.140110.3418.21
Expenses11,45,.0212,86,.951,14,2.30.8112,56,.191.315,17,.256.26111.5819.8
Operating Profit34.4234.4535.71-0.8134.47-1.350.89-6.26-1.24-1.59
OPM %2.92%2.61%3.03%0%2.67%0%3.25%0%-1.12%-8.73%
Net Profit19.320.615.33-1.116.79-1.7730.1-5.550.730.05
EPS ₹7.988.516.33-0.456.94-0.7312.44-2.290.30.02

AI Insights

Revenue Trend

Mar 2026 revenue at ₹129Cr, down 97.6% YoY. OPM at -8%.

Debt Position

Borrowings at ₹0Cr. Debt-to-equity ratio: 0.00x. Healthy balance sheet.

Capex Cycle

CWIP at ₹9Cr (5% of fixed assets). Moderate ongoing capital expenditure.

Institutional Flow

DIIs: 4.5% (-0.86pp change). FIIs: 6.47% (-3.41pp change). Promoters hold 44.45%.

Margin & Efficiency

ROCE declining from 10% (Mar 2015) to -1% (Mar 2026). Working capital days: -7.

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