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BPCL

₹261.3 5.2 | 2%

Market Cap ₹113343 Cr.

Stock P/E 4.2

P/B 1.4

Current Price ₹261.3

Book Value ₹ 186.8

Face Value 10

52W High ₹376

Dividend Yield 6.03%

52W Low ₹ 242.3

BPCL Research see more...

Overview Inc. Year: 1952Industry: Refineries

Bharat Petroleum Corporation Limited is engaged in presenting motor spirit (MS), high speed diesel (HSD) and LPG. The Company is engaged within the enterprise of refining of crude oil and advertising and marketing of petroleum products. It operates thru two segments: Downstream petroleum, and Exploration and Production of Hydrocarbons (E&P). The Downstream petroleum section consists of refining and advertising of petroleum products. It is engaged in the manufacturing of liquid and gaseous fuels, illuminating oils, lubricating oils or greases or other products from crude petroleum or bituminous minerals. The Company also manufactures other petroleum merchandise, together with petroleum bitumen and different residues of petroleum oils or of oils acquired from bituminous minerals. Its advertising infrastructure consists of network of installations, depots, shops, aviation carrier stations and LPG distributors.

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BPCL Share Price

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Peer Comparison

BPCL Quarterly Results

#(Fig in Cr.) Sep 2022 Dec 2022 Mar 2023 Jun 2023 Sep 2023 Dec 2023 Mar 2024 Jun 2024 Sep 2024 Dec 2024
Net Sales 128356 133348 133420 128264 116657 129985 132087 128106 117949 127551
Other Income 347 339 483 562 676 491 507 570 697 608
Total Income 128702 133687 133903 128825 117333 130476 132594 128677 118646 128158
Total Expenditure 126941 129135 122335 112478 103717 123786 122929 122480 113432 120025
Operating Profit 1762 4552 11568 16347 13616 6690 9664 6197 5215 8133
Interest 937 1128 1148 1071 1190 921 967 889 923 861
Depreciation 1561 1586 1605 1614 1605 1830 1722 1686 1779 1810
Exceptional Income / Expenses -170 -189 -997 -36 -65 -63 -104 -142 -75 -59
Profit Before Tax -906 1648 7818 13626 10756 3876 6872 3480 2438 5403
Provision for Tax -72 166 1984 3458 2812 1186 1880 1017 796 1527
Profit After Tax -835 1482 5834 10168 7943 2690 4992 2462 1641 3876
Adjustments 496 265 1036 477 300 491 -203 379 656 -70
Profit After Adjustments -338 1747 6870 10644 8244 3181 4790 2842 2297 3806
Adjusted Earnings Per Share -0.8 4.1 16.1 25 19.4 7.5 11.2 6.7 5.4 8.9

BPCL Profit & Loss

#(Fig in Cr.) Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 TTM
Net Sales 264421 242599 187815 201251 235895 298226 284572 230171 346791 473187 448083 505693
Other Income 1387 2120 1596 1909 1819 2038 2115 2504 2271 1499 2235 2382
Total Income 265808 244719 189410 203160 237714 300263 286687 232675 349062 474686 450318 508075
Total Expenditure 255049 232821 174878 187600 220758 283113 275826 208874 327656 462300 404002 478866
Operating Profit 10759 11898 14533 15560 16955 17150 10860 23801 21406 12386 46317 29209
Interest 1982 1180 680 696 1186 1764 2637 1975 2606 4263 4149 3640
Depreciation 2611 3027 2072 2108 2885 3418 4080 4334 5434 6369 6771 6997
Exceptional Income / Expenses 0 0 0 0 0 0 -1892 5266 1135 -1126 -268 -380
Profit Before Tax 6166 7690 12132 13700 14174 12905 3652 22432 16037 2821 36194 18193
Provision for Tax 2113 2608 4043 4193 4382 4378 -14 5112 4355 690 9336 5220
Profit After Tax 4053 5082 8089 9507 9792 8528 3666 17320 11682 2131 26859 12971
Adjustments -142 -275 0 -786 -783 -726 -610 -1155 0 0 0 762
Profit After Adjustments 3911 4807 8089 8721 9009 7802 3055 16165 11682 2131 26859 13735
Adjusted Earnings Per Share 9 11.1 20.6 22.2 22.9 19.8 7.8 38.6 27.4 5 62.9 32.2

Growth Rates

# 1 Year 3 Year 5 Year 10 Year
Sales CAGR -5% 25% 8% 5%
Operating Profit CAGR 274% 25% 22% 16%
PAT CAGR 1160% 16% 26% 21%
# 1 Year 3 Year 5 Year 10 Year
Share Price CAGR -9% 12% 1% 8%
ROE Average 42% 23% 23% 25%
ROCE Average 34% 19% 18% 19%

BPCL Balance Sheet

#(Fig in Cr.) Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Shareholder's Funds 19440 22562 27793 30820 36619 38765 36532 53555 51906 53522 75635
Minority's Interest 1147 1286 1678 1958 1905 2070 2056 0 0 0 0
Borrowings 21998 19342 21097 23255 28904 34316 38044 35740 36359 41369 26877
Other Non-Current Liabilities 2678 2928 4859 5753 7118 8666 14006 13979 16137 18375 19022
Total Current Liabilities 43198 40204 30994 47300 45810 53110 60222 57704 83127 74871 80883
Total Liabilities 88460 86322 86422 109086 120356 136926 150860 160978 187529 188138 202418
Fixed Assets 27580 29109 25359 33684 45539 49315 60142 64098 83901 86675 86798
Other Non-Current Assets 14265 20848 29617 37493 34216 38830 47467 44805 41633 45421 49925
Total Current Assets 46515 36294 31447 37899 40583 48768 43231 52053 61982 56026 65652
Total Assets 88460 86322 86422 109086 120356 136926 150860 160978 187529 188138 202418

BPCL Cash Flow

#(Fig in Cr.) Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Opening Cash & Cash Equivalents 2804 1741 1482 2037 502 287 200 529 7529 2056 2313
Cash Flow from Operating Activities 9588 20742 11119 9041 11068 10157 7881 23455 20336 12466 35936
Cash Flow from Investing Activities -6881 -10536 -9233 -15274 -7066 -10451 -11135 -2474 -8138 -7806 -10521
Cash Flow from Financing Activities -3736 -9792 -1332 4804 -4218 207 3583 -13981 -17672 -4402 -25427
Net Cash Inflow / Outflow -1029 414 555 -1429 -215 -87 329 7000 -5474 257 -12
Closing Cash & Cash Equivalent 1741 2710 2037 608 287 200 529 7529 2056 2313 2301

BPCL Ratios

# Mar 2014 Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Earnings Per Share (Rs) 9.01 11.08 20.56 22.17 22.9 19.83 7.77 38.62 27.43 5 62.86
CEPS(Rs) 15.36 18.69 25.83 29.53 32.23 30.37 19.69 51.73 40.19 19.96 78.71
DPS(Rs) 2.83 3.75 5.17 10.83 10.5 9.5 8.25 39.5 8 2 15.75
Book NAV/Share(Rs) 44.55 51.81 70.65 78.35 93.09 98.54 92.87 125.9 121.88 125.67 177.02
Core EBITDA Margin(%) 3.4 3.78 5.9 5.6 5.42 4.43 2.65 7 4.42 2.04 8.69
EBIT Margin(%) 2.95 3.43 5.84 5.91 5.5 4.3 1.91 8.02 4.31 1.33 7.96
Pre Tax Margin(%) 2.23 2.97 5.53 5.62 5.07 3.79 1.11 7.37 3.71 0.53 7.14
PAT Margin (%) 1.47 1.96 3.69 3.9 3.5 2.5 1.11 5.69 2.7 0.4 5.3
Cash Profit Margin (%) 2.41 3.13 4.63 4.77 4.54 3.5 2.35 7.12 3.96 1.59 6.63
ROA(%) 4.82 5.82 9.37 9.73 8.54 6.63 2.55 11.11 6.7 1.13 13.75
ROE(%) 22.47 24.31 32.18 32.44 29.04 22.63 9.74 38.82 22.33 4.04 41.59
ROCE(%) 15.91 17.66 25.84 24.46 21.81 18.58 7 24.82 17.85 6.35 34.15
Receivable days 5.88 5.25 4.26 5.26 6.54 6.49 6.8 7.92 7.4 5.62 5.42
Inventory Days 28.51 28.62 26.68 26.83 28.56 24.34 25 29.36 29.06 27.45 29.12
Payable days 16.65 21.62 24.34 21.01 24 23.09 22.36 28.61 28.04 22.91 25.39
PER(x) 8.51 12.18 7.31 9.76 9.34 9.99 20.35 5.54 6.55 34.38 4.79
Price/Book(x) 1.72 2.61 2.13 2.76 2.3 2.01 1.7 1.7 1.47 1.37 1.7
Dividend Yield(%) 3.69 2.78 3.44 5.01 4.91 4.79 5.22 18.46 4.45 1.16 5.23
EV/Net Sales(x) 0.24 0.33 0.42 0.59 0.51 0.41 0.42 0.56 0.38 0.28 0.38
EV/Core EBITDA(x) 5.96 6.78 5.39 7.64 7.11 7.12 11.11 5.39 6.11 10.64 3.64
Net Sales Growth(%) 9.18 -8.25 -22.58 7.15 17.21 26.42 -4.58 -19.12 50.67 36.45 -5.31
EBIT Growth(%) 41.98 8.88 44.43 12.36 6.69 -4.49 -57.13 288.12 -23.62 -62 469.51
PAT Growth(%) 109.33 25.39 59.17 17.53 3 -12.91 -57.01 372.47 -32.55 -81.76 1160.36
EPS Growth(%) 107.92 22.91 85.6 7.81 3.3 -13.39 -60.84 397.21 -28.98 -81.76 1156.31
Debt/Equity(x) 1.72 1.13 0.84 1.16 1.03 1.16 1.63 0.89 1.09 1.14 0.61
Current Ratio(x) 1.08 0.9 1.01 0.8 0.89 0.92 0.72 0.9 0.75 0.75 0.81
Quick Ratio(x) 0.54 0.47 0.54 0.35 0.39 0.49 0.35 0.44 0.24 0.24 0.28
Interest Cover(x) 4.11 7.51 18.83 20.67 12.95 8.32 2.38 12.36 7.15 1.66 9.72
Total Debt/Mcap(x) 1 0.44 0.36 0.38 0.41 0.52 0.87 0.51 0.73 0.82 0.35

BPCL Shareholding Pattern

# Sep 2022 Dec 2022 Mar 2023 Jun 2023 Sep 2023 Dec 2023 Mar 2024 Jun 2024 Sep 2024 Dec 2024
Promoter 52.98 52.98 52.98 52.98 52.98 52.98 52.98 52.98 52.98 52.98
FII 12.96 12.53 12.58 12.55 13.02 14.21 16.8 15.03 15.4 14.71
DII 21.84 22.74 23.53 24.05 23.48 23.07 22.24 22.25 23 23.21
Public 12.22 11.76 10.92 10.43 10.53 9.74 7.99 9.74 8.63 9.1
Others 0 0 0 0 0 0 0 0 0 0
Total 100 100 100 100 100 100 100 100 100 100

Pros

  • Company has delivered good profit growth of 25% CAGR over last 5 years
  • Company has a good return on equity (ROE) track record: 3 Years ROE 23%
  • Company has reduced debt.

Cons

  • Debtor days have increased from 22.91 to 25.39days.

* The pros and cons are machine generated. Pros / cons are based on a checklist to highlight important points. Please exercise caution and do your own analysis.

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