HomeNewsBusinessStocksBerger Paints India shares rise 2.01% in today's session

Berger Paints India shares rise 2.01% in today's session

Berger Paints India shares experienced a rise in today's session, with the stock price at Rs 535.65.

August 28, 2025 / 14:28 IST
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Shares of Berger Paints India rose 2.01% to Rs 535.65 in Thursday's session. The stock is a constituent of the Nifty Midcap 150 index. At 2:20 pm, the stock was trading positively.

Financial Overview

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Berger Paints India's financial performance shows consistent growth over the years. Here's a summary of the company's consolidated financial data:

Consolidated Yearly Performance

HeadingMar 2021Mar 2022Mar 2023Mar 2024Mar 2025
RevenueRs 6,817.59 CroreRs 8,761.78 CroreRs 10,567.84 CroreRs 11,198.92 CroreRs 11,544.71 Crore
Net ProfitRs 725.33 CroreRs 829.09 CroreRs 873.57 CroreRs 1,128.80 CroreRs 1,147.75 Crore
EPS7.418.588.8610.0210.13
BVPS34.8440.5046.3546.2352.78
ROE21.3121.2019.1221.7019.18
Debt to Equity0.110.170.170.040.02

The revenue for the year ending March 2025 was Rs 11,544.71 Crore, showing an increase compared to Rs 11,198.92 Crore in March 2024. Net profit also increased to Rs 1,147.75 Crore in March 2025 from Rs 1,128.80 Crore in March 2024. The debt-to-equity ratio decreased from 0.04 in 2024 to 0.02 in 2025.

Consolidated Quarterly Performance

HeadingJun 2024Sep 2024Dec 2024Mar 2025Jun 2025
RevenueRs 3,091.01 CroreRs 2,774.61 CroreRs 2,975.06 CroreRs 2,704.03 CroreRs 3,200.76 Crore
Net ProfitRs 344.41 CroreRs 261.04 CroreRs 288.73 CroreRs 253.57 CroreRs 303.87 Crore
EPS3.032.312.532.252.70

The revenue for the quarter ending June 2025 was Rs 3,200.76 Crore, up from Rs 2,704.03 Crore in March 2025. Net profit stood at Rs 303.87 Crore for June 2025, compared to Rs 253.57 Crore in March 2025.

Annual Income Statement

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
SalesRs 6,817 CroreRs 8,761 CroreRs 10,567 CroreRs 11,198 CroreRs 11,544 Crore
Other IncomeRs 51 CroreRs 64 CroreRs 51 CroreRs 63 CroreRs 94 Crore
Total IncomeRs 6,869 CroreRs 8,826 CroreRs 10,619 CroreRs 11,262 CroreRs 11,639 Crore
Total ExpenditureRs 5,840 CroreRs 7,657 CroreRs 9,344 CroreRs 9,668 CroreRs 10,042 Crore
EBITRs 1,028 CroreRs 1,169 CroreRs 1,274 CroreRs 1,594 CroreRs 1,596 Crore
InterestRs 44 CroreRs 50 CroreRs 99 CroreRs 78 CroreRs 63 Crore
TaxRs 258 CroreRs 289 CroreRs 301 CroreRs 387 CroreRs 385 Crore
Net ProfitRs 725 CroreRs 829 CroreRs 873 CroreRs 1,128 CroreRs 1,147 Crore
Quarterly Income Statement
Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025
SalesRs 3,091 CroreRs 2,774 CroreRs 2,975 CroreRs 2,704 CroreRs 3,200 Crore
Other IncomeRs 36 CroreRs 21 CroreRs 20 CroreRs 17 CroreRs 28 Crore
Total IncomeRs 3,127 CroreRs 2,795 CroreRs 2,995 CroreRs 2,721 CroreRs 3,229 Crore
Total ExpenditureRs 2,655 CroreRs 2,429 CroreRs 2,592 CroreRs 2,365 CroreRs 2,803 Crore
EBITRs 471 CroreRs 366 CroreRs 403 CroreRs 355 CroreRs 426 Crore
InterestRs 15 CroreRs 17 CroreRs 15 CroreRs 15 CroreRs 14 Crore
TaxRs 111 CroreRs 88 CroreRs 98 CroreRs 87 CroreRs 107 Crore
Net ProfitRs 344 CroreRs 261 CroreRs 288 CroreRs 253 CroreRs 303 Crore
Cash Flow
Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Operating ActivitiesRs 795 CroreRs 566 CroreRs 975 CroreRs 1,591 CroreRs 1,269 Crore
Investing ActivitiesRs -456 CroreRs -521 CroreRs -600 CroreRs -398 CroreRs -649 Crore
Financing ActivitiesRs -281 CroreRs -78 CroreRs -362 CroreRs -1,068 CroreRs -605 Crore
OthersRs 0 CroreRs 0 CroreRs 0 CroreRs 0 CroreRs 0 Crore
Net Cash FlowRs 57 CroreRs -32 CroreRs 12 CroreRs 124 CroreRs 13 Crore
Balance Sheet
Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Share CapitalRs 97 CroreRs 97 CroreRs 97 CroreRs 116 CroreRs 116 Crore
Reserves & SurplusRs 3,279 CroreRs 3,829 CroreRs 4,396 CroreRs 5,262 CroreRs 6,037 Crore
Current LiabilitiesRs 2,050 CroreRs 2,851 CroreRs 2,974 CroreRs 2,362 CroreRs 2,379 Crore
Other LiabilitiesRs 493 CroreRs 433 CroreRs 498 CroreRs 627 CroreRs 597 Crore
Total LiabilitiesRs 5,921 CroreRs 7,212 CroreRs 7,967 CroreRs 8,368 CroreRs 9,131 Crore
Fixed AssetsRs 1,863 CroreRs 2,516 CroreRs 3,160 CroreRs 3,384 CroreRs 3,479 Crore
Current AssetsRs 3,506 CroreRs 4,057 CroreRs 4,164 CroreRs 4,318 CroreRs 4,890 Crore
Other AssetsRs 551 CroreRs 638 CroreRs 642 CroreRs 666 CroreRs 762 Crore
Total AssetsRs 5,921 CroreRs 7,212 CroreRs 7,967 CroreRs 8,368 CroreRs 9,131 Crore
Contingent LiabilitiesRs 655 CroreRs 652 CroreRs 391 CroreRs 392 CroreRs 514 Crore
Financial Ratios
Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Basic EPS (Rs.)7.418.588.8610.0210.13
Diluted Eps (Rs.)7.418.578.8610.0210.12
Book Value [Excl. Reval Reserve]/Share (Rs.)34.8440.5046.3546.2352.78
Dividend/Share (Rs.)2.803.103.203.503.80
Face Value11111
Gross Profit Margin (%)18.1815.9214.5617.1816.89
Operating Margin (%)15.0813.3412.0614.2313.83
Net Profit Margin (%)10.639.468.2610.079.94
Return on Networth / Equity (%)21.3121.2019.1221.7019.18
ROCE (%)26.5626.8025.5326.5423.64
Return On Assets (%)12.1511.5410.7813.9512.92
Current Ratio (X)1.711.421.401.832.05
Quick Ratio (X)0.920.610.620.911.06
Debt to Equity (x)0.110.170.170.040.02
Interest Coverage Ratios (X)23.3227.5215.5124.6030.83
Asset Turnover Ratio (%)115.141.231.301.371.32
Inventory Turnover Ratio (X)4.222.392.362.495.08
3 Yr CAGR Sales (%)14.8820.2228.8428.1714.79
3 Yr CAGR Net Profit (%)25.5428.9814.6724.7517.66
P/E (x)86.0367.9654.7157.1949.38
P/B (x)21.9917.3112.5712.429.47
EV/EBITDA (x)59.8848.9637.0534.5729.69
P/S (x)10.897.765.345.965.05
Corporate Actions

Bonus History: The company has a history of issuing bonus shares. The most recent bonus issue was announced on August 9, 2023, with a ratio of 1:5, and the ex-bonus date was September 22, 2023.