Bharti Airtel stock is currently trading at Rs 1,934.80, a gain of 0.33 percent, according to the last update at 10:50 am. Bharti Airtel, a constituent of the Nifty 50, has demonstrated significant financial growth over the past few years. Here's an overview of the company's financial performance:
Bharti Airtel Consolidated Financials
The tables below provide a snapshot of Bharti Airtel's financial performance on both a quarterly and annual basis.
Quarterly Results
Heading
Jun 2024
Sep 2024
Dec 2024
Mar 2025
Jun 2025
Revenue
Rs 38,506.40 Crore
Rs 41,473.30 Crore
Rs 45,129.30 Crore
Rs 47,876.20 Crore
Rs 49,462.60 Crore
Net Profit
Rs 3,805.80 Crore
Rs 3,079.50 Crore
Rs 14,474.90 Crore
Rs 12,418.10 Crore
Rs 7,339.00 Crore
EPS
7.21
6.21
25.54
19.02
10.26
The revenue for the quarter ending June 2025 stood at Rs 49,462.60 Crore, up from Rs 47,876.20 Crore in the quarter ending March 2025. The net profit for the quarter ending June 2025 was Rs 7,339.00 Crore.
Annual Results
Heading
2021
2022
2023
2024
2025
Revenue
Rs 100,615.80 Crore
Rs 116,546.90 Crore
Rs 139,144.80 Crore
Rs 149,982.40 Crore
Rs 172,985.20 Crore
Net Profit
-23,327.90 Crore
Rs 5,882.00 Crore
Rs 11,535.30 Crore
Rs 5,848.60 Crore
Rs 33,778.30 Crore
EPS
-27.65
7.67
14.80
13.09
58.00
BVPS
147.90
164.46
210.95
216.40
226.16
ROE
-25.58
6.39
9.19
7.39
25.58
Debt to Equity
2.20
2.00
1.82
1.50
1.13
The annual revenue for the year ending March 2025 was Rs 172,985.20 Crore, which is an increase compared to Rs 149,982.40 Crore in the year ending March 2024. The net profit for the year ending March 2025 was Rs 33,778.30 Crore.
Cash Flow
Heading
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Operating Activities
Rs 98,332 Crore
Rs 78,898 Crore
Rs 65,324 Crore
Rs 55,016 Crore
Rs 48,205 Crore
Investing Activities
-60,269 Crore
-50,203 Crore
-39,080 Crore
-41,869 Crore
-26,888 Crore
Financing Activities
-36,533 Crore
-27,778 Crore
-24,469 Crore
-15,203 Crore
-24,910 Crore
Others
Rs 71 Crore
-885 Crore
-152 Crore
Rs 391 Crore
-397 Crore
Net Cash Flow
Rs 1,600 Crore
Rs 30 Crore
Rs 1,622 Crore
-1,664 Crore
-3,990 Crore
The net cash flow for the year ending March 2025 was Rs 1,600 Crore, compared to Rs 30 Crore for the year ending March 2024.
Balance Sheet
Heading
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Share Capital
Rs 2,900 Crore
Rs 2,876 Crore
Rs 2,836 Crore
Rs 2,795 Crore
Rs 2,746 Crore
Reserves & Surplus
Rs 128,275 Crore
Rs 97,870 Crore
Rs 87,783 Crore
Rs 63,759 Crore
Rs 56,206 Crore
Current Liabilities
Rs 180,440 Crore
Rs 138,667 Crore
Rs 121,963 Crore
Rs 114,026 Crore
Rs 111,635 Crore
Other Liabilities
Rs 202,744 Crore
Rs 205,116 Crore
Rs 234,049 Crore
Rs 183,075 Crore
Rs 175,439 Crore
Total Liabilities
Rs 514,360 Crore
Rs 444,531 Crore
Rs 446,633 Crore
Rs 363,656 Crore
Rs 346,027 Crore
Fixed Assets
Rs 347,769 Crore
Rs 293,705 Crore
Rs 293,045 Crore
Rs 216,206 Crore
Rs 196,299 Crore
Current Assets
Rs 67,588 Crore
Rs 58,276 Crore
Rs 57,501 Crore
Rs 52,027 Crore
Rs 54,752 Crore
Other Assets
Rs 99,001 Crore
Rs 92,549 Crore
Rs 96,086 Crore
Rs 95,421 Crore
Rs 94,975 Crore
Total Assets
Rs 514,360 Crore
Rs 444,531 Crore
Rs 446,633 Crore
Rs 363,656 Crore
Rs 346,027 Crore
Contingent Liabilities
Rs 34,766 Crore
Rs 33,691 Crore
Rs 41,262 Crore
Rs 28,283 Crore
Rs 35,592 Crore
Financial Ratios
Ratio
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Basic EPS (Rs.)
58.00
13.09
14.80
7.67
-27.65
Diluted EPS (Rs.)
56.04
12.80
14.57
7.63
-27.65
Book Value/Share (Rs.)
226.16
216.40
210.95
164.46
147.90
Dividend/Share (Rs.)
16.00
8.00
4.00
3.00
0.00
Face Value
5
5
5
5
5
Gross Profit Margin (%)
54.76
53.15
51.89
49.82
45.73
Operating Margin (%)
28.42
26.79
25.71
21.43
16.50
Net Profit Margin (%)
19.52
3.89
8.29
5.04
-12.19
Return on Equity (%)
25.58
7.39
9.19
6.39
-25.58
ROCE (%)
14.72
13.13
11.01
10.00
7.08
Return On Assets (%)
6.52
1.67
1.86
1.17
-4.35
Current Ratio (X)
0.37
0.42
0.47
0.46
0.49
Quick Ratio (X)
0.37
0.42
0.47
0.45
0.49
Debt to Equity (x)
1.13
1.50
1.82
2.00
2.20
Interest Coverage (X)
4.35
3.52
3.74
3.49
1.10
Asset Turnover Ratio (%)
0.36
0.34
0.24
0.22
29.07
Inventory Turnover Ratio (X)
424.19
0.00
0.00
0.00
378.25
3 Yr CAGR Sales (%)
21.83
22.09
26.08
20.12
9.65
3 Yr CAGR Net Profit (%)
139.64
-49.93
-39.31
110.15
355.85
P/E (x)
29.89
93.86
50.61
98.43
-18.36
P/B (x)
7.65
7.00
4.68
6.34
4.82
EV/EBITDA (x)
12.41
10.86
8.39
9.77
9.19
P/S (x)
5.80
4.71
3.05
3.62
2.82
Furthermore, Bharti Airtel has been actively engaging with its stakeholders through various corporate actions. Recent announcements include:
Disclosure under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015
Clarification on Volume Movement Letter
Announcement under Regulation 30 (LODR)-Earnings Call Transcript
The company has also consistently rewarded its shareholders with dividends. The most recent dividend was announced on May 13, 2025, with a final dividend of Rs.16.00 per share (320%) and an effective date of July 18, 2025.
Bharti Airtel's recent performance reflects a neutral sentiment according to a Moneycontrol analysis as of August 18, 2025.
Bharti Airtel's recent performance reflects a neutral sentiment according to a Moneycontrol analysis as of August 18, 2025.