Mrs. Bectors Food Specialities stock was trading red on Friday afternoon, falling 0.9% intraday to a low of Rs 1,395.5 on NSE, as the stock turned ex-dividend today. Mrs. Bectors -- the makers of Cremica biscuits and English Oven breads -- had announced a final dividend of Rs 3.00 per share, with the ex-date due today, September 12, 2025.
Mrs Bectors stock is a constituent of the Nifty Total Market index; the firm's market capitalisation is over Rs 8,582 crore.
Dividend Details
The final dividend of Rs 3.00 per share provides a cash reward for shareholders. It's crucial for investors to note the ex-date, as those holding shares before this date will be eligible for the dividend. This corporate action reflects the company's financial performance and its commitment to rewarding shareholders. Particulars Details Dividend per share ₹3.00 Ex-Date September 12, 2025 Financial Overview
Mrs. Bectors has demonstrated consistent financial performance, as evidenced by both quarterly and yearly results. The company's revenue and net profit have shown growth, underscoring its market position and operational efficiency. Quarterly Performance: In June 2025, Mrs. Bectors reported a revenue of ₹472.96 crore and a net profit of ₹30.85 crore. This compares to a revenue of ₹439.40 crore and a net profit of ₹35.40 crore in June 2024. While revenue increased, net profit saw a slight decrease. Yearly Performance: For the year 2025, Mrs. Bectors recorded a revenue of ₹1,873.88 crore and a net profit of ₹143.14 crore. This shows significant growth compared to 2021, where revenue was ₹880.73 crore and net profit was ₹72.28 crore. The company's EPS stands at ₹23.79, and the book value per share is ₹190.03. Metric 2021 2022 2023 2024 2025 Revenue (₹ Cr) 880.73 988.17 1,362.14 1,623.95 1,873.88 Net Profit (₹ Cr) 72.28 57.10 90.41 140.29 143.14 EPS (₹) 12.53 9.72 15.31 23.87 23.79 Balance Sheet Highlights
The company’s balance sheet reflects a strong asset base. Total assets have increased from ₹659 crore in March 2021 to ₹1,457 crore in March 2025. Key components include fixed assets and current assets, indicating sustained investment in operational capabilities. Particulars Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025 Total Assets 659 695 789 1,039 1,457 Fixed Assets 373 392 441 576 732 Current Assets 239 265 276 381 511 Cash Flow Analysis
The company’s cash flow statement reveals a balanced approach between operating, investing, and financing activities. In March 2025, the net cash flow stood at ₹16 crore, supported by operating activities. The trend over the past five years reflects strategic cash management and investment in growth opportunities. Particulars Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025 Net Cash Flow 10 0 -23 -2 16 Operating Activities 105 71 147 132 136
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