Overview (18 Sep 2026)
BF Utilities Ltd
BFUTILITIE
INE243D01012

Road AssetsGÇôToll- Annuity- Hybrid-Annuity
Result was last declared on 14 Aug 2026
20.95

Prev. Close
Previous Close
521.05
Current Close
542
Current High
564.75
Current Low
523.95
52 Week High
899
52 Week Low
369
Resistance 1
563.19
Resistance 2
584.37
Support 1
522.39
Support 2
481.59
Std Deviation
5.61%
DMA 200
556.04
DMA 50
555.11
DMA 20
522.76
Fundamentals and Ratios
Standalone
Trailing EPS
0.59
Forwad EPS
-3.91
Trailing P/E
918.64
Forward P/E
NA
PEG Ratio
0.42
Mkt. Cap (Cr)
Market Cap (Cr)
2041.59
Total Debt(Cr)
Tot. Debt(Cr)
0.00
Reserve (Cr)
147.74
Book Value
44.42
P/BV Ratio
12.2
ROCE(%)
-5.00
ROE
-5.00
Consolidated
Trailing EPS
0.59
Forwad EPS
43.36
Trailing P/E
918.64
Forward P/E
12.5
PEG Ratio
4.28
Mkt. Cap (Cr)
Market Cap (Cr)
2041.59
Total Debt(Cr)
Tot. Debt(Cr)
0.08
Reserve (Cr)
147.74
Book Value
44.18
P/BV Ratio
12.27
ROCE(%)
387.15
ROE
233.4000

 

Financial Result
Standalone
TypeJun-26Mar-26Dec-25Sep-25Jun-25FY25-26
Revenue5.881.673.467.975.7718.86
Other Income0.720.841.081.0811.4914.48
Total Income6.602.514.539.0517.2533.34
Interest0.000.000.000.000.000.00
Expenditure-11.61-7.15-5.13-6.47-7.96-26.72
PBDT0.000.000.000.000.000.00
Depreciation-0.14-0.14-0.16-0.17-0.17-0.64
PBT-5.01-3.35-2.782.589.295.74
Tax-0.02-0.290.44-0.79-2.87-3.50
Equity18.8318.830.000.0018.8318.83
OPM-75.91-133.47-80.3432.3053.8617.20
Net Profit-5.03-3.64-2.331.796.422.23
NPM-76.21-145.02-67.522.4337.226.7
EPS-1.34-0.97-0.620.471.70.59
Consolidated
TypeDec-25Sep-25Jun-25Sep-24Jun-24FY25-26
Revenue234.97231.63211.57221.34197.4518.8607
Other Income8.636.916.236.475.3514.48
Total Income243.60238.54217.80227.81202.8133.34
Interest18.7119.5821.7030.1131.600.00
Expenditure-92.17-92.16-83.92-102.23-95.01-26.72
PBDT0.000.000.000.000.000.00
Depreciation-17.65-17.60-17.36-18.15-17.87-0.64
PBT149.25146.37133.89125.58107.795.74
Tax-46.49-47.95-37.30-34.58-28.42-3.50
Equity0.000.0018.830.000.0018.83
OPM61.2761.3661.4755.1353.1517.20
Net Profit102.7698.4296.5991.0179.372.23
NPM42.1841.2644.3539.9539.146.7
EPS11.0511.2810.1910.399.820.59
Annual Reports

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