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SummaryLatest NewsSector ComparisonEarnings ReportRevenue & GrowthPeersIncome StatementBalance SheetCash Flow
BBTC logo

BBTC - Bombay Burmah Trading Corpn. Ltd. Share Price

Food Products
Sharesguru Stock Score

BBTC

85/100

High Scoring Large Cap stocks have outperformed low scoring stocks by 90% over last 4 years

₹1527.20+45.00(+3.04%)
Market Closed as of Jun 9, 2026, 15:30 IST
Pros

Past Returns: Outperforming stock! In past three years, the stock has provided 17.7% return compared to 7.9% by NIFTY 50.

Buy Backs: Company has bought back it's stock in the past which is a good thing.

Size: Market Cap wise it is among the top 20% companies of india.

Balance Sheet: Strong Balance Sheet.

Profitability: Recent profitability of 13% is a good sign.

Smart Money: Smart money has been increasing their position in the stock.

Cons

No major cons observed.

Price to Sales Ratio

Revenue (Last 12 mths)

Net Income (Last 12 mths)

Sharesguru Stock Score

BBTC

85/100

High Scoring Large Cap stocks have outperformed low scoring stocks by 90% over last 4 years

Valuation

Market Cap10.67 kCr
Price/Earnings (Trailing)8.59
Price/Sales (Trailing)0.54
EV/EBITDA2.99
Price/Free Cashflow4.88
MarketCap/EBT3.17
Enterprise Value11.52 kCr

Fundamentals

Revenue (TTM)19.85 kCr
Rev. Growth (Yr)7.3%
Earnings (TTM)2.5 kCr
Earnings Growth (Yr)33.5%

Profitability

Operating Margin16%
EBT Margin17%
Return on Equity26.04%
Return on Assets17.19%
Free Cashflow Yield20.47%

Growth & Returns

Price Change 1W1.8%
Price Change 1M-1.6%
Price Change 6M-17.4%
Price Change 1Y-22.8%
3Y Cumulative Return17.7%
5Y Cumulative Return3.6%
7Y Cumulative Return4.4%
10Y Cumulative Return14.8%

Cash Flow & Liquidity

Cash Flow from Investing (TTM)-938.44 Cr
Cash Flow from Operations (TTM)2.42 kCr
Cash Flow from Financing (TTM)-1.13 kCr
Cash & Equivalents704.06 Cr
Free Cash Flow (TTM)2.18 kCr
Free Cash Flow/Share (TTM)313.12

Balance Sheet

Total Assets14.54 kCr
Total Liabilities4.94 kCr
Shareholder Equity9.6 kCr
Current Assets5.35 kCr
Current Liabilities4.49 kCr
Net PPE2.76 kCr
Inventory1.41 kCr
Goodwill1.02 kCr

Capital Structure & Leverage

Debt Ratio0.11
Debt/Equity0.16
Interest Coverage23.44
Interest/Cashflow Ops18.56

Dividend & Shareholder Returns

Dividend/Share (TTM)21
Dividend Yield1.37%
Shares Dilution (1Y)0.00%
Shares Dilution (3Y)0.00%
Pros

Past Returns: Outperforming stock! In past three years, the stock has provided 17.7% return compared to 7.9% by NIFTY 50.

Buy Backs: Company has bought back it's stock in the past which is a good thing.

Size: Market Cap wise it is among the top 20% companies of india.

Balance Sheet: Strong Balance Sheet.

Profitability: Recent profitability of 13% is a good sign.

Smart Money: Smart money has been increasing their position in the stock.

Cons

No major cons observed.

The Good, Bad and Ugly
Growth
Measures how quickly a company is expanding through metrics like revenue growth, earnings growth, and cash flow growth over time. Strong growth can indicate future potential.
Profitability
Shows how efficiently a company turns business activities into profit, using metrics like profit margins, return on equity (ROE), and return on assets (ROA).
Size
Indicates the company's market presence through metrics like market capitalization, total assets, and revenue. Size can influence stability and market influence.
Dilution Rank
Tracks how much the company's shares have increased or decreased over time. Lower dilution means existing shareholders maintain stronger ownership stakes.
Balance Sheet
Evaluates the company's financial health by analyzing assets, debts, and equity. A strong balance sheet indicates financial stability and flexibility.
Momentum
Measures the strength and speed of price movements, showing whether the stock is gaining or losing market favor over different time periods.
Technicals
Analyzes price patterns, trading volumes, and other market indicators to identify potential trading opportunities and market trends.
Smart Money
Tracks the investment activities of institutional investors, hedge funds, and other large financial players who often have deep research capabilities.
Insider Trading
Monitors buying and selling of company shares by executives, directors, and other insiders who may have unique insights into the company's prospects.

Investor Care

Dividend Yield1.37%
Dividend/Share (TTM)21
Shares Dilution (1Y)0.00%
Earnings/Share (TTM)178.11

Financial Health

Current Ratio1.19
Debt/Equity0.16

Technical Indicators

RSI (14d)51.46
RSI (5d)69
RSI (21d)47.11
MACD SignalSell
Stochastic Oscillator SignalHold
SharesGuru SignalBuy
RSI SignalHold
RSI5 SignalHold
RSI21 SignalHold
SMA 5 SignalBuy
SMA 10 SignalBuy
SMA 20 SignalBuy
SMA 50 SignalBuy
SMA 100 SignalBuy

Summary of Latest Earnings Report from Bombay Burmah Trading Corpn.

Summary of Bombay Burmah Trading Corpn.'s latest earnings call, featuring management's outlook on business performance, financial results, and analyst Q&A sessions that highlight key strategic initiatives and market challenges.

Revenue Breakdown

Analysis of Bombay Burmah Trading Corpn.'s financial performance, highlighting revenue trends, growth patterns, and key metrics through quarterly analysis.

Last Updated: Mar 31, 2026

DescriptionShareValue
Food-bakery and dairy products96.0%4.7 kCr
Investments2.4%116.2 Cr
Auto electrical components1.0%49 Cr
Horticulture0.6%27.5 Cr
Total4.9 kCr

Share Holdings

Understand Bombay Burmah Trading Corpn. ownership landscape with insights into key distribution patterns, offering investors a clear view of stakeholder dynamics.

Holding Pattern

Share Holding Details

Shareholder NameHolding %
NOWROSJEE WADIA & SONS LIMITED41.95%
NUSLI NEVILLE WADIA10%
NAPEROL INVESTMENTS LIMITED9.44%
WALLACE BROTHERS TRADING AND INDUSTRIAL LIMITED8.11%
THE BOMBAY DYEING AND MANUFACTURING COMPANY LIMITED3.25%
ACACIA PARTNERS, LP1.5%
ACACIA INSTITUTIONAL PARTNERS, LP1.5%
INVESTOR EDUCATION AND PROTECTION FUND AUTHORITY M1.2%
ACACIA CONSERVATION FUND LP1.16%
N N WADIA ADMIN OF ESTATE OF LT EF DINSHAW (Adminstrator: Mr. N. N. WADIA)0.34%
SAHARA INVESTMENTS PRIVATE LIMITED0.24%
NIDHIVAN INVESTMENTS AND TRADING COMPANY PRIVATE LIMITED0.21%
HEERA HOLDINGS AND LEASING PRIVATE LIMITED0.21%
GO INVESTMENTS AND TRADING PRIVATE LIMITED0.16%
VARNILAM INVESTMENTS AND TRADING COMPANY LIMITED0.05%
NESSVILLE TRADING PVT LTD0.03%
NESS NUSLI WADIA0.03%
MAUREEN NUSLI WADIA0.01%
JEHANGIR NEVILLE WADIA0.01%
CELINA JEHANGIR WADIA0%

Overall Distribution

Distribution across major stakeholders

Ownership Distribution

Distribution across major institutional holders

Is Bombay Burmah Trading Corpn. Better than it's peers?

Detailed comparison of Bombay Burmah Trading Corpn. against industry peers, highlighting key financial metrics, valuation ratios, and performance indicators to provide competitive context within the sector.

Ticker
Name
Mkt Cap
Revenue
Price %, 1M
Returns, 1Y
P/E
P/S
Rev 1-Yr
Inc 1-Yr
TATACONSUMTATA CONSUMER PRODUCTS1.12 LCr20.46 kCr-1.80%+1.70%72.545.47--
CCLCCL Products (India)14.45 kCr4.47 kCr-8.20%+20.50%37.113.23--
MCLEODRUSSMcLeod Russel India740.7 Cr1.16 kCr+19.00%+110.30%-60.64--
HARRMALAYAHarrisons Malayalam371.82 Cr562.93 Cr-11.70%-7.70%12.760.66--
JAYSREETEAJay Shree Tea & Industries246.27 Cr943.26 Cr-11.80%-19.20%-9.820.26--

Sector Comparison: BBTC vs Food Products

Comprehensive comparison against sector averages

Comparative Metrics

BBTC metrics compared to Food

CategoryBBTCFood
PE 8.5929.73
PS0.543.33
Growth6.9 %6.9 %
0% metrics above sector average
Key Insights
  • 1. BBTC is among the Top 5 Packaged Foods companies by market cap.
  • 2. The company holds a market share of 24.8% in Packaged Foods.
  • 3. The company is growing at an average growth rate of other Packaged Foods companies.

Income Statement for Bombay Burmah Trading Corpn.

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Revenue From Operations6.8%19,53918,29817,10916,62314,54413,396
Other Income17.2%315269398456367339
Total Income6.9%19,85318,56717,50717,07914,91113,735
Cost of Materials5%10,50310,0028,7048,4767,6036,593
Purchases of stock-in-trade-0.2%8228249561,3521,3751,171
Employee Expense13.8%932819833769643629
Finance costs-12.7%138158364425252150
Depreciation and Amortization8%352326313239215213
Other expenses7.4%3,8493,5843,5173,3182,7402,625
Total Expenses6%16,58315,64714,68614,50312,78011,345
Profit Before exceptional items and Tax12%3,2712,9202,8212,5762,1312,390
Exceptional items before tax818.7%94-11.94-105.54-1,475.30-0.61
Total profit before tax15.7%3,3652,9082,7151,1002,1312,389
Current tax1.2%858848869799756805
Deferred tax-192.1%-6.69.25-79.115-50.2741
Total tax-0.6%852857790814706847
Total profit (loss) for period13.6%2,4992,1991,737-533.388091,278
Other comp. income net of taxes2860%29711-32.26229-20.7864
Total Comprehensive Income26.5%2,7962,2101,705-304.467881,342
Earnings Per Share, Basic10.8%178.1160.998.03-240.949.0952.96
Earnings Per Share, Diluted-178.1098.03-240.949.0952.96
Debt equity ratio0%01702-0.0113083-
Debt service coverage ratio8%0.11150.0347-0.02470.0397-
Interest service coverage ratio6.2%0.27210.2244-0.05140.0787-
Description(%) Q/QMar-2026Dec-2025Sep-2025Jun-2025Mar-2025Dec-2024
Revenue From Operations-4.9%4,8185,0664,9434,7124,5194,685
Other Income14.9%867581725174
Total Income-4.6%4,9045,1415,0244,7844,5704,759
Cost of Materials-6.8%2,5242,7072,6882,5842,4762,669
Purchases of stock-in-trade0%213213187210210204
Employee Expense-12.9%211242209270190134
Finance costs-39.5%243941343951
Depreciation and Amortization1.1%898889868486
Other expenses-1%9981,008922922833820
Total Expenses-3.4%4,0984,2444,1344,1073,8403,947
Profit Before exceptional items and Tax-10.2%806897890677730812
Exceptional items before tax3766.7%883.253.13057-22.55
Total profit before tax-0.7%894900893677787789
Current tax-60.8%97246331185192187
Deferred tax211.1%11-8-5.49-4.52113.4
Total tax-54.9%108238325180203191
Total profit (loss) for period19.3%781655566498585627
Other comp. income net of taxes84.6%975310542-6.744.93
Total Comprehensive Income24%878708671540578632
Earnings Per Share, Basic41.2%63.6345.3434.6434.544.2448.58
Earnings Per Share, Diluted41.2%63.6345.3434.6434.5048.58
Debt equity ratio0%0170203026020
Debt service coverage ratio-6.7%0.09830.15510.08950.12520.07530.12
Interest service coverage ratio17.4%0.38770.25890.2480.23610.21830.19
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Revenue From Operations7.7%296275261245339208
Other Income-33.7%1311971219072107
Total Income-9.6%427472383335412315
Cost of Materials5.6%15114313312110376
Purchases of stock-in-trade30.3%5.264.272.633.162.611.23
Employee Expense-14%758798889083
Finance costs-25%253362878375
Depreciation and Amortization15.7%7.626.727.257.119.218.7
Other expenses-3.7%808379747866
Total Expenses-0.8%352355378378394311
Profit Before exceptional items and Tax-36.8%751184.56-43.02183.79
Exceptional items before tax1250%136110-186.22100
Total profit before tax64.1%2111294.56-229.24283.79
Current tax-105.8%0.627.5370120.36
Deferred tax-182.6%02.211.2106.40.62
Total tax-104.3%0.629.758.210180.99
Total profit (loss) for period78%211119-5.888.799.892.8
Other comp. income net of taxes-119%0.732.422.72-5.77-19.771.25
Total Comprehensive Income73.6%211122-3.163.02-9.884.05
Earnings Per Share, Basic81.4%30.1817.09-0.841.261.420.4
Earnings Per Share, Diluted-30.180-0.841.261.420.4
Debt equity ratio-1%0730.0171-0.04630.04790.02
Debt service coverage ratio0.3%0.03460.0321-0160.0130.011
Interest service coverage ratio-0.4%0.04350.0477-0590.01330.012
Description(%) Q/QMar-2026Dec-2025Sep-2025Jun-2025Mar-2025Dec-2024
Revenue From Operations-1.4%727380726373
Other Income-98.1%3.331215.590.544.69131
Total Income-61.7%75194867268204
Cost of Materials-25.6%334441333639
Purchases of stock-in-trade-72.9%1.261.961.550.490.931.13
Employee Expense-10.5%182019201922
Finance costs-22.7%4.855.986.237.558.868.87
Depreciation and Amortization-6.8%1.821.881.872.051.71.7
Other expenses-30%152121202220
Total Expenses-13.2%809296858792
Profit Before exceptional items and Tax-105.7%-4.84103-10.55-12.21-19.23113
Exceptional items before tax-8803.134556-22.55
Total profit before tax-19.6%83103-7.42333790
Current tax-0.620007.22-6
Deferred tax-00002.210
Total tax-0.620009.43-6
Total profit (loss) for period-20.6%82103-7.42332796
Other comp. income net of taxes-144.3%-0.710.30.780.36-0.24-0.68
Total Comprehensive Income-20.6%82103-6.64342795
Earnings Per Share, Basic-21.2%11.7914.69-1.064.773.9413.77
Earnings Per Share, Diluted-21.2%11.7914.69-1.064.7700
Debt equity ratio0.1%0730640.01210.01150.01710.01
Debt service coverage ratio-22.2%0380.1846-028-023-0680.09
Interest service coverage ratio-22.2%0380.1846-039-035-0980.14

Balance Sheet for Bombay Burmah Trading Corpn.

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2026Sep-2025Mar-2025Sep-2024Mar-2024Sep-2023
Cash and cash equivalents-6.9%7047563411,084747502
Current investments158.9%1,6406341,1151,3741,697651
Loans, current25%76616161211581
Total current financial assets24.5%3,7843,0392,8804,0313,9325,404
Inventories-37.8%1,4082,2641,3062,0341,2441,713
Current tax assets--0---2.18
Total current assets-3.2%5,3525,5294,3466,2505,1777,302
Property, plant and equipment-2.8%2,7572,8372,8302,8722,7022,685
Capital work-in-progress-43.1%4273905818985
Investment property0%282829272828
Goodwill0.6%1,0231,0171,0121,0101,0091,009
Non-current investments24.4%3,0212,4282,120761628835
Loans, non-current0%252525260.88201
Total non-current financial assets24.3%3,0802,4792,1818196571,062
Total non-current assets6.1%9,1868,6588,3777,0176,7786,875
Total assets---12,723---
Total assets---12,723---
Total assets2.4%14,53914,19312,72313,27111,96214,185
Borrowings, non-current-55.8%2866467138099133,353
Total non-current financial liabilities-51.8%3597447858881,0003,413
Provisions, non-current7%474443444237
Total non-current liabilities-44.7%4377908619581,0453,452
Borrowings, current-30.2%1,2701,8188252,1191,2212,174
Total current financial liabilities-11.4%3,6634,1353,0744,5253,3934,298
Provisions, current-3.6%641665640632596612
Current tax liabilities-66.3%8525013119499181
Total current liabilities-14.9%4,4895,2724,0485,5854,2625,305
Total liabilities---4,911---
Total liabilities---4,911---
Total liabilities-18.5%4,9406,0624,9116,5495,3108,758
Equity share capital0%141414141414
Non controlling interest36.4%2,5561,8742,1811,6151,9751,436
Total equity18%9,5988,1317,8136,7216,6515,426
Total equity and liabilities2.4%14,53914,19312,72313,27111,96214,185
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2026Sep-2025Mar-2025Sep-2024Mar-2024Sep-2023
Cash and cash equivalents408.3%621312716517
Loans, current-6.7%0.20.250.360.320.38245
Total current financial assets41.4%1248886153129330
Inventories-6.9%555963575758
Current tax assets---0-02.18
Total current assets7.9%192178180243202408
Property, plant and equipment-4.9%596271627376
Capital work-in-progress1190.9%3.40.780.781.281.262.19
Investment property-0-000.080.08
Non-current investments1%3153123524.073513.48
Loans, non-current-4.2%0.260.290.420.690.88101
Total non-current financial assets1%3183153607.26355107
Total non-current assets4.7%401383436427436542
Total assets4.8%594567617674639952
Borrowings, non-current-009.9505.89103
Total non-current financial liabilities-11.7%8.119.059.951.237.32104
Provisions, non-current33.5%118.499.9612119.15
Total non-current liabilities5.9%1918201318114
Borrowings, current-21.5%198252314381343584
Total current financial liabilities-18.2%249304369430387641
Provisions, current4.5%242324242630
Current tax liabilities---5.169.544.364.42
Total current liabilities-16.9%276332407470424683
Total liabilities-11.2%311350428489445798
Equity share capital0%141414141414
Total equity30.6%283217189185194154
Total equity and liabilities4.8%594567617674639952

Cash Flow for Bombay Burmah Trading Corpn.

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Finance costs-1380364425252-
Change in inventories-69.6%-103.65-60.6924166-250.89-
Depreciation8%352326313239215-
Impairment loss / reversal214.4%9.083.5718900-
Unrealised forex losses/gains-102.6%039-38.257.84-10.45-
Dividend income-2603.0800.56-
Adjustments for interest income-21902690226-
Share-based payments-00004.78-
Net Cashflows from Operations6.9%3,3483,1312,8963,5242,172-
Dividends received94.2%0-16.250-0.490-
Interest paid99.4%0-158.36000-
Interest received99.3%0-150.210-251.460-
Income taxes paid (refund)17%930795858798725-
Net Cashflows From Operating Activities3.9%2,4182,3282,0382,4741,447-
Cashflows used in obtaining control of subsidiaries-0001.450-
Proceeds from sales of PPE63.4%1177231713314-
Purchase of property, plant and equipment-40.1%233388574721575-
Proceeds from sales of investment property-57.8%-1,335.8-846.37000-
Purchase of investment property1690.9%150.12000-
Proceeds from sales of long-term assets-54013-1,376.04222-
Cash receipts from repayment of advances and loans made to other parties-100.5%02008301,7972,033-
Dividends received66.7%26163.080.490.56-
Interest received27.4%201158262268268-
Other inflows (outflows) of cash363.4%247-92.382,986410-1,913.07-
Net Cashflows From Investing Activities2%-938.44-957.723,786-856.55-2,996.8-
Proceeds from issuing debt99.9%0-698.5200699-
Proceeds from borrowings26.2%32425701,1552,317-
Repayments of borrowings-4.7%2052154,4127210-
Payments of lease liabilities-6.0103.534.244.79-
Dividends paid1.4%1,0119978626821,284-
Interest paid-29.4%133188371464233-
Other inflows (outflows) of cash-2068.6%-100.49-3.680.47-445.460-
Net Cashflows from Financing Activities38.6%-1,131.8-1,844.32-5,646.99-1,161.431,494-
Effect of exchange rate on cash eq.803.6%162.6627103.31-
Net change in cash and cash eq.176.6%363-471.52204466-51.97-
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Finance costs-25%2533628783-
Change in inventories178.5%6.34-5.812-10.8924-
Depreciation-52.7%7.62157.257.119.21-
Impairment loss / reversal-002.54340-
Unrealised forex losses/gains-40.4%-0.46-0.040.0700.06-
Dividend income-32.8%126187984930-
Adjustments for interest income10.5%1.211.19203939-
Share-based payments-00001.03-
Net Cashflows from Operations89.9%-7.76-85.31-39.01-44.9857-
Income taxes paid (refund)8.1%7.026.57-2.41-3.216.2-
Net Cashflows From Operating Activities83%-14.78-91.88-36.6-41.7651-
Proceeds from sales of PPE-101.5%0672524410-
Purchase of property, plant and equipment28.6%5.364.394.856.768.11-
Proceeds from sales of investment property37566.7%1141.3000-
Cash receipts from repayment of advances and loans made to other parties-00345539670-
Dividends received-32.8%126187984930-
Interest received-14.3%1.181.21223946-
Other inflows (outflows) of cash1181.7%91-7.3213-0.030.08-
Net Cashflows From Investing Activities34%328245724172103-
Proceeds from borrowings-24.9%264351285628565-
Repayments of borrowings-2.3%378387888687597-
Payments of lease liabilities3550%1.690.9800.50-
Dividends paid-5.6%1201278.468.378.46-
Interest paid-25.7%2736699377-
Net Cashflows from Financing Activities-30.8%-262.94-200.81-681.41-161.21-118.11-
Effect of exchange rate on cash eq.17.3%0.14-0.04000.01-
Net change in cash and cash eq.199.7%50-48.156.04-30.5536-

What does Bombay Burmah Trading Corpn. Ltd. do?

Packaged Foods•Fast Moving Consumer Goods•Small Cap

Bombay Burmah Trading Corporation, Limited, known as Bombay Burmah Trading Corpn., is a diversified Packaged Foods company based in Mumbai, India. It operates under the stock ticker BBTC and has a market capitalization of Rs. 13,406.7 Crores.

The company engages in various sectors, including:

  • Tea and Coffee Plantations
  • Auto Electric Components
  • Healthcare
  • Real Estate

Bombay Burmah Trading Corpn. operates through six segments:

  1. Plantation - Tea
  2. Health Care
  3. Auto Electric Components
  4. Investments
  5. Horticulture
  6. Food - Bakery & Dairy Products

The company is involved in the production and trade of tea, coffee, timber, cardamom, and pepper. Additionally, it manufactures and trades dental products, automotive components such as solenoids, switches, valves, and slip rings, as well as analytical precision balances and weighing scales. The firm also participates in property development and horticulture, including decorative plants and landscaping services.

Established in 1863, Bombay Burmah Trading Corporation has seen substantial financial success, boasting trailling 12 months revenues of Rs. 18,236.7 Crores and a profitable status with a profit of Rs. 2,141 Crores over the past four quarters.

Investors benefit from a dividend yield of 0.95% per year, with a recent distribution of Rs. 18.2 per share. Over the past three years, the company has experienced a revenue growth of 26.8%.

Industry Group:Food Products
Employees:2,491
Website:www.bbtcl.com

Important Disclosure & Data Context

This is an informational page just to provide a quick 'first look' at the stock. You must do your own deeper research. Know your risk appetite. Consult a SEBI-registered financial advisor before making any investment decisions.

Performance Comparison

BBTC vs Food (2021 - 2026)

BBTC is underperforming relative to the broader Food sector and has declined by 11.9% compared to the previous year.