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Bharti Hexacom Limited

Sector: Telecommunication · ISIN: INE343G01021

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Market cap rank
#149
of 5,072 stocks
▼ 41W
Peak #145 · 21 Sep 2026

Operating in Telecommunication, Bharti Hexacom Limited generates a high return on equity, remains firmly promoter-controlled, with promoters holding 70%, and is growing revenue modestly. Ownership as of Jun 2026.

Market Cap
74,090.00 Cr
P/E Ratio
41.16
P/B Ratio
9.95
ROE
24.19%
ROCE
22.09%
Dividend Yield
1.26%
52W High
—
52W Low
—

Quarterly financials

MetricQ1 2026-27Q4 2025-26Q3 2025-26Q2 2025-26
Revenue2,509.90 Cr2,413.70 Cr2,359.80 Cr2,317.30 Cr
Net Profit482.40 Cr446.70 Cr473.70 Cr421.20 Cr
EPS9.658.939.478.42
Operating Profit801.80 Cr780.00 Cr725.10 Cr715.00 Cr

Figures in Cr (crore) unless noted. Source: official company financial disclosures.

Shareholding pattern

Promoter
70.00%
Public
30.00%

PUBLIC BREAKDOWN

FII
3.58%
DII
10.64%
MF (within DII)
8.44%
Individuals
0.60%

As of 30 Jun 2026. FII, DII, MF & Individuals are sub-categories of Public.

Mutual fund holdings

₹6,256.61
Cr total
126
Schemes
28
Fund Houses
₹6,256.61 Cr
Total Exposure
Kotak Mahindra Mutual Fund₹1,872.32 Cr (29.9%)
Motilal Oswal Mutual Fund₹987.73 Cr (15.8%)
ICICI Prudential Mutual Fund₹770.05 Cr (12.3%)
Axis Mutual Fund₹348.50 Cr (5.6%)
HDFC Mutual Fund₹314.31 Cr (5.0%)
Others₹1,963.71 Cr (31.4%)
SchemeFund HouseValue (Cr)%

All MF holders by market value as of 01 Aug 2026.

Recent corporate actions

Ex-DateTypeDetails
31 Jul 2026DividendDividend - Rs 18 Per Share
25 Jul 2025DividendDividend - Rs 10 Per Share
16 Aug 2024DividendDividend - Rs 4 Per Share

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