Bajaj Consumer Care Ltd (BAJAJCON) — shareholding pattern, promoter holding, financials and share price

About Bajaj Consumer Care Ltd (BAJAJCON)

Bajaj Consumer Care Ltd operates in the Personal Care industry, within the Fast Moving Consumer Goods sector. It trades on the NSE as BAJAJCON and on the BSE under scrip code 533229. Its ISIN is INE933K01021.

Bajaj Consumer Care is engaged in the business of cosmetics, toiletries and other personal care products. The Company has presence in both domestic and international markets.(Source : 201903 Annual Report Page No: 98)

Bajaj Consumer Care Limited is an Indian consumer goods company focused on hair oils, personal care and select skin and oral care brands, with flagship brand Almond Drops (ADHO) and additional portfolio brands including Nomarks, Brahmi Amla and recently acquired Banjara’s and Vishal Personal Care; products are manufactured across multiple Indian plants and sold through broad GT, OT and international channels.

FY26 consolidated revenue reached INR 1,153.4 crore, up 21.4% year-on-year, with gross margin expanding to 60.1% and consolidated EBITDA rising to INR 224.4 crore (19.5% margin), marking a financial turnaround driven by pricing, revenue management, mix improvement and MLH optimisation—this is the first year the company crossed the INR 1,000 crore revenue threshold.

Listed peers in Personal Care: Honasa Consumer Ltd, Anondita Medicare Ltd, Radix Industries (India) Ltd, Macobs Technologies Ltd, Sat Kartar Life Ltd.

Valuation & Returns

10 Jul 2026

At ₹670.3 a share on 10 Jul 2026, Bajaj Consumer Care Ltd (BAJAJCON) was valued at a price-to-earnings ratio of 46.03x against an industry P/E of 46.1x and a price-to-book of 11.71x on a book value of ₹57.26 per share as of Mar 2025. Solomo computes return on equity of 25.43% and return on capital employed of 30.98% from filed results. Earnings ratios use consolidated results for the twelve months Jun 2025 to Mar 2026.

P/E
46.03x
Industry P/E
46.1x
P/B
11.71x
EPS (TTM)
₹14.56
Book value / share
₹57.26
ROE
25.43%
ROCE
30.98%
ROA
21.11%
Debt / equity
0.01x
Dividend yield
0%
EBITDA margin
21.53%
52-week range
₹220.05 – ₹680

Ratios are computed from filed results and the last recorded price. Not investment advice.

Financial Performance

Mar 2026

In the year ended Mar 2026, Bajaj Consumer Care Ltd (BAJAJCON) reported revenue of ₹1,165 crore, net profit of ₹190 crore and earnings per share of ₹14.56. That compares with revenue of ₹965 crore and net profit of ₹125 crore in Mar 2025. Figures are consolidated, as filed with the exchanges.

In the quarter ended Jun 2026, revenue was ₹342 crore and net profit ₹71 crore (consolidated).

Consolidated annual results for Bajaj Consumer Care Ltd (BAJAJCON), Mar 2022 to Mar 2026. Revenue and net profit in ₹ crore; EPS in ₹ per share.
MetricMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue (₹ cr)8809619849651,165
Net profit (₹ cr)170139155125190
EPS (₹)11.59.6310.889.1414.56
Compound annual growth for Bajaj Consumer Care Ltd (BAJAJCON). Stock price CAGR is price return and excludes dividends.
Measure10Y5Y3Y1Y
Sales growth1.90%2.23%2.39%-1.96%
Profit growth-4.56%-7.34%-9.32%-19.41%
Stock price CAGR3%14%41%133%

Ownership Summary

Jun 2026

As of Jun 2026, promoters hold 42.97% of Bajaj Consumer Care Ltd (BAJAJCON) (unchanged from the previous quarter), foreign institutional investors (FII) hold 16.11% and domestic institutional investors (DII) hold 14.91%. Market capitalisation was ₹8,755 crore on 10 Jul 2026. Shareholding is filed quarterly with BSE and NSE; Solomo carries every filing back to Sep 2010.

Largest disclosed public shareholders in Jun 2026: HDFC MUTUAL FUND - HDFC MULTI CAP FUND 6.47%, NIPPON LIFE INDIA TRUSTEE LTD-A/C NIPPON INDIA SMALL CAP FUND 5.58%, HILL FORT INDIA FUND LP 3.02%, 360 ONE FOCUSED EQUITY FUND 1.56%, JUPITER INDIA FUND 1.09%, ACADIAN EMERGING MARKETS SMALL CAP EQUITY FUND, LLC 1.04%. Only stakes above the 1% disclosure threshold are named in filings.

QuarterPromoterPledgedFIIDIIPublic
Jun 202642.97%-16.11%14.91%57.03%
Mar 202642.97%-16.59%14.27%57.03%
Dec 202542.97%-9.7%15.75%57.03%
Sep 202540.95%-10.12%15.26%59.05%
Jun 202540.95%-10.95%16.82%59.05%
Mar 202540.95%-10.6%18.54%59.05%
Dec 202440.95%-10.54%20.23%59.05%
Sep 202440.95%-10.84%20.73%59.05%
Every quarter since Sep 2010 Filing data, not investment advice.