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Borosil Renewables Ltd.

Construction MaterialsGlass
₹454.10BSE1.00%

16 Sep, 4:01 PM

₹454.10
₹6.83K Cr
17.86
3.77
10.95%
₹462.05
₹442.80
₹720.85
₹374.70

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Price Performance

Peer Comparison

Name
ASAHI IN.GLA

ASAHIINDIA

945.1055.8824,093.170.21149.08172.09%1,413.3915.03%11.84
Borosil Renewables Ltd.

BORORENEW

454.1017.866,830.060.0086.64142.58%405.6917.06%10.72
BOROSCI

BOROSCI

117.9024.741,048.740.004.35203.44%106.7511.23%10.63
SEJALLTD

SEJALLTD

652.0522.47743.340.007.2263.41%117.9552.89%22.56
BANARAS BEAD

BANARBEADS

110.00
LA-OPALA RG

LAOPALA

156.50

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsMar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
283.21371.21373.09361.49373.54346.58378.88390.46439.92405.69
Expenses308.65348.41343.69371.56358.08283.58260.27267.42303.54278.52
-25.4422.8129.40-10.0715.4563.00118.61123.04136.38127.18
-8.98%6.14%7.88%-2.79%4.14%18.18%31.31%31.51%31.00%31.35%
4.683.115.1715.0711.91-216.03-5.9424.568.9413.99
Interest3.167.299.645.089.544.213.613.013.362.32
33.5833.9533.3031.9236.2529.5022.2822.1621.4521.56
-57.17-15.57-8.29-32.02-18.50-186.5886.62122.25120.12117.89
6.73%8.55%-58.28%6.08%-59.61%-9.06%28.91%18.04%-40.80%26.51%
-48.07-12.96-9.75-26.75-20.10-166.5726.41100.10169.1486.84
-3.68-0.99-0.75-2.05-1.52-12.521.987.1412.076.19

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2018-19 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
761.69894.031,375.911,480.121,560.71
761.69894.031,373.691,479.331,555.84
EXPENDITURE :
Increase/Decrease in Stock-80.93-53.9511.8436.5631.90
Raw Material Consumed344.13210.62350.73391.23349.01
Power & Fuel Cost74.62242.42412.01442.95336.65
Employee Cost89.47117.48218.24209.91110.77
Other Manufacturing Expenses81.9890.73166.15173.86154.60
General and Administration Expenses42.8159.8449.0344.7438.38
Selling and Distribution Expenses87.6167.8781.7898.1671.62
Miscellaneous Expenses19.8916.2127.0424.3221.95
659.59751.221,316.831,421.741,114.89
Operating Profit (Excl OI)102.11142.8156.8657.59440.95
38.9820.0517.9835.2525.02
141.09162.8774.8592.84465.96
Interest6.087.7929.2231.5514.18
PBDT135.00155.0845.6361.29451.78
45.1554.01131.72135.4295.39
Profit Before Taxation & Exceptional Items89.85101.06-86.09-74.13356.40
Exceptional Income / Expenses32.44-213.41
91.85101.04-52.73-74.38142.40
Provision for Tax31.8330.40-2.4612.5815.01
60.0170.64-50.27-86.97127.40
Extra items0.000.00
Minority Interest-5.52-1.013.3817.401.69
Consolidated Net Profit54.5069.63-46.90-69.57129.08
Profit Balance B/F766.73259.98329.61282.86213.41
Appropriations821.22329.61282.71213.29342.50
Equity Dividend %65.00%
5.905.34-3.59-5.259.21
Adjusted EPS5.905.34-3.59-5.259.21

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2018-19 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
9.2413.0513.0513.2514.02
Share Warrants & Outstandings2.371.371.5394.7387.64
Total Reserves836.88905.00858.47889.441,409.17
Reserve excluding Revaluation Reserve836.88905.00858.47889.441,409.17
Revaluation reserve0.00
848.49919.42873.06997.421,510.83
Minority Interest77.4623.1119.702.29-1.21
Secured Loans25.82319.28419.17161.2193.24
Unsecured Loans0.01
Deferred Tax Assets / Liabilities7.4834.3530.5331.2329.05
Other Long Term Liabilities10.8711.950.09
Long Term Provisions3.802.850.050.05
Total Non-Current Liabilities37.11367.35461.69192.58122.29
Trade Payables54.6089.3983.2670.9849.80
Other Current Liabilities85.03152.76192.00155.40134.41
Short Term Borrowings80.9659.0135.0014.58
Short Term Provisions4.9721.2119.2421.218.77
Total Current Liabilities225.56322.37329.50262.17192.98
Total Liabilities1,188.621,632.251,683.951,454.461,824.89
Gross Block496.441,186.111,268.731,249.391,122.96
Less: Accumulated Depreciation121.31209.12340.24472.60508.92
Net Block375.13976.99928.49776.79614.04
Capital Work in Progress137.0969.70125.95135.09107.61
Non Current Investments134.7710.9811.9029.4628.88
Long Term Investment134.7710.9811.9029.4628.88
Long Term Loans & Advances55.329.0911.3712.08150.95
Other Non Current Assets2.438.335.0913.913.95
Total Non-Current Assets706.801,075.501,082.87967.40905.71
Currents Investments98.0520.14577.14
Inventories191.23264.69245.28237.78120.07
Sundry Debtors115.3193.30122.57128.75121.31
Cash and Bank14.15132.69165.5869.1677.71
Other Current Assets16.9835.7546.5117.8111.98
Short Term Loans and Advances46.0130.3321.1313.4310.98
Total Current Assets481.73556.75601.08487.07919.19
Net Current Assets (Including Current Investments)256.17234.38271.58224.89726.21
Total Assets1,188.621,632.251,683.951,454.461,824.89
Contingent Liabilities56.5834.3274.0772.8279.86
Total Debt113.57416.49571.01250.67162.14
91.5770.3566.7668.14101.52
Adjusted Book Value91.5770.3566.7668.14101.52

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2018-19 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
91.85101.04-52.73-74.38142.40
Adjustment25.2281.41142.18149.90307.83
Changes In working Capital-116.42-175.14-0.8632.6544.36
Cash Flow after changes in Working Capital0.657.3188.60108.17494.59
Cash Flow from Operating Activities-24.51-6.3768.7599.79423.09
Cash Flow from Investing Activities-25.74-241.17-215.27-142.06-735.98
Cash Flow from Financing Activitie39.84237.53167.97-52.68323.36
Net Cash Inflow / Outflow-10.41-10.0021.45-94.9610.47
Opening Cash & Cash Equivalents11.2511.46126.33147.7752.82
Cash & Cash Equivalent on Amalgamation / Take over / Merger124.87-2.07
Cash & Cash Equivalent of Subsidiaries under liquidations0.02
Closing Cash & Cash Equivalent0.86126.33147.7752.8261.21

Ratios

Valuation

17.86
3.77
12.86
4.23
25.99
123.23

Profitability

10.95
10.72
7.77
28.25
8.16

Leverage & Liquidity

0.11
4.76
11.04

Returns

0.00
0.95

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
61.6061.6061.5962.2061.9361.8558.7758.7758.77
4.554.426.375.745.345.596.576.598.76
33.8433.9932.0432.0632.7432.5634.6534.6332.47
38.4038.4038.4137.8038.0738.1541.2341.2341.23
No. of Shareholders3,22,7313,06,5322,83,9552,77,7952,66,4352,51,0062,41,5752,37,0502,25,375

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-28AGM
2026-07-10Board Meeting Quarterly Results
2026-05-05Board Meeting Raising Funds Through Various Modes. & Audited Results

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

Construction MaterialsGlass

Borosil Renewables Ltd. operates in the Construction Materials sector under the Glass industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

Glass

Founded

1962

Headquarters

Mumbai, Maharashtra

Group

Private

Chairman

Pradeep Kumar Kheruka

Company Secretary

Kishor Talreja

Face Value

₹1

CIN

L99999MH1962PLC012538

Key Management

10 members across the board and senior leadership

Pradeep Kumar Kheruka

Chairman

Kishor Harish Talreja

Company Secretary & Compliance Officer

Shreevar Kheruka

Vice Chairman

Sunil Roongta

Whole Time Director & Chief Financial Officer

Raj Kumar Jain

Non Executive Independent Director

Akshaykumar Chudasama

Non Executive Independent Director

Shailendra Shukla

Non Executive Independent Director

Vanaja N Sarna

Non Executive Independent Director

Kishor Talreja

Company Secretary & Compliance Officer

Ashok Kumar Jain

Non Independent & Non Executive Director

BORORENEW Latest News

BORORENEW

₹454.10

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