BPCL Income Statement

Quarterly

Yearly

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202120222023
EBITDA23,80121,4050
EBIT24,73217,1060
Earning Per Share815410
Expenses282,970413,432522,659
Net Profit17,64510,146-61
Net Profit Margin62-0
Operating Profit Margin852
Profit Before Tax22,75814,501629
Dividends Per Share79160
Operation Revenue306,519434,838535,046

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
202300-9,471.74NA-12,475.43
202300-60.87NA629.21
20230074,131NA94,844
20230010,842.07NA14,175.50
2023002,616.64NA4,217.13
The EBITDA of BPCL is 0 as of 2/27/2024
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20042004200420042021
Operating Activities3,4443,4443,4443,44423,455
Investing Activities-1,519-1,519-1,519-1,519-2,474
Financing Activities-1,766-1,766-1,766-1,766-13,981
Others00000
Net Cash Flow1601601601607,000

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
202117,829.26-12,278.59-4,709.19841.48
202123,455.14-2,474.04-13,980.907,000.20
2023115,032-91,23510,45534,252
202329,643.72-28,029.56-1,794.40-180.24
20236,364.38-673.23-5,689.861.28
The cash flow from Operating Activities of BPCL is 23,455 as of 2/27/2024