Billionbrains Garage Ventures Limited

Last Traded Price : ₹

About

Groww is a prominent Indian fintech company that has become a leading platform for online investments, particularly appealing to first-time and millennial investors. Founded in 2016 by former Flipkart employees, the company aims to simplify the investment process and democratize wealth creation in India. The company's strategy is built around a user-friendly, digital-first approach that eliminates complex paperwork and high commissions, which were significant barriers to entry for many potential investors. Initially a direct mutual fund platform, Groww expanded its offerings to include equities, Exchange-Traded Funds (ETFs), Initial Public Offerings (IPOs), and fixed deposits. A key part of Groww's success lies in its focus on customer education and empowerment. The platform provides a wealth of educational content, including videos and blogs, to help users understand financial concepts and make informed decisions. This content-led approach, combined with a simple user interface and t

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Fundamental


Company Name :
Billionbrains Garage Ventures Limited
Scrip Name :
Groww
ISIN No. :
INE0HOQ01053
No. of Outstanding Shares :
6,200,066,791
PAN No. :
AAHCB6189P
Face Value :
₹2.00
EPS :
₹2.94
PE ratio :
44,157.95
P/S Ratio :
19,834.47
Market Capitalization :
₹8,05,60,567.85 Crore
Book value :
₹7.83
P/BV :
16,591.46
52 Week High :
₹ 2,200.00 (15/09/25)
52 Week Low :
₹ 128.00 (09/10/25)
Lifetime High :
₹ 2,200.00 (15/09/25)
Lifetime Low :
₹ 128.00 (09/10/25)
DRHP Filed ?
Yes
Available on :
NSDL and CDSL
ROFR Require :
No
Sector :
Stock Broaking
CIN :
U72900KA2018PLC109343
Registration Date :
09/01/2018

Balance Sheet (RS in Lakhs)

Particulars 2025 2024

Profit & Loss Statement (RS in Lakhs)

Particulars 2025 2024
Revenue from Operations
Revenue from operations 39017.23 26092.81
Other Income 1599.22 1867.09
Total Income 40616.45 27959.9
Expenses
Employee benefit expense 3151.75 11880.26
Finance cost 425.49 41.98
Depreciation and amortization expense 246 201.15
Other expenses 12141.62 8557.71
Total Expenses 15964.86 20681.1
Profit Before Tax 24651.59 7278.8
Share of Profit/(Loss) of Associates
Share of net loss of associate accounted for using equity method -13.77 -66
Exceptional Item - -13396.84
Profit Before Tax After Share of Associates 24637.82 -6184.82
Tax Expense
Current tax 6163.1 2308.58
Deferred tax 230.99 -438.9
Profit for the Year 18243.73 -15266.52
Other Comprehensive Income
Remeasurements gain/losses on defined employee benefit plan 10.96 -5.13
Remeasurement gain on investement carried at fair value 424.18 -
Income tax relating to above -62.61 0.94
Foreign currency translation 0.5 0.26
Total Other Comprehensive Income 373.03 -3.93
Total Comprehensive Income 18616.76 -8058.43
Basic 3.34 -1.5
Diluted 3.19 -1.5

Cash Flow Statement (RS in Lakhs)

Particulars 2025 2024
Cash Flow From Operating Activities
Profit/(Loss) Before Tax 24,637.82 -6,184.82
Exceptional item (taxes) - 13,396.84
Share of net loss of associate (equity method, net of tax) 13.77 66.78
Profit/(loss) before exceptional items, share of net loss of associate and tax 24,651.59 7,278.80
Adjustments for:
Interest income -153.24 -598.09
Interest on unwinding of commercial paper -7.75 -310.53
Interest income on non-convertible debentures -579.13 -399.76
Interest on unwinding of security deposits -7.89 -6.14
Interest on inter corporate deposit -45.35 -204.69
Net gain on fair value changes -731.6 -320.24
Interest strip on assignment of loans -37.07 -
Foreign exchange gain on cash/cash equivalents - -16.1
Depreciation 246 201.15
Provision for loss allowance 716.04 61.59
Reversal of provision for loss allowances - -
Gain on modification of leases -1.33 -2.2
Finance cost on lease 24.22 29.8
Finance cost on borrowings & debt securities 380.31 12.18
Share based payments 413.22 232.84
Operating Cash Flow Before Working Capital Changes 24,868.20 5,958.61
(Increase)/decrease in trade receivables -302.14 -391.3
(Increase)/decrease in other bank balances -8,190.00 -19,149.97
(Increase)/decrease in loans -10,412.22 -1,208.02
(Increase)/decrease in other financial assets -1,910.08 98.45
(Increase)/decrease in other current assets -177.19 172.46
Increase/(decrease) in trade payables 6,791.91 25,364.29
Increase/(decrease) in other current liabilities -194.24 -189.1
Increase/(decrease) in provisions -1,041.49 1,008.77
Cash generated from/(used in) operations 9,432.76 11,664.19
Taxes paid, net of refund -19,054.36 -2,814.48
Net Cash generating from Operating Activities -9,621.60 8,849.71
Cash Flow From Investing Activities
Purchase of PPE (incl. capital WIP) -164.88 -67.39
Sale of property, plant, and equipment 0.24 1.81
Investment in mutual fund (1,97,315.30) -81,532.41
Proceeds from sale of mutual fund 1,92,350.42 80,719.72
Investment in shares -771.07 -80.01
Consideration on disposal of subsidiaries - 23
Investment in commercial paper - -4,162.89
Redemption of commercial paper 1,959.45 7,888.42
Proceeds from sale of treasury bill - 47.31
Investment in non-convertible debentures -4,850.00 -5,500.00
Redemption of non-convertible debentures 5,250.00 1,500.00
Purchase consideration on acquisition of subsidiaries - -2,252.39
Deposit placed with banks & financial institutions -3,564.34 -59,332.60
Proceeds from bank & financial institution deposits 6,431.55 60,814.13
Intercorporate deposit placed -2,000.00 -9,925.37
Redemption of intercorporate deposit 3,250.00 1,819.13
Interest received 820.7 929.24
Net Cash From Investing Activities 1,396.77 -9,110.30
Cash Flow From Financing Activities
Proceeds from issue of equity shares 4,097.51 250
Borrowings & debt securities obtained 6,523.18 -
Repayment of borrowings & debt securities -1,370.06 -67.43
Payment for repurchase of employee stock options - -
Repayment for lease liabilities -147.19 -110.18
Interest on lease liabilities -23.51 -29.83
Interest on borrowings and overdraft facilities -323.38 -5.13
Net Cash From Financing Activities 8,756.55 37.43
Changes on a/c of conversion of balances currency 0.5 0.26
Net Increase/(Decrease) in Cash & Cash Equivalents 532.22 -222.9
Opening balance of cash & cash equivalents 3,078.86 3,288.33
Cash & cash equivalents disposed on sale of subsidiary - -2.66
Exchange difference on conversion of cash & cash equivalents - 16.1
Closing balance of cash and cash equivalents 3,611.07 3,078.86

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