CIN- L67120MH1995PLC084899

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Brigade Enterprises Ltd.

NSE : BRIGADEEQ BSE : 532929 ISIN CODE : INE791I01019Industry : Realty
645.4011.20
(1.76%)

24 Mar 2026

Open (Rs.) 647.40
Prev. close (Rs.) 634.70
Bid Price(Qty.) 0.00(0)
Offer Pr.(Qty.) 0.00(0)
Volume (Rs.) 224326.00
Today's High / Low
650.00630.30
52 Week High / Low
1332.00601.00

Company Info

Management
  • Mr. M R JaishankarExecutive Chairman
  • Ms. Pavitra ShankarManaging Director
  • Ms. Nirupa ShankarJoint Managing Director
  • Mr. Amar MysoreExecutive Director
  • Mr. Roshin MathewExecutive Director
Incorporation Year

08/11/1995

Registered Address

Registered & Corporate Office : 29th & 30th Floor, World Trade Center, , Brigade Gateway Campus, , 26/1, Dr. Rajkumar Road, ,Malleswaram-Rajajinagar,
Bengaluru, Karnataka - 560055
Tel: Tel: 080-41379200
Fax: Fax: 080-41379321
Email : investors@brigadegroup.com
Website : http://www.brigadegroup.com

Registrar Office

KFin Technologies Ltd.
Selenium Tower B, Plot No. 31-32,
Gachibowli, Financial District, Nanakramguda,Serilingampally Man
Hyderabad - 500032Tel: 040-67161500
Fax: 23420814

Listing

BSE , BSE , MCXSX , NSE

Financials

Owners Fund (₹ Cr.)

Net Block (₹ Cr.)

Curr. Assets (₹ Cr.)

Investments (₹ Cr.)

Note: Values are based on Consolidated Data

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Peer Comparison

Company NamePrice
( ₹ )
Book
Value
( ₹ )
EPS
( ₹ )
Market Cap.
(₹ Cr.)
P/E (x)Year EndSales
(₹ Cr.)
PAT
(₹ Cr.)
+ Alembic Ltd. 76.8899.6312.101,974.146.35202503221.89310.68
+ Anant Raj Ltd. 449.30126.3011.8316,169.2737.972025032,059.97425.82
+ Arkade Developers Ltd. 102.0853.548.451,895.2512.08202503683.10156.93
+ Arvind SmartSpaces Ltd. 517.00136.7524.092,371.3221.46202503713.30110.49
+ Ashiana Housing Ltd. 300.2084.261.813,017.76165.47202503528.7218.24

MF Holding

Scheme NameScheme TypeHolding DateValue ( ₹ Cr)Holding (%)
Axis Small Cap Fund Open Ended 28/02/2026427.191.64
SBI Small Cap Fund Open Ended 28/02/2026307.810.88
Kotak Small Cap Fund - Regular Plan Open Ended 28/02/2026285.411.69
Franklin India Small Cap Fund Open Ended 28/02/2026268.512.08
ICICI Prudential Multi Asset Fund Open Ended 28/02/2026257.760.31

Individual Holding

Announcements

Date of MeetingPurpose
30/01/2026Quarterly Results
29/10/2025Quarterly Results
13/08/2025Quarterly Results
14/07/2025Others
14/05/2025Audited Results & Final Dividend
AnnouncementPurposeDateFrom DateTo DateRemarks
10/11/2025POM 13/12/2025   
29/07/2025AGM 21/08/2025   
12/02/2025POM 16/03/2025   
15/07/2024AGM 06/08/2024   
21/02/2024POM 24/03/2024   
Year - MonthDividend (%)
2025 - 0325.00
2024 - 0320.00
2023 - 0320.00
2022 - 0315.00
2021 - 0312.00
No Data Available
No Data Available
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Commodity

Gold1447833.19%
Silver2342204.35%
Copper1159.15184.24%
Crude Oil867035.19%
Lead196.6546.32%
Mentha Oil1091.12.22%
Nickel1626.8112.13%

Currency

USD/INR 93.88(-0.01 %)
GBP/INR 125.83(0.81 %)
EUR/INR 108.74(0.47 %)
JPY/INR 0.59(0.28 %)
CAD/INR 68.24(-0.21 %)
HKD/INR 11.99(0.04 %)