Britannia Industries Limited

BRITANNIAFair value region

A 6-pillar fundamental profile. Each pillar scored 0–10.

7.5/10 composite
Prism for BRITANNIA.NS: composite 7.5 of 10, verdict Fair value regionPULSEQUALITYMOATSAFETYGROWTHVALUE8.510.08.08.56.1Below cohort range

Pulse

8.5 · Positive

Analyst revision trend (fallback)

Pulse tracks recent momentum in price, analyst revisions, and news sentiment. Higher means more positive near-term tailwinds.

Quality

10.0 · Strong

Piotroski 6/9, ROCE 61.3%

Quality captures profitability, return on capital, and earnings consistency. Higher means a better business.

Moat

8.0 · Strong

Wide moat

Moat estimates durable competitive advantages — brand, scale, switching costs. Higher means more defensible.

Safety

8.5 · Strong

D/E 0.27, Int cov 30.2x

Safety looks at balance-sheet quality, leverage, and cash generation. Higher means lower financial risk.

Growth

6.1 · Moderate

Rev CAGR 5.7%, EPS CAGR 6.7%

Growth reflects revenue and earnings expansion over recent years. Higher means faster compounding.

Value

· Insufficient peer data

Only 0 MoS peers in cohort

Value measures how the stock's price compares to its intrinsic worth. Higher means more discount to fair value.

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Model estimate. Not investment advice. YieldIQ is not registered with SEBI as an investment adviser or research analyst. Past performance does not guarantee future results.