NSE HONASA · BSE 544014 · Retail (Specialty) · NIFTY 500

Honasa Consumer Share Price

Market closed · updated 25 Sep, 4:39 PM IST
₹477.95 ▲ +₹2.43 · 0.51% NSE · as of 25 Sep 2026, 4:17 AM · BSE ₹476.30
Today's range
₹470.50Low₹478.65High
52-week range
₹248.55Low · 11 Dec 2025₹509.90High · 17 Aug 2026

Honasa Consumer Overview

Where the price stands, how it has moved and how it sits against its averages.

Honasa Consumer shares last traded at ₹477.95 on the NSE, up 0.51% on the day. That is 6.3% below the 52-week high of ₹509.90 and 92.3% above the 52-week low of ₹248.55. The stock trades at 59.95× earnings, above the sector average of 33.50. Its market value is ₹15,507 Cr.

Price returns

1 Day▲ +0.51%
5 Days▲ +2.79%
This month▼ −1.65%
3 Months▲ +13.23%
6 Months▲ +60.95%
This year▲ +65.22%
1 Year▲ +57.54%

Against the market: 1 Month ▲ +1.99% · 3 Months ▲ +18.64% · 6 Months ▲ +64.65% · This year ▲ +91.36% · 1 Year ▲ +74.96%

Shading grows with the size of the move. Prices refresh every 15 minutes while the market is open (9:15 AM–3:30 PM IST); next update from Mon 28 Sep, 9:15 AM.

Moving averages — price is above 6 of 6

  1. Today's price₹477.95
  2. 5-day average₹474.36 ▲ price 0.8% above
  3. 20-day average₹473.23 ▲ price 1.0% above
  4. 10-day average₹471.62 ▲ price 1.3% above
  5. 50-day average₹469.42 ▲ price 1.8% above
  6. 100-day average₹437.95 ▲ price 9.1% above
  7. 300-day average₹364.60 ▲ price 31.1% above

Averages above today's price sit higher on the ladder. Price above most of its averages is usually read as an upward trend.

Honasa Consumer Financial Results

Revenue and net profit in ₹ crore, with the full statements underneath.

Revenue₹ crore
2,392
Net profit₹ crore · losses below zero
−1,332
200

Year by year

Fiscal yearRevenueGrowthNet profitNet marginEPSDividend
FY 2026 ₹2,392 Cr ▲ +15.7% ₹200 Cr 8.4% ₹6.12 ₹3.00
FY 2025 ₹2,067 Cr ▲ +7.7% ₹73 Cr 3.5% ₹2.23 —
FY 2024 ₹1,920 Cr ▲ +28.6% ₹112 Cr 5.8% ₹3.55 —
FY 2023 ₹1,493 Cr ▲ +58.2% −₹143 Cr −9.6% −₹4.44 ₹0.00
FY 2022 ₹943 Cr ▲ +105.1% ₹16 Cr 1.7% ₹0.49 ₹0.00
FY 2021 ₹460 Cr ▲ +319.0% −₹1,332 Cr −289.6% −₹41.41 ₹0.00
FY 2020 ₹110 Cr — −₹428 Cr −389.9% −₹13.30 ₹0.00

Balance sheet — FY26

Owes (liabilities)Shareholders' equity
33%
67%
  • Total assets₹2,092 Cr
  • Total liabilities₹681 Cr
  • Shareholders' equity₹1,412 Cr
  • Total debt₹135 Cr
  • Cash & investments₹466 Cr
  • Current ratio1.69×
  • Revenue growth, 5 yr39.06% a year
  • Operating margin (TTM)9.86%
  • Net margin (TTM)9.77%

Cash flow — FY26

Operating activities
▲ ₹141 Cr
Investing activities
▼ −₹17 Cr
Financing activities
▼ −₹38 Cr
Free cash flow
▲ ₹134 Cr
Net change in cash
▲ ₹86 Cr

Right of the line = cash coming in, left = cash going out. Free cash flow = cash from operations minus capital spending.

Full financial statements, FY20–FY26
₹ croreFY20FY21FY22FY23FY24FY25FY26
Total revenue109.78459.99943.461,492.751,919.902,066.952,391.94
Cost of revenue36.80132.79283.62447.57582.16615.07717.55
Gross profit72.98327.20659.841,045.181,337.751,451.881,674.39
Operating expenses118.27434.48938.561,649.601,808.492,043.422,204.08
Operating income−8.4925.514.91−156.85111.4223.53187.86
Depreciation0.651.716.9024.9630.6245.0144.40
Profit before tax−428.03−1,324.6122.44−141.04147.1389.61257.26
Tax0.007.618.009.9336.6016.9357.07
Net profit−428.03−1,332.2215.72−142.81111.7872.69199.95
EPS (₹)−13.30−41.410.49−4.443.552.236.12
Dividend per share (₹)0.000.000.000.00——3.00

What Analysts Say

12 analysts

Recommendations from 12 analysts who cover Honasa Consumer.

Hold average rating 2.75 on a 1–5 scale

▲ 6 bullish (50.0%) · 2 hold (16.7%) · ▼ 4 bearish (33.3%)

Votes

Strong Buy
3 (25%)
Buy
3 (25%)
Hold
2 (17%)
Sell
2 (17%)
Strong Sell
2 (17%)

How the votes changed

Rating3M ago2M ago1M ago1W agoNow3-month change
Strong Buy33333 —
Buy23333 ▲ +1
Hold32222 ▼ −1
Sell22222 —
Strong Sell22222 —

Analyst ratings are opinions, not a guarantee of returns.

Honasa Consumer vs Peers

Side by side with other retail (specialty) companies. The small bars compare each column.

CompanyPriceChangeMarket capP/EP/BROE (5 yr)Net marginDiv. yieldRating
Honasa Consumer ₹477.95 ▲ +0.51% ₹15,507 Cr 59.95 10.90 — 9.77% 0.63% This stock
Kalyan Jewellers India ₹571.65 ▼ −0.34% ₹59,037 Cr 43.02 9.40 16.33% 3.78% 0.26% Neutral
Thangamayil Jewellery ₹5,133.00 ▲ +0.62% ₹16,002 Cr 56.57 14.13 22.49% 4.14% 0.28% Neutral
Aditya Vision ₹620.90 ▼ −1.12% ₹8,012 Cr 70.09 11.90 24.11% 4.38% 0.17% Bullish
P N Gadgil Jewellers ₹585.40 ▼ −0.96% ₹8,617 Cr 19.47 4.09 23.59% 3.82% — Bearish
D.P. Abhushan Ltd ₹1,441.80 ▲ +2.62% ₹3,291 Cr 14.39 4.82 35.59% 5.21% — Bullish

Rating = the data provider's overall technical view of each peer. Company names link to their own pages.

Shareholding Pattern

Who owns Honasa Consumer shares, quarter by quarter (latest on top).

PromoterFIIMFOther
Jun '26
35.5%
13.6%
44.8%
Mar '26
Dec '25
Sep '25
HolderSep '25Dec '25Mar '26Jun '26Change
Promoter34.97%35.54%35.54%35.47% ▼ −0.07 pts
FII15.50%14.62%13.74%13.64% ▼ −0.10 pts
MF2.51%2.90%3.44%6.10% ▲ +2.66 pts
Other47.02%46.94%47.28%44.79% ▼ −2.49 pts

Honasa Consumer Key Metrics

Each ratio placed against a benchmark — the sector average, the company's own 5-year average, or a common rule of thumb.

Honasa ConsumerBenchmarkComfortable → stretched

Valuation Is the price reasonable?

P/E (TTM)Price ÷ yearly earnings per share
59.95
▲ 79% above the sector average of 33.50
P/BPrice ÷ book value per share
10.90
P/SPrice ÷ sales per share
6.04
P/CFPrice ÷ cash flow per share
52.56

Profitability Of every ₹100 of sales, how much is kept?

Gross marginKept after the cost of goods
69.75%
▼ below its 5-yr average of 69.98%
Operating marginKept after running costs
9.86%
▲ above its 5-yr average of 1.94%
Pre-tax marginKept before tax
12.57%
▲ above its 5-yr average of 4.26%
Net marginKept as profit
9.77%
▲ above its 5-yr average of 2.80%

Returns & efficiency How well does it use its money?

Return on equityProfit on shareholders' money
15.43%
Return on assetsProfit on everything it owns
10.31%
▲ above its 5-yr average of 3.72%
Return on investmentProfit on long-term capital
14.18%
▲ above its 5-yr average of 5.10%

Growth Is the business getting bigger?

Revenue — last 12 months
+21.1%
▲ growing
Revenue — 3 yr, a year
+17.0%
▲ growing
Revenue — 5 yr, a year
+39.1%
▲ growing (off the scale)
EPS — last 12 months
+239.3%
▲ growing (off the scale)

Financial strength Can it pay its bills and debts?

Debt to equityBorrowings for every ₹1 of shareholders' money
0.10×
✓ Low debt
Current ratioShort-term assets for every ₹1 due within a year
1.69×
✓ Comfortable
Quick ratioLike the current ratio, without inventory
1.38×
✓ Comfortable
Interest coverOperating profit ÷ interest to pay
19.79×
✓ Strong
Payout ratioShare of profit paid as dividend
0.00%
• Keeps most

Per share What each share stands for

EPS (TTM)
₹7.62
Book value
₹43.39
Cash flow
₹8.98
Dividend
₹3.00
Revenue
₹78.14

The share price is 11.02× the book value behind each share.

Benchmarks: sector averages and 5-year averages come from the data provider; the debt and liquidity bands are common rules of thumb, not investment advice.

All 97 metrics from the data provider

Valuation

P/E excluding extraordinary items, most recent fiscal year77.32
Current Dividend Yield - Common Stock Primary Issue, LTM0.63
Price to Book - most recent fiscal year10.90
P/E Basic excluding extraordinary items - TTM59.95
P/E including extraordinary items - TTM62.09
Price to Tangible Book - most fiscal year14.56
Price to sales - most recent fiscal year6.45
Dividend Yield - indicated annual dividend divided by closing price0.63
Price to Cash Flow per share - trailing 12 month52.56
Price to Free Cash Flow per Share - most recent fiscal year115.15
P/E Normalized, most recent fiscal year76.16
P/E excluding extraordinary items, most recent fiscal year quarter62.09
Price to sales - trailing 12 month6.04
Net Debt, LFY−3,305.53

Per share

Cash Flow per share - trailing 12 month8.98
Cash Flow per share - most recent fiscal year7.48
EPS including extraordinary items - trailing 12 month7.62
EPS including extraordinary items - most recent fiscal year6.12
EBITD per share - trailing 12 month9.20
Revenue/share - trailing 12 month78.14
EPS excluding extraordinary items - trailing 12 month7.62
EPS Basic excluding extraordinary items - most recent fiscal year6.14
EPS Basic excluding extraordinary items - trailing 12 month7.64
Book value per share - most recent fiscal year43.39
Dividend per share - most recent fiscal year3.00
Revenue/share - most recent fiscal year73.17
EPS Normalized - most recent fiscal year6.21
Book value (tangible) per share - most recent fiscal year32.54
Dividends per share - trailing 12 month3.00
EPS excluding extraordinary items - most recent fiscal year6.12
Cash per share - most recent fiscal year14.32

Margins

Operating margin - trailing 12 month9.86
Gross Margin - 5 year average69.98
Operating margin - 1st historical fiscal year7.85
Operating Margin - 5 year average1.94
Net Profit Margin % - 1st historical fiscal year8.37
Gross Margin - 1st historical fiscal year70.00
Net Profit Margin % - trailing 12 month9.77
Net Profit Margin - 5 year average2.80
Pretax Margin - 5 year average4.26
Pretax margin - 1st historical fiscal year10.76
Pretax margin - trailing 12 month12.57
Free Operating Cash Flow/Revenue, 5 Year Average4.74
Gross Margin - trailing 12 month69.75

Growth

EPS Change %, TTM over TTM239.34
Revenue growth rate, 5 year39.06
Revenue Change % - most recent quarter 1 year ago27.00
Revenue/share (5 yr growth)38.62
Free Operating Cash Flow, 5 Year CAGR36.07
Capital Spending growth rate, 5 year48.80
Revenue Change %, TTM over TTM21.08
Growth rate% - Revenue, 3 year17.02
EPS Change % - most recent quarter 1 year ago119.05
Earnings Before Interest, Taxes, Depreciation & Amortization, 5 Year CAGR54.05
Total Debt, 5 Year CAGR−41.49

Financial strength

Free Cash Flow - most recent fiscal year1,339.06
LT debt/equity - most recent fiscal year0.07
Quick ratio - most recent fiscal year1.38
Payout ratio - trailing 12 month0.00
Current ratio - most recent fiscal year1.69
Current EV/Free Cash Flow, LFY63.62
Total debt/total equity - most recent fiscal year0.10
Net Interest coverage - trailing 12 month19.79
Payout ratio - most recent fiscal year0.00

Returns & efficiency

Net Income/employee - trailing 12 month26,63,601.00
Revenue/employee - most recent fiscal year2,57,33,640.00
Return on investment - most recent fiscal year14.18
Return on average assets - most recent fiscal year10.31
Receivables turnover - most recent fiscal year13.48
Inventory turnover - most recent fiscal year4.21
Revenue/employee - trailing 12 month2,72,71,730.00
Return on average assets - 5 year average3.72
Net Income/employee - most recent fiscal year21,53,739.00
Asset turnover - most recent fiscal year1.23
Return on average equity - most recent fiscal year15.43
Return on investment - 5 year average5.10

Price & volume

Market Cap15,476.32
52 week Low Date11 Dec 2025
Price - 1 Day % Change−2.46
Relative (S&P500) price percent change - 13 week18.64
Avg trading volume last 10 days0.67
Price - 13 week price percent change13.23
Price - 52 week price percent change57.54
Avg Trading Volume Last 3 months29.72
Price - 5 Day % Change2.79
Price % Change Month To Date−1.65
Relative (S&P500) price percent change - 04 week1.99
52 week High Date17 Aug 2026
Price - 26 week price percent change60.95
PDATE24 Sep 2026
Price - YTD price percent change65.22
Relative (S&P500) price percent change - 52 week74.96
NPRICE472.95
Relative (S&P500) price percent change - 26 week64.65
52 week Low248.40
52 week High509.80
Relative (S&P500) price percent change - Year to Date91.36

Dividends & Corporate Events

Payouts to shareholders, splits and bonus issues, and company meetings — newest first.

Dividend per share₹ per share, by fiscal year
₹3.00
  • Dividend yield0.63%
  • Payout ratio0.00%
  • Latest dividend₹3.00 per share · 28 Aug 2026

Corporate calendar

  • Dividend₹3.00 per share · 30% · Final dividend
  • BoardQuarterly Results
  • BoardAudited Results & Final Dividend
  • BoardQuarterly Results
  • BoardQuarterly Results
  • MeetingAnnual General Meeting
  • BoardQuarterly Results
  • BoardAudited Results
Show 4 older events
  • BoardQuarterly Results
  • BoardQuarterly Results
  • MeetingAnnual General Meeting
  • MeetingPostal Ballot

About Honasa Consumer

Retail (Specialty)

Honasa Consumer Limited is an India-based beauty and personal care company, which is engaged in the trading of a variety of beauty and personal care products across baby care, skin care, hair and other related personal care categories, which are manufactured through third party contract manufacturers under the brand name of Mamaearth, The Derma Co., BBlunt, Aqualogica, Dr. Sheth's, STAZE, Reginald Men and Ayuga. Its flagship brand, Mamaearth, focuses on clean and toxin-free beauty products made with natural ingredients. The Derma Co. provides science-backed products powered by active ingredients. Aqualogica is a skin care brand that leverages the science of hydration to introduce products suited to Indian skin-types. BBlunt specializes in professional hair care and styling products. Dr. Sheth's focused on curating products that are designed for the Indian skin types. Staze 9to9 offers studio-finished makeup designed and curated for Indian skin types. It also owns CosmoGenesis.

Key people

  • Varun AlaghExecutive Chairman of the Board, Chief Executive Officer, Co-Founder
  • Ghazal AlaghCo-Founder, Whole Time Director, Chief Innovation Officer
  • Raman Preet SohiChief Financial Officer
  • Gaurav PanditCompany Secretary & Compliance Officer

Company facts

  • NSE symbolHONASA
  • BSE code544014
  • ISININE0J5401028
  • IndustryRetail (Specialty)
  • IndexNIFTY 500
  • Market cap₹15,507 Cr
  • Revenue (FY26)₹2,392 Cr
  • Net profit (FY26)₹200 Cr

In the News

Recent headlines about Honasa Consumer — they open on Mint in a new tab.

Stock data comes from the exchange feed via our data provider and may be delayed. It is for information only and is not a recommendation to buy or sell. See all stocks →

Frequently Asked Questions

Honasa Consumer (NSE: HONASA) last traded at ₹477.95 on the NSE, up 0.51% (₹2.43) on the day, as of 25 Sep 2026, 4:17 AM. On the BSE it was ₹476.30. The day's range was ₹470.50 – ₹478.65.

Honasa Consumer's 52-week high is ₹509.90 (17 Aug 2026) and its 52-week low is ₹248.55 (11 Dec 2025). At ₹477.95 the share is 6.3% below its high and 92.3% above its low.

Honasa Consumer's market capitalisation is ₹15,507 Cr (₹15,507 Cr). It is part of the NIFTY 500 index.

Honasa Consumer's P/E ratio (trailing 12 months) is 59.95. The sector average is 33.50, so investors pay 79% more for each rupee of its earnings than for the average company in its sector. Its earnings per share (TTM) are ₹7.62.

Honasa Consumer shares are up 57.54% over the last year, up 65.22% so far this year, up 60.95% over 6 months, up 13.23% over 3 months. Over the last year the stock did 74.96% better than the market.

In FY26 (year to Mar 2026), Honasa Consumer reported revenue of ₹2,392 Cr (up 15.72% on the year before) and a net profit of ₹200 Cr. Earnings per share were ₹6.12.

Yes. Honasa Consumer's latest dividend is ₹3.00 per share (30%, final dividend), with an ex-date of 28 Aug 2026. The dividend yield is 0.63%.

Of 12 analysts covering Honasa Consumer, 6 are bullish (3 strong buy, 3 buy), 2 say hold and 4 are bearish. The consensus is Hold (average rating 2.75 on a scale where 1 is Strong Buy and 5 is Strong Sell). Analyst views are opinions, not a guarantee.

As of Jun 2026: Promoter 35.47%, FII 13.64%, MF 6.10%, Other 44.79%. Promoter holding fell by 0.07 percentage points from Mar 2026.

Honasa Consumer's listed peers in Retail (Specialty) include Kalyan Jewellers India, Thangamayil Jewellery, Aditya Vision, P N Gadgil Jewellers, D.P. Abhushan Ltd. By market capitalisation it ranks #3 of 6 in this group.