INFORMED.
LIVE

Restaurant Brands Asia Limited

BSE: RBA543248ISIN INE07T201019
  • Consumer Discretionary
  • Restaurants
  • BSE 1000

Share price

₹95.01-1.02 (-1.06%)
as of 18 Sep 2026
Restaurant Brands Asia Limited share price, 18 Sep 2025 to 18 Sep 2026: ₹85.72 to ₹95.01 (+10.8%). Low ₹58.14, high ₹106.61. Volume shown below the price.
52W high
₹110.22
52W low
₹57.16
Off 52W high
-13.80%
1M return
-5.90%
3M return
+29.41%
6M return
+55.22%
1Y return
+10.84%
20D avg volume
1,89,791
50 DMA
₹87.65
200 DMA
₹71.19

Key ratios Consolidated

Market cap
₹6,765 Cr
Current price
₹95.01
52W high / low
₹110.22 / ₹57.16
Face value
₹10.00
P/E
-35.27
P/B
EPS (TTM)
₹-2.69
Book value / share
ROE
ROCE
-0.60%
Operating margin
Net margin
Debt / equity
0.39
Net debt
₹239.23 Cr
Interest cover
-0.08
Dividend yield
Dividend / share (TTM)
Payout
Cash conversion cycle
-33.0 days

About

In plain English

Restaurant Brands Asia runs Burger King and Popeyes fast-food restaurants in India and Indonesia. Think of it as the company that brings you the Whopper and chicken meals you order through their app or at a mall. In India, it operates 577 Burger King outlets, focusing on value deals like '2 for 79' and digital ordering (92% of orders are digital). In Indonesia, it runs 138 Burger King and 25 Popeyes restaurants, where it's trying to boost sales with new menu items like whole chicken and dipping sauces. The company makes money by selling burgers, chicken, desserts, and value meals to individual consumers, especially Gen Z and millennials, through dine-in, delivery, and its own app.

AI-generated summary, written from the company's own filings and disclosures. Every figure elsewhere on this page comes from exchange data, not from a model. See our editorial standards. Generated 8 Jul 2026.

Financials

MetricQ1 FY27Q4 FY26Q3 FY26Q2 FY26Q1 FY26Q4 FY25Q4 FY24
Income statement
822.61706.84714.65703.42697.72632.55
19.808.0510.358.2521.987.83
875.41762.31770.69775.00765.13700.82
257.61225.66234.61238.35241.33219.64
0.000.000.000.000.000.00
130.27123.97122.92123.16116.61108.98
49.4849.8247.1445.6146.8045.70
103.51100.6698.4196.9393.3895.75
334.54262.20267.61270.95267.00230.75
-33.00-47.43-45.69-63.33-45.43-60.44
0.000.00-2.250.000.000.00
-33.00-47.43-47.94-63.33-45.43-60.44
0.000.000.000.000.000.00
-33.00-47.43-47.94-63.33-45.43-60.44
-0.45-0.73-0.75-1.01-0.72-1.13
Key metrics
119.99103.0597.6179.2194.7581.01
14.60%14.60%13.70%11.30%13.60%12.80%
-4.00%-6.70%-6.70%-9.00%-6.50%-9.60%
0.10%-0.70%-0.50%
17.90%11.70%
27.40%21.50%
MetricTTMFY26FY25FY24
Income statement
2,9482,8232,551
46.4548.6231.16
3,1833,0732,815
956.23939.95891.17
0.000.000.00
500.32486.66431.15
192.05189.38160.89
399.51389.38371.48
1,1351,068959.99
-189.45-201.88-232.79
-2.25-2.250.00
-191.70-204.13-232.79
0.000.000.00
-191.70-204.13-232.79
-2.94-3.19-4.33
Key metrics
399.86374.63299.58
13.57%13.30%11.70%
-6.50%-7.20%-9.10%
-0.60%-2.70%
10.70%
12.30%
-69.5473.43
-1.48-1.51
0.390.33
239.23-238.69
-33.0-43.3
Balance sheet
3,3823,463
380.19689.32
30.62534.25
46.1833.65
38.7643.61
79.0743.04
2,7052,479
340.19379.18
765.74779.07
269.85295.56
110.80114.10
159.05181.46
688.59894.17
Cash flow
302.66350.44
-494.09-212.01
-320.72384.88
372.20277.01
MetricQ1 FY27Q4 FY26Q3 FY26Q2 FY26Q1 FY26Q4 FY25Q4 FY24
Income statement
682.90573.46577.32568.65552.29489.77
20.1920.9712.7511.5127.557.00
706.26594.75594.85600.37591.41522.20
199.22170.80173.96180.25178.41157.58
0.000.000.000.000.000.00
97.1291.4090.4189.2484.9974.76
44.4845.7341.7340.3640.9740.35
76.3773.7671.5268.9666.2667.00
289.07213.06217.24221.56220.78182.50
-3.17-0.32-4.79-20.21-11.57-25.42
0.00-120.00-2.250.000.000.00
-3.17-120.32-7.04-20.21-11.57-25.42
0.000.000.000.000.000.00
-3.17-120.32-7.04-20.21-11.57-25.42
-0.05-2.06-0.12-0.35-0.20-0.51
Key metrics
117.68-0.83106.2189.1195.6681.93
17.20%-0.10%18.40%15.70%17.30%16.70%
-0.50%-21.00%-1.20%-3.60%-2.10%-5.20%
-1.90%0.50%0.40%
23.60%17.10%
72.60%-373.30%
MetricTTMFY26FY25FY24
Income statement
2,4022,2721,968
65.4272.7823.89
2,4962,3812,079
724.23703.41635.51
0.000.000.00
368.17356.04298.90
172.30168.80141.14
290.61280.50254.63
940.93872.63749.05
-28.49-36.89-87.58
-122.25-122.250.00
-150.74-159.14-87.58
0.000.000.00
-150.74-159.14-87.58
-2.58-2.73-1.75
Key metrics
312.17290.16308.19
12.99%12.80%15.70%
-6.27%-7.00%-4.50%
0.30%1.40%
15.40%
-81.70%
0.6378.70
-2.17-3.93
0.050.06
78.42-394.17
-15.6-23.0
Balance sheet
4,2744,286
520.02701.55
24.80521.03
37.9625.73
23.7023.42
25.8926.39
2,3622,090
158.78173.12
439.15457.64
103.22126.86
62.8678.68
40.3648.18
2,1092,260
Cash flow
344.63344.50
-592.97-286.86
-247.89443.15
344.00265.80

Compounded growth

Standalone

Sales CAGR 3Y
Sales CAGR 5Y
Sales CAGR 10Y
Profit CAGR 3Y
Profit CAGR 5Y
Profit CAGR 10Y
Sales YoY (TTM)
Profit YoY (TTM)

Consolidated

Sales CAGR 3Y
Sales CAGR 5Y
Sales CAGR 10Y
Profit CAGR 3Y
Profit CAGR 5Y
Profit CAGR 10Y
Sales YoY (TTM)
Profit YoY (TTM)

Compounded from reported annual figures. We publish no share-price CAGR: our prices are as-traded, so one would be wrong across every split and bonus issue.

Shareholding as of 30 Jun 2026

Promoter holding
9.22%
HolderTypeHoldingPreviousChange
Lenexis Foodworks Private LimitedPublic18.06%
Rajasthan Global Securities Private LimitedPublic9.51%
Qsr Asia Pte LtdPromoter9.22%
Hdfc Trustee Company Limited-Hdfc Flexi Cap FundPublic7.84%
Icici Prudential Life Insurance Company LimitedPublic5.39%
Nippon Life India Trustee Ltd- A/C Nippon India Focus FundPublic4.89%
Sbi Multi Asset Allocation FundPublic4.29%
Jm Financial Mutual Fund - Jm Flexicap FundPublic2.41%
Bajaj Life Insurance LimitedPublic1.87%
Hara Global Capital Master Fund I LtdPublic1.47%
Motilal Oswal Large Cap FundPublic1.26%
Vanguard Total International Stock Index FundPublic1.03%
F&B Asia Ventures (Singapore) Pte LimitedPromoter Group0.00%

Public shareholders are disclosed individually only above 1%.

Filings & corporate actions

Recent announcements

Board meetings

  • Board Meeting - Financial Results