Nifty 50
Tools & Calculators
Stocks
F&O
Mutual Funds
Sector: Banking and Finance
|Small Cap
BLBLIMITED
₹16.11
₹15.66
₹16.44
₹12.00
₹22.47
Markets Today
Historical Performance
As of 13-07-2026 18:29, BLB Ltd. share price today is ₹0, with a change of ₹-15.98 (-100.00%) from the previous close of ₹15.98. The stock opened at ₹15.99 and traded between ₹15.66 and ₹16.44, with a total traded volume of 57116 shares. The company has a market capitalization of ₹84.5 Cr in the Banking and Finance sector. while its 52-week high and low are ₹22.47 and ₹12, respectively.
BLB Ltd. valuation metrics include a P/E ratio of 2.5, EPS of ₹6.3, and book value of ₹0.60. Profitability indicators show ROE of 25.58%. BLB Ltd. has reported revenue of ₹744.01 Cr and net profit of ₹33.35 Cr.
BLB Ltd. technical indicators include Day RSI at 47.99, Day MFI at 53.39, Day ADX at 14.86. Additional indicators include Commodity Channel Index (CCI) at -1.2 and Williams %R at -53.69. Momentum indicators show Day MACD at -0.03, Day MACD Signal Line at -0.07, DayATR at 0.85. Rate of Change indicators for BLB Ltd. include ROC125 at 15.21 and ROC21 at -1.18.
Exponential moving averages include EMA5 at ₹16.1, EMA10 at ₹16.1, EMA12 at ₹16.1, EMA20 at ₹16.1, EMA26 at ₹16.1, EMA50 at ₹16.2, EMA100 at ₹16.2, EMA200 at ₹16.2. Simple moving averages include SMA5 at ₹16.2, SMA10 at ₹16.2, SMA20 at ₹16, SMA30 at ₹16.2, SMA50 at ₹16.3, SMA100 at ₹16.6, SMA150 at ₹15.8, SMA200 at ₹15.9.
Support levels for BLB are placed at First Support ₹15.66, Second Support ₹15.33, Third Support ₹14.97. Resistance levels are seen at First Resistance ₹16.35, Second Resistance ₹16.71, Third Resistance ₹17.04. BLB Ltd. shareholding pattern shows promoter holding at 45.77%, FII holding at 0%, DII holding at 0%, public holding at 54.23%.
Indicator | Mar 2026 | Dec 2025 | Sep 2025 | Jun 2025 | Mar 2025 |
|---|---|---|---|---|---|
| Total Revenue | 71.61 | 277.28 | 338.70 | 56.42 | 58.91 |
| Operating Expense | 64.16 | 265.45 | 328.89 | 41.62 | 62.55 |
| Operating Profit | 7.45 | 11.83 | 9.81 | 14.80 | -3.64 |
| Depreciation | 0.05 | 0.04 | 0.03 | 0.03 | 0.02 |
| Interest | 0.41 | 0.34 | 0.32 | 0.32 | 0.30 |
| Tax | 2.44 | 2.89 | 2.52 | 3.35 | -0.95 |
| Net Profit | 4.34 | 8.57 | 8.95 | 11.49 | -3.02 |
₹16.11
↗ Bullish Moving Average
2
↘ Bearish Moving Average
14
BLB Limited, with its corporate operations in New Delhi, functions as a financial services company in India. The company was incorporated in 1992 and is engaged in the business of stock broking, investment advisory, and portfolio management services. BLB Limited is a member of the National Stock Exchange and the Bombay Stock Exchange, offering broking services to retail and institutional clients. The company also provides investment advisory services, portfolio management, and research services to its clients. The company operates through its network of branches and digital platforms.
BLB share price today on NSE and BSE signifies how market participants react to the company’s operational performance and the overall developments in the financial services and stock broking sector. The company’s financial health depends on brokerage volumes, client acquisition and retention, advisory fees, and the performance of its own investment portfolio. BLB stock price is influenced by various factors such as earnings, changes in securities market regulations, stock market volatility, interest rate movements, and competition from other broking firms. In the longer run, strategies such as expansion of branch network, development of digital trading platforms, and diversification into new financial products affect the stock market sentiments.
BLB live share price provides real-time information about the last price traded, bid and ask prices, and volume traded. These indicators represent market activity and liquidity, reflecting investor response to corporate announcements, economic conditions, and sector news. Constant monitoring of the BLB live price helps in observing short-term price volatility and shows how a stock moves relative to the broader financial services index. Furthermore, monitoring BLB stock price movements helps investors understand real-time market sentiment, price fluctuations, and trading behaviour. It allows them to evaluate short-term performance, and respond to news, quarterly results, or sector trends that may influence the company’s valuation and overall investment outlook.
BLB live price allows market participants to evaluate short-term performance and respond to news, quarterly results, or sector trends that may influence the company’s valuation. The company is headquartered in New Delhi and has been serving clients in the Indian stock market for over three decades.
BLB Limited was incorporated in 1992 and is engaged in the business of stock broking, investment advisory, and portfolio management services in India. The company operates primarily in the financial services segment, supplying broking services to retail and institutional clients. Its registered office is located in New Delhi. Over time, the company has expanded its service offerings and built a client base across India.
The stock broking and financial services industry is linked to capital market activity, investor sentiment, and economic growth. Demand for broking services is driven by stock market volumes, retail participation, and corporate fundraising activity. The industry is also affected by changes in SEBI regulations, competition from discount brokers and fintech platforms, and technology adoption. Companies in the sector must manage market volatility, regulatory compliance, and technology investment whilemaintaining client relationships. These factors collectively influence financial performance and investor perception of firms like BLB Limited.
BLB Limited is listed on the National Stock Exchange under the symbol BLBLIMITED and on the Bombay Stock Exchange with the scrip code 532290. BLB share price is actively traded on both exchanges. The company’s market presence is within the small-cap segment of the market. Due to its size and sector focus, BLB share price is generally tracked by investors interested in the stock broking and financial services industry.
BLB Limited is part of several broad-based and sector-specific stock market indices, reflecting its position as a small-cap financial services company in India. While it is not included in benchmark indices like the Sensex or Nifty 50, it is a constituent of wider market indices that track the small-cap and financial services segments. BLB stock price finds representation in these indices based on its market standing. This presence helps investors track the stock relative to other broking and financial services companies.
BLB share price on the NSE reflects its position as a stock broking and financial services company in India. Its performance is qualitatively driven by factors such as brokerage volumes, client acquisition, advisory fees, and the performance of its own investment portfolio. Investors compare BLB share price movement with other broking and financial services companies to assess relative strength.
These underlying factors become visible through real market movements across different time periods. Similar trends appear during earnings-driven price changes. Broader financial sector strength has also supported BLB share price. Beyond operational and sector influences, corporate actions such as expansion into new financial products or digital platforms can significantly affect BLB share price movements by shaping future growth expectations. This shows how strategic initiatives may trigger short-term swings, even within a regulatory environment influenced by SEBI regulations and market conditions.
While short-term movements respond to events and announcements, longer-term valuation trends are better captured by the stock’s annual high and low levels, offering context beyond daily or weekly changes. A notable peak indicates stronger market activity and stable brokerage margins, whereas a significant low aligns with market corrections or sector volatility. The stock’s 52-week range reflects significant volatility. These extremes reflect the impact of stock market cycles, regulatory changes, and earnings visibility, providing a framework for understanding historical performance.
BLB share price behaviour mirrors the trading patterns of a small-cap financial services company within India’s stock broking ecosystem. The company’s focus on broking and advisory services has shaped its price history. Over the past year, the stock has experienced periods of sharp gains followed by phases of consolidation. The stock has shown higher volatility compared to the broader market.
The company’s performance has closely tracked stock market volumes and investor participation. Positive momentum appeared during bull markets with high trading activity. However, periods of market downturns and reduced investor sentiment have led to consolidation in BLB share price. Profitability has shown variability in recent quarters, reflecting the cyclical nature of the stock broking industry.
Despite market fluctuations, BLB shares have shown resilience during certain market rallies. While the broking sector faced increased competition from discount brokers, the company’s established client base and advisory services provided some stability. The company’s promoters hold a stable majority stake.
BLB share price has declined for several recurring reasons. A drop in stock market volumes or reduced investor participation directly impacts brokerage income and leads to selling pressure. Changes in SEBI regulations regarding brokerage fees, margin requirements, or advisory practices can also cause the stock to fall. Increases in operational costs such as technology infrastructure or compliance expenses without matching revenue growth squeeze margins, making BLB share price less attractive. Periods of economic slowdown that affect investor sentiment raise concerns about trading activity, leading to price declines. The stock is sensitive to market volatility; if markets decline significantly, it can cause the stock to fall as investors adjust expectations for future brokerage income. Broader market sell-offs also pull BLB share price down, regardless of the company’s individual performance. Lower trading volumes or reduced advisory mandates directly hurts revenue, resulting in a lower valuation. Increased competition from fintech-driven discount brokers also creates pricing pressures that affect investor sentiment.
BLB Limited is a holding in small-cap and financial services sector portfolios, offering exposure to stock broking, investment advisory, and portfolio management services. Its inclusion in financial indices underscores its importance in India’s broking ecosystem. The company’s position as a member of NSE and BSE, together with its long operating history, makes it a consideration for long-term allocations.
The share price is influenced by the company’s ownership structure. BLB’s equity is held by a mix of promoters, institutional investors, and retail investors. Promoters hold a stable majority stake, reflecting strong internal control. Foreign institutional investors hold a small fraction of the company’s shares. Domestic institutional investors also do not hold a meaningful stake. The public holds the remaining stake. This investor base underscores the company’s role as a holding in both domestic and focused portfolios concentrating on financial services.
Beyond fundamentals and ownership, BLB share price is actively monitored in cash market segments, where trading volumes and delivery patterns reflect expectations on market activity, regulatory policy actions, and investor sentiment. BLB stock price is available for trading on both major Indian exchanges, allowing investors to take positions based on their outlook for the financial services sector. Market participants watch these trading indicators to gauge sentiment around quarterly results and policy announcements.
Technical indicators provide additional insight into short-term momentum shifts in the stock price. Based on available data, the stock’s beta indicates higher volatility compared to the broader market. The company’s debt to equity ratio reflects a low use of leverage. Return on equity and return on capital employed are at modest levels, and the company’s book value per share is a reference point for valuation.
Overall, BLB demonstrates a higher volatility profile compared to the broader market, with the stock generally considered to have above average systematic risk. This makes it more sensitive to broader market movements and sector-specific factors such as stock market activity, investor sentiment, and regulatory changes.
BLB Limited sector relevance stems from its three-decade presence in the stock broking industry, its position as a member of NSE and BSE, its portfolio of broking services, investment advisory, portfolio management, and research services, its network of branches and digital platforms, and its headquarters in New Delhi, establishing it as a focused small-cap financial services provider supporting India’s capital market ecosystem. Peer comparisons with other stock broking firms like Motilal Oswal, ICICI Securities, Angel One, and Anand Rathi focus on client base, revenue diversification, technology adoption, and regulatory compliance rather than short-term stock moves. These benchmarks help investors assess operational scale, efficiency, and regulatory adherence. Institutional tracking of market volumes, SEBI regulations, and investor sentiment further highlights BLB positioning within India’s broader financial services market.
BLB market cap has moved in line with investor perceptions of the company’s growth potential following various operational developments. From earlier years through more recent periods, the market cap showed an increasing trend as the company expanded its client base, followed by periods of consolidation. This pattern reflects investor confidence during favourable market cycles, followed by contraction during challenging periods impacted by market downturns. This fluctuation mirrors the movements in the share price from its annual highs to recent levels.
BLB earnings have shown a mixed trajectory, with revenue influenced by trading volumes and market activity. The company’s profit after tax has varied across fiscal years, reflecting the cyclical nature of the stock broking industry. The net profit margin has been impacted by operational costs and technology investments across different reporting periods.
Alongside earnings, BLB EPS provides insight into its operational performance and income generation from broking and advisory services. Earnings per share figures show how the company’s profitability has responded to changes in market activity and operational costs. The EPS trend offers a perspective on the company’s ability to generate returns for shareholders over time.
BLB P/E ratio reflects how investors perceive the company’s earnings relative to its revenue streams from brokerage and advisory fees. The company’s valuation metrics have fluctuated based on its financial performance and the broader market cycle. The P/E ratio serves as one reference point for understanding investor expectations about future earnings potential.
Finally, BLB earnings trajectory demonstrates the impact of its operational execution in a competitive industry. The company has faced headwinds from fluctuating market volumes, competitive pressures from discount brokers, and regulatory changes. However, BLB has continued to serve its client base over recent years. These developments illustrate the dynamics of the stock broking industry and the company’s position within this sector.
BLB share price performance reflects the company’s position in India’s stock broking and financial services landscape. BLB stock price movements are influenced by stock market activity cycles, investor sentiment, and regulatory changes. The company’s portfolio of broking, advisory, and portfolio management services provides multiple revenue channels. Market participants track operational metrics and financial sector developments to understand the company’s performance within this competitive industry.
| Held By | Mar 2025 | Jun 2025 | Sep 2025 | Dec 2025 | Mar 2026 | Jun 2026 |
|---|---|---|---|---|---|---|
| Promoter | 41 | 41 | 41 | 41 | 45.8 | 45.8 |
| FII | 0 | 0 | 0.1 | 0 | 0 | 0 |
| DII | 0 | 0 | 0 | 0 | 0 | 0 |
| Public | 59 | 59 | 58.9 | 59 | 54.2 | 54.2 |
| Period | Combined Delivery Volume | NSE+BSE Traded Volume Avg | Daily Avg Delivery Volume % |
|---|---|---|---|
| Day | 44.33 K | 78.39 K | 56.55% |
| Week | 37.21 K | 64.98 K | 57.26% |
| 1 Month | 68.85 K | 85.8 K | 80.25% |
| 6 Month | 1.4 L | 2.07 L | 67.38% |
30 Day SMA crossing over 200 Day SMA, and current price greater than open
Companies with current TTM PE Ratio less than 3 Year, 5 Year and 10 Year PE
Strong Performer, Under Radar Stocks (DVM)
Profit making Companies with High ROCE and Low PE
Undervalued Growth Stocks
Rising Net Cash Flow and Cash from Operating activity
Annual Profit Growth higher than Sector Profit Growth
PEG lower than Industry PEG
High Momentum Scores (Technical Scores greater than 50)
Affordable Stocks - Stocks with Good Valuation Score
Effectively using its capital to generate profit - RoCE improving in last 2 years
Effectively using Shareholders fund - Return on equity (ROE) improving since last 2 year
Efficient in managing Assets to generate Profits - ROA improving since last 2 year
Growth in Quarterly Net Profit with increasing Profit Margin (YoY)
Companies with Low Debt
Annual Net Profits improving for last 2 years
Book Value per share Improving for last 2 years
Companies with Zero Promoter Pledge
Stock with Low PE (PE < = 10)
Volume Shockers
Ex-Date | Dividend Amount | Dividend Type | Record Date | Instrument Type |
|---|---|---|---|---|
| 19 Jul, 2013 | 0.1 | FINAL | Equity Share | |
| 18 Sep, 2012 | 0.1 | FINAL | Equity Share | |
| 21 Sep, 2011 | 0.1 | FINAL | Equity Share | |
| 19 Mar, 2010 | 0.2 | INTERIM | 22 Mar, 2010 | Equity Share |
| 17 Sep, 2009 | 0.1 | FINAL | Equity Share | |
| 06 Feb, 2008 | 0.15 | INTERIM | 07 Feb, 2008 | Equity Share |
| 16 Aug, 2007 | 0.1 | INTERIM | 17 Aug, 2007 | Equity Share |
| 15 Nov, 2006 | 0.1 | INTERIM | 16 Nov, 2006 | Equity Share |
| 15 May, 2006 | 0.1 | INTERIM | 16 May, 2006 | Equity Share |
Financials | ||||||
|---|---|---|---|---|---|---|
| Price (₹) | ₹171 | ₹582.35 | ₹108.50 | ₹162.50 | ₹136.50 | ₹9.41 |
| % Change | 1.29% | 2.09% | -2.14% | 5.93% | -1.16% | -3.49% |
| Revenue TTM (₹ Cr) | ₹1,814.73 | ₹932.16 | ₹317.03 | ₹237.11 | ₹327.82 | ₹149.10 |
| Net Profit TTM (₹ Cr) | ₹193.11 | ₹129.27 | ₹49.76 | ₹72.69 | ₹45.36 | ₹42.32 |
| PE TTM | 21.60 | 27.80 | 11.70 | 14.90 | 15.30 | 9.80 |
| 1 Year Return | 30.87 | 37.79 | -29.83 | -38.57 | -1.43 | 33.74 |
| ROCE | - | 24.50 | - | 29.24 | - | - |
Jana Small Finance Bank Ltd.
₹ 482.65
+1.80%
Capital Small Finance Bank Ltd.
₹ 299.45
+1.77%
Utkarsh Small Finance Bank Ltd.
₹ 15.26
+4.23%
Muthoot Microfin Ltd.
₹ 247.50
+5.20%
ESAF Small Finance Bank Ltd.
₹ 35.50
-0.64%
Radiant Cash Management Services Ltd.
₹ 37.71
-0.95%
Abans Financial Services Ltd.
₹ 201.92
+0.38%
Fusion Finance Ltd.
₹ 237.61
+1.53%
CMS Info Systems Ltd.
₹ 274.60
+4.65%
Fino Payments Bank Ltd.
₹ 161.99
+19.64%
Gretex Corporate Services Ltd.
₹ 508.90
+3.49%
Suvidhaa Infoserve Ltd.
₹ 2.54
-0.39%
Suryoday Small Finance Bank Ltd.
₹ 190.90
+3.58%
SMC Global Securities Ltd.
₹ 76.80
+2.29%
Mufin Green Finance Ltd.
₹ 129.89
-0.25%
Spandana Sphoorty Financial Ltd.
₹ 306.00
+0.05%
Indostar Capital Finance Ltd.
₹ 270.75
+0.45%
Share India Securities Ltd.
₹ 178.15
-0.66%
Reliance Home Finance Ltd.
₹ 2.04
+0.00%
Palash Securities Ltd.
₹ 90.31
-2.45%
TruCap Finance Ltd.
₹ 5.18
-3.72%
Satin Creditcare Network Ltd.
₹ 268.20
+4.49%
Oswal Green Tech Ltd.
₹ 22.50
+0.18%
SG Finserve Ltd.
₹ 616.00
-3.43%
Moneyboxx Finance Ltd.
₹ 60.60
-2.70%
By signing up I certify terms, conditions & privacy policy