Bharat Dynamics Share Price Target Tomorrow 2025-2030: Bharat Dynamics Limited (BDL) is a prominent defense manufacturing company in India, specializing in the production of missiles and other advanced defense systems. As a government-owned entity, BDL holds a crucial role in India’s defense industry, securing substantial contracts from the Indian Armed Forces. The company’s stock price is largely influenced by government defense expenditure, technological advancements, and export opportunities.
Bharat Dynamics Share Details
Market Data | Value |
Opening Price | INR 1,100.00 |
Highest Price | INR 1,137.40 |
Lowest Price | INR 1,100.00 |
Market Capitalization | INR 40.63 Lakh Crore |
Price-to-Earnings (P/E) Ratio | 71.69 |
Dividend Yield | 0.40% |
52-Week High | INR 1,794.70 |
52-Week Low | INR 793.50 |
Bharat Dynamics Share Price Target Tomorrow 2025, 2026, 2027, 2028, 2029 To 2030
Bharat Dynamics Share Price Target Tomorrow 2025 1,800, 2026 2,100, 2027 2,400, 2028 2,700, 2029 3,000 To 2030 3,300. India Bharat Dynamics Limited is one of India’s manufacturers of ammunitions and missile systems. It was founded in 1970 in Hyderabad, India.
- Founded: 1970, Hyderabad, Hyderabad
- Headquarters: India
- Number of employees: 2,401 (2025)
- Parent organizations: Ministry of Defence, Government of India
Bharat Dynamics Share Price Target 2025-2030
Year | Bharat Dynamics Share Price Target (INR) |
2025 | INR 1,800 |
2026 | INR 2,100 |
2027 | INR 2,400 |
2028 | INR 2,700 |
2029 | INR 3,000 |
2030 | INR 3,300 |
Category | SHARE PRICE |
Current Market Overview of Bharat Dynamics Share Price
As 2025, the Bharat Dynamics share price on the National Stock Exchange (NSE) stands at INR 1,106.00. Here’s a detailed breakdown of the latest market data:
Market Data | Value |
Opening Price | INR 1,106.85 |
Highest Price | INR 1,152.40 |
Lowest Price | INR 1,088.00 |
Previous Close | INR 1,093.70 |
Volume | 1,806,544 |
Value (Lacs) | 20,021.02 |
VWAP (Volume Weighted Average Price) | INR 1,122.59 |
Market Capitalization | INR 40,624 Crore |
Face Value | INR 5 |
UC Limit | INR 1,312.40 |
LC Limit | INR 875.00 |
52-Week High | INR 1,794.70 |
52-Week Low | INR 776.05 |
Bharat Dynamics Share Price Target 2025
Share Price Target: INR 1,800
For 2025, Bharat Dynamics is expect to see a price target of INR 1,800. This is driven by the increasing demand for defense equipment in India and expanding defense contracts with the government. The rise in defense spending and enhanced government policies around the defense sector will likely have a positive impact on the company’s share price. With continued focus on indigenous manufacturing and technological advancements, BDL is poised for growth in the next few years.
Year | Share Price Target (₹) |
2025 | 1,800 |
Bharat Dynamics Share Price Target 2026
Share Price Target: INR 2,100
In 2026, the share price of Bharat Dynamics is forecasted to reach INR 2,100. This growth will be primarily influenced by BDL’s success in securing more defense contracts, both domestically and through exports. The company’s strategic emphasis on expanding production capacity for advanced missile systems and defense equipment will support continued revenue growth, positioning the company to take advantage of expanding global defense needs.
Year | Share Price Target (₹) |
2026 | 2,100 |
Bharat Dynamics Share Price Target 2027
Share Price Target: INR 2,400
For the year 2027, the target for Bharat Dynamics is INR 2,400. By this time, BDL will likely have expanded its export market and may experience substantial growth from its increasing international defense partnerships. With a strong order book and advance technological solutions, the company is poised to further strengthen its position in the global defense market, making it an attractive investment.
Year | Share Price Target (₹) |
2027 | 2,400 |
Bharat Dynamics Share Price Target 2028
Share Price Target: INR 2,700
The target for Bharat Dynamics in 2028 is INR 2,700, with sustain growth driven by continuous technological advancements in missile systems and defense equipment. With a growing focus on indigenous manufacturing under the “Make in India” initiative, the company will benefit from increasing defense budgets and geopolitical tensions, ensuring a robust future trajectory in both national and international markets.
Year | Share Price Target (₹) |
2028 | 2,700 |
Bharat Dynamics Share Price Target 2029
Share Price Target: INR 3,000
In 2029, Bharat Dynamics’ share price is project to reach INR 3,000. The company is expect to capitalize on the significant demand for defense equipment, both for domestic and international markets. Strategic alliances, continuous product innovation, and a focus on long-term defense contracts will fuel the company’s growth, ensuring long-term profitability and a steady rise in stock price.
Year | Share Price Target (₹) |
2029 | 3,000 |
Bharat Dynamics Share Price Target 2030
Share Price Target: INR 3,300
By 2030, Bharat Dynamics is expect to reach a share price target of INR 3,300. This anticipate growth will be driven by ongoing modernization of India’s defense capabilities, increase defense exports, and a continuous focus on indigenous production. By this time, BDL is likely to be one of the top players in the global defense sector, with a diversified portfolio and long-term contracts fueling its upward trajectory.
Year | Share Price Target (₹) |
2030 | 3,300 |
Bharat Dynamics Shareholding Pattern
Shareholder Type | Percentage of Total Shares |
Promoter | 74.9% |
Foreign Institutional Investors (FII) | 3.1% |
Domestic Institutional Investors (DII) | 8.7% |
Public | 13.3% |
Key Factors Driving Bharat Dynamics Share Price Growth
- Strong Demand in the Defense Sector: Bharat Dynamics benefits from rising defense spending by the Indian government, which drives its revenue growth. As a key supplier of missile systems and other advance equipment, BDL’s growth prospects are directly tie to defense demand.
- Government Contracts & Policies: BDL’s performance is closely link to government defense contracts and policies. With a favorable domestic policy environment, increasing defense budgets, and a growing focus on “Make in India,” the company is poise for growth through long-term government orders.
- Technological Advancements & Research and Development: Continued investment in technological innovation and research and development (R&D) ensures that BDL remains competitive in the rapidly evolving defense sector. Enhanced missile systems and other cutting-edge equipment will likely lead to higher revenues and support stock price growth.
- Global Expansion & Export Opportunities: BDL’s strategic focus on exporting defense equipment to allied nations is expect to reduce its reliance on domestic orders, contributing to revenue diversification. As geopolitical tensions rise globally, demand for defense products will continue to increase, benefiting BDL.
- Strong Financial Performance & Order Book: BDL’s growing order book, coupled with robust financial performance, creates investor confidence. With consistent revenue growth and profitability, the company is position for continued stock price appreciation.
Risks and Challenges for Bharat Dynamics Share Price
- Dependence on Government Contracts: Bharat Dynamics is heavily reliant on defense orders from the Indian government. Any reduction in defense spending or delays in government contracts could impact revenue and share price performance.
- Regulatory & Policy Changes: Changes in defense procurement policies, privatization efforts, or increased competition from private sector players could challenge BDL’s market dominance, affecting future growth and stock valuation.
- Technological Competition: The defense sector is evolving quickly, and BDL must continue to innovate to stay competitive. Failure to keep pace with technological advancements could result in a loss of market share.
- Geopolitical Risks & Export Barriers: Although exports offer growth opportunities, BDL may face challenges from international trade restrictions, diplomatic tensions, and regulatory barriers, which could impact its ability to expand globally.
- Supply Chain & Cost Management: Fluctuating raw material prices and reliance on foreign components can lead to cost increases, affecting profitability. Any disruptions in the supply chain may delay production schedules, impacting revenue growth.
- Market Volatility & Investor Sentiment: Changes in political or economic conditions can cause market volatility, leading to fluctuating investor sentiment. The defense sector is particularly sensitive to external factors such as global conflicts and government policy shifts.
Is BDL a debt free company?
Financial risk profile of the company remained strong with nil debt as on March 31, 2024 and strong capital structure. BDL manages most of the incremental working capital requirement through internal accruals with minimum utilization of its fund-based limits.
Who is the CFO of Bharat Dynamics?
Shri. G. Gayatri Prasad assumed charge as Director (Finance) of M/s Bharat Dynamics Limited (BDL) with effect from 18 Dec 2024 (A/N). Prior to the assumption of charge, he was working as General Manager (Finance) & CFO in BDL.
What is the price target of Bharat Dynamics in 2025?
Bharat Dynamics Share Price 2025: ₹1,800
The expected price of BDL’s share in the stock exchange is ₹1,800 by the year 2025. They have the capability to expand the variety of products produced and the number of customers buying their products both in India and outside India.
Our price forecasting model for analyzing Share targets employs a detailed, data-driven approach to determine monthly price projections. This methodology integrates classic analytical tools, including long-term pivot point analysis, historical performance metrics, and volatility assessment. Below, we outline the key components and processes that constitute our forecasting framework. It is essential to recognize that these price estimates are purely mathematical and should not be considered financial advice. Stock markets are highly dynamic, influenced by multiple unpredictable factors that no single model can comprehensively capture.
Long-Term Pivot Point Analysis
At the core of our methodology lies long-term pivot point analysis, complemented by Fibonacci series calculations. These pivot points help determine critical support and resistance levels, providing a structured framework for anticipating potential price movements.
Pivot = Previous Close Resistance_n = Pivot + (Range × F_n) Support_n = Pivot - (Range × F_n)
Where:
- F_n represents Fibonacci multipliers (e.g., 0.382, 0.618, 1.000).
- Range is the difference between the highest and lowest prices over a specific period.
Historical Performance Analysis
A stock's historical performance plays a vital role in predicting its future behavior. Our model conducts an extensive analysis of past data to determine average returns over various timeframes, capturing both short-term fluctuations and long-term trends.
Average Return = (1/N) Σ R_i
Where:
- N is the number of periods (e.g., months or quarters).
- R_i represents the return in the i-th period.
Volatility Assessment
Market volatility is a crucial factor in assessing risk and uncertainty associated with stock price movements. Our methodology incorporates a comprehensive evaluation of stock volatility, measured by the standard deviation of historical returns.
σ = √[(1/(N-1)) Σ (R_i - μ)^2]
Where:
- μ is the mean return.
- R_i is the return in the i-th period.
- N is the total number of returns.
Integrated Predictive Modeling
Our forecasting model integrates pivot point analysis, historical performance, and volatility assessments through advanced predictive techniques, ensuring data-driven and adaptable price projections.
- Calibration Based on Historical Performance: Utilizing past average returns and volatility metrics to align future price targets with the stock’s established patterns.
- Mathematical Optimization: Applying techniques such as the Least Squares Method (LSM) to optimize projections, reducing errors and enhancing forecast precision.
- Dynamic Adjustment: Incorporating real-time market data to refine predictions, ensuring forecasts remain relevant and up-to-date.
Target Price Calibration
The final step in our methodology is the precise calibration of monthly price targets, ensuring they align with analytical insights and market conditions.
Target Price_next month = Current Price × (1 + Adjusted Growth Rate)
Where:
- Adjusted Growth Rate is derived from historical average returns and volatility, refined through our integrated predictive modeling approach.
This ensures that price targets account for both growth potential and associated risks, providing balanced and actionable forecasts.