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BETALA GLOBAL SECURITIES

BETALA BSE

Key Fundamentals

MicrocapOther Financial ServicesFinancial Services
Market Cap
₹5.23 Cr
Volatility
High Risk
P/E Ratio
-124.9
EBITDA
₹-0.09 Cr
Return on Equity
-1.46%
Debt to Equity
0
Book Value
₹3.29
52W High
₹41.59
52W Low
₹30.89

Tapetide Score

Data-driven rating, 0–100. How it works →

Growth Rate

Revenue Growth
-100% level than 3Y
Net Income Growth
-100% lower than 3Y
Cash Flow Change
-111% lower than 3Y
ROE
-96.16% lower than 3Y
ROCE
-96.16% higher than 3Y
EBITDA Margin (Avg.)
-100% level than 3Y

Shareholding Pattern

Public79.30%Promot.8.63%Others12.07%As ofJun 2026

Documents

Frequently Asked Questions about BETALA GLOBAL SECURITIES

Where is BETALA GLOBAL SECURITIES LTD. (BETALA) listed?
BETALA GLOBAL SECURITIES LTD. trades under code BETALA on the BSE.
Which sector does BETALA GLOBAL SECURITIES LTD. belong to?
BETALA GLOBAL SECURITIES LTD. is classified under the Financial Services sector, in the Other Financial Services industry.
What is the market capitalisation of BETALA GLOBAL SECURITIES LTD.?
BETALA GLOBAL SECURITIES LTD. has a market capitalisation of ₹5.23 Cr, which places it in the Small Cap band.
What is the PE ratio of BETALA GLOBAL SECURITIES LTD.?
BETALA GLOBAL SECURITIES LTD. trades at a PE ratio of -124.90, against a book value of ₹3.29 per share.
What is the 52-week high and low of BETALA GLOBAL SECURITIES LTD.?
Over the last 52 weeks BETALA GLOBAL SECURITIES LTD. has traded between ₹30.89 and ₹41.59.
What is the Return on Equity (ROE) of BETALA GLOBAL SECURITIES LTD.?
BETALA GLOBAL SECURITIES LTD. reported a return on equity of -1.46%. Its debt-to-equity ratio is 0.00.

Company Information

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