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Check Before You Invest : HB Portfolio Ltd

BSE: 532333 NSE: ISIN: INE638B01025
  |   Sector:  BFSI   |   Industry:  Finance - Investment

Snapshot

Q.1 Which industry/sub-sector does HB Portfolio Ltd belong to?
HB Portfolio Ltd belongs to the BFSI sector, operating specifically within the Finance - Investment segment.
Q.2 Is HB Portfolio Ltd a good quality company?
HB Portfolio Ltd is a quality company, based on a multi-year financial track record.

This assessment is based on the bank’s performance on Total Income growth, Pre-Provision Operating Profit, RoA, RoE, CAR, and Asset Quality, along with how these metrics compare with its long-term averages.

Q.3 Is HB Portfolio Ltd undervalued or overvalued?
HB Portfolio Ltd appears Somewhat overvalued, as its key valuation ratios are higher than their past averages.

Based on the industry it operates in, the relevant valuation ratios include one of the following, P/E, P/BV, P/Sales, EV/EBITDA or a combination of two or more.

Valuation Ratios Current 5-year
Historic Median
Price to Earnings 37.21 15.32
Price to Book 0.3 0.28
Price to Sales 33.14 16.59
EV to EBITDA 25.42 12.86
Q.4 Is HB Portfolio Ltd a good buy now?
HB Portfolio Ltd is not a good buy now, based on weak price trend analysis suggesting prices may fall. However, you need to check its quality and valuation before making a decision

Performance Analysis

We have analysed the performance of the company on the following:

  • How has it performed on generating Profits?

    By checking its Total Income growth, NPM, PPOP, RoA and RoE compared to its last 5-year median.

  • How efficiently has it grown and managed operations?

    By checking its Total Asset growth.

  • How strong is its Capital position and Asset Quality?

    By checking its Capital Adequacy Ratio (CAR), GNPA and NNPA.

A: What are the trends in income and profitability?

Q.1 Total Income growth of HB Portfolio Ltd?
HB Portfolio Ltd Operating Income growth is -60.28% for FY-2025, which is below its 5-year CAGR of 19.72%, indicating slower growth.

Q.2 Return on Assets of HB Portfolio Ltd?
HB Portfolio Ltd Return on Asset is -0.3%, which is below its 5-year historical median of -0.2%, indicating deteriorated earnings on assets.
Current Level 5-year
Historic Median
NPM (%) -5.16 -4.4
PPOP (%) 6.17 -43.75
RoA (%) -0.3 -0.2

Q.3 Return on Equity (ROE) of HB Portfolio Ltd?
HB Portfolio Ltd Return on Equity is -0.3% for FY-2025, which is below its 5-year historical median of -0.2%, indicating the business is making worse use of its shareholders capital.

Q.4 Pre-provisioning operating profit margin of HB Portfolio Ltd?
HB Portfolio Ltd Pre-provisioning operating profit margin, which is the bank’s core operating profit before provisioning for bad loans, is 6.17% for FY-2025, which is above its 5-year median(-43.75%), indicating increasing margins.

Q.5 Net Profit Margin of HB Portfolio Ltd?
HB Portfolio Ltd Net Profit Margin, which is the difference between the rate of interest earned on assets and the rate of interest paid on liabilities, is -5.16% for FY-2025, which is below its 5-year median( -4.4%), indicating decreasing margins.

Q.6 Does its ROIC exceed its WACC?
HB Portfolio Ltd return on invested capital (ROIC) is -0.25% for FY-2025, is lower than its estimated weighted average cost of capital (WACC) of 14%, indicating value erosion.

B: Does the bank grow efficiently and manage its operating costs?

Q.7 Total Asset growth of HB Portfolio Ltd?
HB Portfolio Ltd Total Asset growth is -7.41% for FY-2025, which is below its 5-year CAGR of 16.31%, indicating slower growth.

Ownership & governance

D: Promoter shareholding and pledge status of HB Portfolio Ltd?

Q.1 Promoter shareholding and pledge status of HB Portfolio Ltd?
Promoters hold 61.45% of the HB Portfolio Ltd, with 0.00% of their stake pledged, indicating no pledge risk.

Peer comparison (industry-wise, mcap)

E: How does HB Portfolio Ltd performance compare with that of its Peers?

Q.1 AUM Growth of HB Portfolio Ltd vs Industry Peers?
HB Portfolio Ltd AUM CAGR is 16.31%, compared to the 5-year industry median CAGR of 9.08%, indicating faster growth and gaining its market share.

Q.2 Profit metrics (NPM, PPOP, RoA) of HB Portfolio Ltd vs industry peers
HB Portfolio Ltd profit metrics are in line with the industry median level of -1.22%, indicating similar profitability compared to peers.
Profit Metrics
Current Level 5-year
Industry Median
NPM (%) -5.16 3.22
PPOP (%) 6.17 -7.69
RoA (%) -0.3 0.8

Q.3 Operating efficiency of HB Portfolio Ltd vs industry peers?
HB Portfolio Ltd ROCE (-0.2) is below the industry median of (1.8); while the current ROE (-0.2) are below than the 5-year average Industry ROE (0.9). This shows that the business is positioned in the bottom quartile of the industry.
Operating Efficiency
Current Level 5-year
Industry Median
NPM (%) -5.16 3.22
PPOP (%) 6.17 -7.69
RoA (%) -0.3 0.8
ROCE (%) -0.2 1.8
ROE (%) -0.3 0.9

Valuation & price assessment

Q.1 Stock return of HB Portfolio Ltd over the last decade?
Over the last 9 years, the stock has delivered a CAGR of 17.9% based on the current price.
9Y 5Y 3Y 1Y
Share Price
CAGR
17.9% 21.5% 19.8% -21.6%
Q.2 How do the current valuation ratios compare with 5-year historical median and industry numbers?
Valuation Ratios Current 5-year
Historic Median
5-year
Industry Median
Price to Earnings 37.21 15.32 33.75
Price to Book 0.3 0.28 0.95
Price to Sales 33.14 16.59 12.43
EV to EBITDA 25.42 12.86 10.00
Q.3 Valuation ratios of HB Portfolio Ltd vs historical and industry averages?
The current Price-to-Book (P/B) ratio of 0.3 is higher than its historical median of 0.28, indicating that the stock is trading above its historical average valuation.

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