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Today's low / high

52 WK low / high

bid price (qty)

offer price (qty)

NSE


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volume

Today's' low / high

52 WK low / high

bid price (qty)

offer price (qty)

10 Jan
29693.95
(-2.94%)
09 Jan
30594.80
(-0.59%)
08 Jan
30775.05
(-0.59%)
07 Jan
30957.75
(2.25%)
06 Jan
30275.40
(-1.14%)
03 Jan
30623.95
(-1.08%)
02 Jan
30958.05
(2.59%)
01 Jan
30175.60
(-0.72%)
31 Dec
30393.15
(-0.40%)
30 Dec
30514.20
(0.26%)
27 Dec
30436.00
(-1.75%)
26 Dec
30978.30
(-0.05%)
24 Dec
30993.90
(1.04%)
23 Dec
30676.35
(-0.45%)
20 Dec
30813.85
(-0.95%)
19 Dec
31110.25
(0.67%)
18 Dec
30902.35
(-0.73%)
17 Dec
31129.95
(-1.16%)
16 Dec
31494.35
(-0.34%)
13 Dec
31602.20
(0.41%)
12 Dec
31473.30
(-0.45%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bearish

30450.45


10 DMA
Bearish

30500.75


20 DMA
Bearish

30752.35


50 DMA
Bearish

32070.34


100 DMA
Bearish

33422.63


200 DMA
Bearish

33764.22



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Jan 10, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 31558.8 31148.25 30006.82 - -
R2 31148.25 30713.65 29902.53 31069.1 -
R1 30421.1 30445.15 29798.24 30262.8 30784.68
P 30010.55 30010.55 30010.55 29931.4 30192.34
S1 29283.4 29575.95 29589.66 29125.1 29646.98
S2 28872.85 29307.45 29485.37 28793.7 -
S3 28145.7 28872.85 29381.08 - -

Key Metrics

EPS

502.28

P/E

59.04

P/B

20.07

Dividend Yield

2.31%

Market Cap

33,465 Cr.

Face Value

10

Book Value

1477.83

ROE

30.51%

EBITDA Growth

226.21 Cr.

Debt/Equity

0.01

Shareholding Pattern

  75% Total Promoter Holding
7.14% Mutual Fund Holdings
4.07% FIIs
12.78% Non Institution
0.87% Insurance Companies
0% Custodians
0.14% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


3M India Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME1064.82 1056.96 1022.18 1124.73 1068.33
PROFIT129.21 146.11 135.24 172.85 157.15
EPS114.7 129.71 120.05 153.44 139.5

3M India Ltd Quaterly Results


Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
INCOME1056.96 955.68 1059.75 1013.41 1128.97
PROFIT146.11 124.57 161.24 146.48 133.78
EPS129.71 110.58 143.13 130.03 118.76

Profit & Loss (Figures in Rs. Crores)


3M India Ltd Profit & Loss


Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 2779.96 3100.23 3036.44 2608.56 3389.79 4080.52 4219.17
PROFIT 333.39 365.86 322.19 161.25 270.8 450.76 582.88
EPS 295.91 325.06 285.99 144.14 241.43 400.37 517.9

3M India Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 1886.65 2167.85 2421.17 2619.75 2855.47 2814.68 2426.36 3121.55 3836.8 3956.38
PROFIT 108.6 194.89 240.8 310.6 323 218.99 148.19 265.01 415.88 535.73
EPS 96.17 172.89 213.72 275.66 286.72 194.38 132.53 236.28 369.41 476.05

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018
SOURCES OF FUNDS :
Share Capital 11.2711.2711.2711.2711.2711.2711.27
Reserves Total 2,135.641,666.212,172.311,899.061,739.611,421.571,055.45
Total Shareholders Funds2,146.911,677.482,183.581,910.331,750.881,432.841,066.72
Secured Loans 0000013.810.07
Unsecured Loans 18.1826.7524.5723.1342.1300
Total Debt18.1826.7524.5723.1342.1313.810.07
Other Liabilities33.0743.0255.0742.1531.5528.923.69
Total Liabilities2,198.161,747.252,263.221,975.611,824.561,475.541,100.48
APPLICATION OF FUNDS :
Gross Block 641.79611551.85488.76499.77456.06436.02
Less: Accumulated Depreciation309.33273.03244.42222.52193.79169.99132.59
Net Block332.46337.97307.43266.24305.98286.07303.43
Capital Work in Progress12.3224.5722.9523.526.9112.385.91
Inventories 531.79610.74489.58456.55438.66411.26367.48
Sundry Debtors 703.09635.04527.77488.53534.25586.56568.09
Cash and Bank Balance1,357.84800.661,327.861,062.42780.57557.47854.65
Loans and Advances 75.7381.0191.8130.22115.26101.5386.07
Total Current Assets2,668.462,127.452,437.012,137.721,868.741,656.821,876.29
Current Liabilities 935.62876.17642.43602.46461.07552.611,122.31
Provisions 114.4591.02100.373.4785.7390.1887.8
Total Current Liabilities & Provisions1,050.07967.18742.73675.92546.81642.791,210.11
Net Current Assets1,618.391,160.261,694.281,461.81,321.931,014.03666.18
Deferred Tax Assets32.632.2137.436.8633.3949.0738.32
Deferred Tax Liability4.774.944.556.0711.0218.3519.45
Net Deferred Tax27.8327.2732.8530.7922.3730.7218.87
Other Assets207.16197.16205.71193.26167.36132.34106.09
Total Assets2,198.161,747.232,263.221,975.611,824.551,475.531,100.48
Contingent Liabilities656.22628.14718.76494.97531.25489.56445.68
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 11.2711.2711.2711.2711.2711.2711.2711.2711.2711.27
Reserves Total 2,358.931,936.572,477.522,210.242,063.51,848.271,525.41,215.13976.81796.45
Total Shareholders Funds2,370.21,947.842,488.792,221.512,074.771,859.541,536.671,226.4988.08807.72
Secured Loans 0000013.59.469.7811.1614.31
Unsecured Loans 17.9326.7324.4422.8841.7700000
Total Debt17.9326.7324.4422.8841.7713.59.469.7811.1614.31
Other Liabilities29.7839.0350.0638.3228.8826.4521.6721.9114.4918.54
Total Liabilities2,417.912,013.62,563.292,282.712,145.421,899.491,567.81,258.091,013.73840.57
APPLICATION OF FUNDS :
Gross Block 614.13583.53523.27460.54472.66433.1412.4407.85389.41587.13
Less : Accumulated Depreciation 296.38261.12232.48212.3186.02163.62127.1892.6940.19199.38
Net Block 317.75322.41290.79248.24286.64269.48285.22315.16349.22387.75
Capital Work in Progress12.3224.5722.623.56.6410.195.752.431.211.3
Investments 504.8504.8504.8504.8504.8584.70000
Inventories 498.01567.6453.48430.27411.04379.18347.29331.78292.38295.57
Sundry Debtors 679.01595.1488.58460.51506.59546.14529.64407.92317.15249.12
Cash and Bank Balance1,118.07634.431,206.54937.15665.77470.39789.31744.16370.88113.91
Loans and Advances 56.6363.9374.97112.61104.2594.2575.6443.3341.5536.37
Total Current Assets2,351.721,861.062,223.561,940.541,687.641,489.961,741.881,527.181,021.96694.96
Current Liabilities 872.88815.57598.64563.69425.24509.84486.66583.13358.28278.2
Provisions 107.7585.2595.4770.2482.684.3780.8990.3256.799.34
Total Current Liabilities & Provisions980.63900.82694.1633.93507.83594.2567.55673.45415.07287.54
Net Current Assets1,371.09960.241,529.461,306.611,179.81895.761,174.32853.73606.89407.42
Deferred Tax Assets30.4230.1434.6434.0527.6843.5732.2229.868.3726.77
Deferred Tax Liability8.017.927.288.4411.0220.120.8722.06017.1
Net Deferred Tax22.4122.2227.3625.6116.6623.4711.357.88.379.67
Other Assets189.54179.35188.27173.95150.86115.8891.1678.9648.0534.42
Total Assets2,417.912,013.62,563.282,282.72,145.411,899.481,567.811,258.081,013.73840.56
Contingent Liabilities636.24607.77682.53462.17476.65436.01382.8319.87111.48180.66

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...781.21
Depreciation52.94
Interest (Net)-63.48
P/L on Sales of Assets-0.72
Prov. and W/O (Net)-7.67
P/L in Forex1.36
Total Adjustments (PBT and Ext...-17.58
Operating Profit before Workin...763.64
Trade and 0ther Receivables-118.65
Inventories78.95
Trade Payables107.14
Loans and Advances-2.27
Total Adjustments (OP before W...81.33
Cash Generated from/(used in) ...844.97
Direct Taxes Paid-201.93
Total Adjustments(Cash Generat...-201.93
Cash Flow before Extraordinary...643.03
Net Cash from Operating Activi...643.03
Purchased of Fixed Assets-31.41
Sale of Fixed Assets0.78
Interest Received69.25
Net Cash used in Investing Act...-269.38
Of Financial Liabilities-14.92
Dividend Paid-112.65
Net Cash used in Financing Act...-127.58
Net Profit before Tax and Extr...718.31
Depreciation51.83
Interest (Net)-51.04
P/L on Sales of Assets-0.72
Prov. and W/O (Net)-7.65
P/L in Forex1.3
Total Adjustments (PBT and Ext...-6.28
Operating Profit before Workin...712.02
Trade and 0ther Receivables-85.37
Inventories69.59
Trade Payables55.87
Total Adjustments (OP before W...56.93
Cash Generated from/(used in) ...768.95
Direct Taxes Paid-185.56
Total Adjustments(Cash Generat...-185.56
Cash Flow before Extraordinary...583.4
Net Cash from Operating Activi...583.4
Purchased of Fixed Assets-31.33
Sale of Fixed Assets0.78
Interest Received55.75
Net Cash used in Investing Act...-228.8
Of Financial Liabilities-14.89
Dividend Paid-112.65
Net Cash used in Financing Act...-127.54

Company Details

Registered Office
AddressPlot No 48-51 Electronics City,
Hosur Road
CityBangalore
StateKarnataka
Pin Code560100
Tel. No.91-80-22231414
Fax. No.91-80-22231450
Emailinvestorhelpdesk.in@mmm.com
Internethttp://www.3m.com/in
Registrars
AddressPlot No 48-51 Electronics City
CityBangalore
StateKarnataka
Pin Code560100
Tel. No.91-80-22231414
Fax. No.91-80-22231450
Emailinvestorhelpdesk.in@mmm.com
Internethttp://www.3m.com/in
Management
Name Designation
Biren GabhawalaIndependent Director
Bharat ShahChairman & Independent Directo
Ramesh RamaduraiManaging Director
Radhika RajanIndependent Director
Yun JinNon Executive Director
Vidya SarathyWhole Time Director & CFO
Narumanchi Venkata SivakumarIndependent Director
Andrew Paul BennettIndependent Director