Avenue Supermarts Ltd

NSE :DMART   BSE :540376  Sector : Retail
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13 Dec
3652.30
(-0.98%)
12 Dec
3688.45
(-0.54%)
11 Dec
3708.30
(-2.85%)
10 Dec
3816.90
(-0.32%)
09 Dec
3829.05
(0.62%)
06 Dec
3805.55
(-1.51%)
05 Dec
3863.95
(0.36%)
04 Dec
3850.10
(0.53%)
03 Dec
3829.85
(4.12%)
02 Dec
3678.40
(-0.84%)
29 Nov
3709.60
(-0.19%)
28 Nov
3716.55
(1.51%)
27 Nov
3661.25
(0.06%)
26 Nov
3659.15
(1.05%)
25 Nov
3621.05
(0.20%)
22 Nov
3613.65
(-0.26%)
21 Nov
3622.90
(-3.45%)
19 Nov
3752.45
(-1.01%)
18 Nov
3790.55
(-0.87%)
14 Nov
3823.85
(1.71%)
13 Nov
3759.55
(-0.46%)


Technical Analysis

Short Term Investors

Neutral

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bearish

3739.05


10 DMA
Bearish

3772.1


20 DMA
Bearish

3734.26


50 DMA
Bearish

3977.33


100 DMA
Bearish

4536.68


200 DMA
Bearish

4543.92



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Dec 13, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 3776.86 3735.83 3675.07 - -
R2 3735.83 3704.2 3667.48 3735.65 -
R1 3694.06 3684.66 3659.89 3693.7 3714.95
P 3653.03 3653.03 3653.03 3652.85 3663.48
S1 3611.26 3621.4 3644.71 3610.9 3632.15
S2 3570.23 3601.86 3637.12 3570.05 -
S3 3528.46 3570.23 3629.53 - -

Key Metrics

EPS

44.01

P/E

82.98

P/B

11.42

Dividend Yield

0%

Market Cap

2,37,667 Cr.

Face Value

10

Book Value

319.81

ROE

14.58%

EBITDA Growth

1,126.29 Cr.

Debt/Equity

0.04

Shareholding Pattern

  74.65% Total Promoter Holding
5.95% Mutual Fund Holdings
9.95% FIIs
7.91% Non Institution
0.67% Insurance Companies
0% Custodians
0.87% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Avenue Supermarts Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 12661.29 13605.39 12764.42 14110.74 14478.02
PROFIT 623.56 690.61 563.25 773.82 659.58
EPS 9.58 10.62 8.66 11.89 10.14

Avenue Supermarts Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 12353.35 13291.76 12445.66 13763.82 14096.82
PROFIT 658.54 736.82 604.2 812.45 710.37
EPS 10.12 11.32 9.28 12.49 10.92

Profit & Loss (Figures in Rs. Crores)


Avenue Supermarts Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 7070.23 9327.44 12202.48 15332.31 20497.52 25268.94 24640.15 31588.14 43469.72 51619.05
PROFIT 210.35 319.13 474.27 793.27 894.77 1291.79 1098.92 1492.69 2373.32 2517.68
EPS 0 0 7.67 12.92 14.46 20.08 16.97 23.04 36.69 38.97

Avenue Supermarts Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 7071.32 9318.73 12185.36 15295.41 20396.84 25071.55 24254 30912.93 42465.01 50389.87
PROFIT 209.37 316.78 478.29 772.03 929.24 1341.37 1164.95 1615.47 2551.7 2677.73
EPS 3.75 5.66 7.73 12.57 15 20.84 17.99 24.95 39.43 41.41

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 650.73648.26647.77647.77647.77624.08624.08624.08561.54561.54
Reserves Total 18,047.0915,429.5313,029.8711,535.9410,431.974,963.374,044.973,217.7958.9637.65
Equity Application Money00.9100000000
Total Shareholders Funds18,697.8216,078.713,677.6412,183.7111,079.745,587.454,669.053,841.781,520.441,199.19
Minority Interest-0.480.080.250.40.460.560.640.150.10.05
Secured Loans 000037.73453.7439.251,497.321,142.34902.51
Unsecured Loans 592.16642.98646.94392.71295.46246.4500501.75
Total Debt592.16642.98646.94392.71333.19700.15439.251,497.321,192.34904.26
Other Liabilities9.556.885.282.891.951.831.521.5716.3416.21
Total Liabilities19,299.0516,728.6414,330.1112,579.7111,415.346,289.995,110.465,340.822,729.222,119.71
APPLICATION OF FUNDS :
Gross Block 16,571.1613,816.3411,126.98,396.086,926.655,009.63,800.612,805.292,191.821,832.14
Less: Accumulated Depreciation3,156.162,475.861,866.881,387.28978.62609.23400.64227.5498.3304.06
Net Block13,41511,340.489,260.027,008.85,948.034,400.373,399.972,577.752,093.521,528.08
Capital Work in Progress935.22829.161,129.341,019.59364.4376.84147.07152.8981.6998.12
Investments 106.67202.25.942.9514.6816.5368.1825.6929.3315.23
Inventories 3,927.313,243.482,742.662,248.281,947.41,608.651,163.45947.9671.69539.61
Sundry Debtors 166.3762.1666.8943.5819.5564.3733.52218.427.07
Cash and Bank Balance638.181,408.33298.581,445.58107.88219.07560.181,884.2935.138.04
Loans and Advances 1,363.51532.23328.79320.74258.16173.96146.87121.2572.6848.3
Total Current Assets6,095.375,246.23,436.924,058.182,332.992,066.051,904.022,974.44787.88633.02
Current Liabilities 1,470.41,164.43930.49888.64598.09612.82452.59410.51314.52186.75
Provisions 315.82136.26148.01136.4315.6339.6240.1217.4517.9417.83
Total Current Liabilities & Provisions1,786.221,300.691,078.51,025.07613.72652.44492.71427.96332.46204.58
Net Current Assets4,309.153,945.512,358.423,033.111,719.271,413.611,411.312,546.48455.42428.44
Deferred Tax Assets142.33124.920.315.398.544.5211.793.181.531.13
Deferred Tax Liability229.54200.0982.6765.6655.6467.5956.8453.6941.431.64
Net Deferred Tax-87.21-75.19-62.37-50.27-47.1-63.07-45.05-50.51-39.87-30.51
Other Assets620.22486.481,638.761,565.533,416.06145.71128.9888.51109.1480.37
Total Assets19,299.0516,728.6414,330.1112,579.7111,415.346,289.995,110.465,340.812,729.222,119.73
Contingent Liabilities174.4443.8528.4811.356.114.474.283.74.824.01
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 650.73648.26647.77647.77647.77624.08624.08624.08561.54561.54
Reserves Total 18,629.8815,853.3613,276.3411,657.5110,487.754,970.44,018.633,212.98950.32631.37
Equity Application Money00.9100000000
Total Shareholders Funds19,280.6116,502.5313,924.1112,305.2811,135.525,594.484,642.713,837.061,511.861,192.91
Secured Loans 000037.73448.7439.251,481.131,127.27887.51
Unsecured Loans 463.74439.48415.94295.53242.42246.4500500
Total Debt463.74439.48415.94295.53280.15695.15439.251,481.131,177.27887.51
Other Liabilities0.370.470.410.440.470.780.781.3818.0617.97
Total Liabilities19,744.7216,942.4814,340.4612,601.2511,416.146,290.415,082.745,319.572,707.192,098.39
APPLICATION OF FUNDS :
Gross Block 15,821.5313,050.3710,514.117,996.436,644.384,807.813,634.542,773.32,162.391,811.86
Less : Accumulated Depreciation 2,812.352,213.861,685.381,275.59908.97573.58378.36224.496.95302.2
Net Block 13,009.1810,836.518,828.736,720.845,735.414,234.233,256.182,548.92,065.441,509.66
Capital Work in Progress929.99828.91,073.141,006.21361.94376.55147.05152.8981.6991.59
Investments 1,070.83976.91532.31402.3287.3212181.2136.6229.6516.66
Inventories 3,723.433,055.562,586.892,167.331,909.431,576.221,147.04933.16660.2529.92
Sundry Debtors 393.34246.59230.8672.148.5375.5233.36218.387.07
Cash and Bank Balance559.861,372.81284.311,431.9992.24213.55556.461,881.3132.5935.86
Loans and Advances 1,276.99460.26249.08289.47242.07163.76157.84132.6488.7769.48
Total Current Assets5,953.625,135.223,351.143,960.892,292.272,029.051,894.72,968.11789.94642.33
Current Liabilities 1,417.551,091.2853.92858.38605.02603.7443.47414.25318.06201.2
Provisions 309.81131.42144.74134.8614.7739.3939.9616.5816.217.56
Total Current Liabilities & Provisions1,727.361,222.62998.66993.24619.79643.09483.43430.83334.26218.76
Net Current Assets4,226.263,912.62,352.482,967.651,672.481,385.961,411.272,537.27455.68423.57
Deferred Tax Assets135.5121.7217.8213.757.383.4710.541.921.41.07
Deferred Tax Liability229.54200.2282.6665.6555.5867.5456.8453.6641.4931.72
Net Deferred Tax-94.04-78.5-64.84-51.9-48.2-64.07-46.3-51.74-40.09-30.65
Other Assets602.5466.061,618.641,556.153,407.21145.74133.3395.63114.8287.56
Total Assets19,744.7216,942.4814,340.4612,601.2511,416.146,290.415,082.745,319.582,707.192,098.4
Contingent Liabilities148.3571.5828.4411.3256.1154.3620.1719.64.233.89

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...3,461.33
Depreciation730.76
Interest (Net)-49.33
P/L on Sales of Assets1.87
P/L on Sales of Invest-27.11
Total Adjustments (PBT and Ext...670.05
Operating Profit before Workin...4,131.38
Trade and 0ther Receivables-104.21
Inventories-683.83
Trade Payables231.02
Total Adjustments (OP before W...-643.77
Cash Generated from/(used in) ...3,487.61
Direct Taxes Paid-741.77
Total Adjustments(Cash Generat...-741.77
Cash Flow before Extraordinary...2,745.84
Net Cash from Operating Activi...2,745.84
Purchased of Fixed Assets-2,731.25
Sale of Fixed Assets9.45
Sale of Investments122.64
Interest Received262.29
Net Cash used in Investing Act...-2,468.23
Proceeds from Issue of shares ...74.81
Of Financial Liabilities-164.32
Interest Paid-58.13
Net Cash used in Financing Act...-147.64
Net Profit before Tax and Extr...3,611.38
Depreciation632.79
Interest (Net)-60.45
P/L on Sales of Assets1.86
P/L on Sales of Invest-24.89
Total Adjustments (PBT and Ext...510.97
Operating Profit before Workin...4,122.35
Trade and 0ther Receivables-146.75
Inventories-667.87
Trade Payables251.48
Total Adjustments (OP before W...-648.95
Cash Generated from/(used in) ...3,473.4
Direct Taxes Paid-730.38
Total Adjustments(Cash Generat...-730.38
Cash Flow before Extraordinary...2,743.02
Net Cash from Operating Activi...2,743.02
Purchased of Fixed Assets-2,687.01
Sale of Fixed Assets2.01
Sale of Investments120.42
Interest Received259.01
Invest.In Subsidiaires-189.45
Net Cash used in Investing Act...-2,584.24
Proceeds from Issue of shares ...72.92
Of Financial Liabilities-115.34
Interest Paid-44.27
Net Cash used in Financing Act...-86.69

Company Details

Registered Office
AddressAnjaneya CHS Ltd Orchard Avenu,
Opp Hiranandani Foundation Sch
CityMumbai
StateMaharashtra
Pin Code400076
Tel. No.91-22-40496500
Fax. No.91-22-40496503
Emailinvestorrelations@dmartindia.com
Internethttp://www.dmartindia.com
Registrars
AddressAnjaneya CHS Ltd Orchard Avenu
CityMumbai
StateMaharashtra
Pin Code400076
Tel. No.91-22-40496500
Fax. No.91-22-40496503
Emailinvestorrelations@dmartindia.com
Internethttp://www.dmartindia.com
Management
Name Designation
IGNATIUS NAVIL NORONHAManaging Director & CEO
Ramakant BahetiWhole Time Director& Group CFO
ELVIN ELIAS MACHADOWhole-time Director
MANJRI ADITYA CHANDAKNon-Exec & Non-Independent Dir
Chandrasekhar Bhaskar BhaveChairman & Independent Directo
ASHU GUPTACompany Sec. & Compli. Officer
Kalpana UnadkatIndependent Director
H M BharukaIndependent Director
Bhaskaran NWTD & Additional Director