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3MINDIA.NS 3M India Ltd.

Diversified

Price history

2026-02-20 ₹36145.00
2026-08-21 ₹33740.00
Change over window -6.65%

Price is the daily close from stored Kite history. The other metrics pair that daily price with the company's periodic filings — each fundamental (revenue, EPS, equity…) is held flat at its latest filed value between annual filings, so a ratio steps at each filing and moves daily only through its price term. A metric with no input on file for this company (e.g. EV/EBITDA for a bank, which has no EBIT) is shown as unavailable, never guessed. Share-count-based metrics use the latest diluted share count against split/bonus-adjusted prices.

Technical indicators

ℹ These reflect only the stock's recent price and volume behavior — not the company's fundamentals — and are not a recommendation to buy or sell. Standard published parameters are used throughout (see each chart's own label); a company with too little stored price history for a given indicator's lookback window shows that plainly below rather than a garbage or misleading value.

MACD (12,26,9), Stochastic Oscillator (14,3) and Money Flow Index (14-day) each carry their own published reference lines/bands (20/80 for the oscillator readings) where one is standard. ADX includes +DI/-DI for direction alongside trend strength; a dashed line marks the commonly published 25 "trending market" reading. ATR is shown in raw rupees here; the price/volume preset screen (below, and on the Screener page) reports it as a % of price so it's comparable across stocks at different price levels. Computed from the same stored daily OHLCV history as the price chart above — no new data source.

Delivery volume

Latest (2026-08-28) 37.0%
Trailing 20-day average 44.5%
Date Traded Qty Delivery Qty Delivery %
2026-08-28 2422 895 36.95%
2026-08-27 3288 1780 54.14%
2026-08-26 1465 701 47.85%
2026-08-25 1288 536 41.61%
2026-08-24 1835 930 50.68%
2026-08-21 1581 677 42.82%
2026-08-20 1957 838 42.82%
2026-08-19 7449 2723 36.56%
2026-08-18 1635 783 47.89%
2026-08-17 3192 1243 38.94%
2026-08-14 20827 3110 14.93%
2026-08-13 4039 1852 45.85%
2026-08-12 2637 1381 52.37%
2026-08-11 3128 938 29.99%
2026-08-10 2056 1084 52.72%
2026-08-07 3976 3000 75.45%
2026-08-06 4631 2505 54.09%
2026-08-05 3173 1427 44.97%
2026-08-04 1536 636 41.41%
2026-08-03 6489 2420 37.29%

Delivery quantity/percentage from the NSE bhavcopy (DELIV_QTY/DELIV_PER) — the share of that day's traded volume that actually settled into a demat account, rather than being squared off intraday. A higher delivery percentage is commonly read as genuine accumulation/distribution rather than speculative same-day trading; this describes recent trading PATTERN, not the company itself, and is not a recommendation to buy or sell. A blank cell is a day NSE itself published no figure for, never a zero. Run python manage.py refresh_delivery_volumes --tickers 3MINDIA.NS to fetch more history.

Insider trading activity

No insider-trading disclosures on file — run python manage.py refresh_insider_trades --tickers 3MINDIA.NS. (No stored disclosures may mean none have been fetched yet, or that NSE has genuinely published none for this company.)

Ratios as of FY2025-26 (Annual) · Price ₹33640.00 INR (live) · fetched 2026-08-23 21:31 price stale

Extract this company (financials + ratios + citations): CSV · XLSX

Ratios

P/E
72.58
P/E = Price / EPS
Source trace
P/E = Price / (ProfitLossForPeriod / PaidUpValueOfEquityShareCapital ÷ FaceValueOfEquityShareCapital) → ₹33,640.00 / (₹5,223,200,000 / 11,270,000 shares) = ₹33,640.00 / ₹463.46 EPS
FY2025-26 · Annual filing
ROE
29.54%
ROE = Net Income / Shareholder Equity
Source trace
ROE = ProfitLossForPeriod / EquityAttributableToOwnersOfParent → ₹5,223,200,000 / ₹17,681,500,000 = 29.54%
FY2025-26 · Annual filing
Debt/Equity
0.10
Debt/Equity = Total Debt / Shareholder Equity
Source trace
Debt/Equity = BorrowingsCurrent + BorrowingsNoncurrent / EquityAttributableToOwnersOfParent → ₹1,697,500,000 / ₹17,681,500,000 = 0.10
FY2025-26 · Annual filing
Current Ratio
2.18
Current Ratio = Current Assets / Current Liabilities
Source trace
Current Ratio = CurrentAssets / CurrentLiabilities → ₹25,423,800,000 / ₹11,650,300,000 = 2.18
FY2025-26 · Annual filing
ROCE
50.15%
ROCE = EBIT / (Shareholder Equity + Total Debt)
Source trace
ROCE = ProfitBeforeExceptionalItemsAndTax + FinanceCosts / (EquityAttributableToOwnersOfParent + BorrowingsCurrent + BorrowingsNoncurrent) → ₹9,718,600,000 / (₹17,681,500,000 + ₹1,697,500,000) = 50.15%
FY2025-26 · Annual filing
Dividend Yield
1.59%
Dividend Yield = (Dividends Paid / Diluted Shares Outstanding) / Price

This is cash paid during the fiscal year, not a per-share rate declared for it (no such element exists in the filing data) — timing can straddle interim/final dividends across years, and pre-FY2020-21 figures may include the since-abolished Dividend Distribution Tax, reading higher than later years for that reason alone.

Source trace
Dividend Yield = (|DividendsPaidClassifiedAsFinancingActivities| / PaidUpValueOfEquityShareCapital ÷ FaceValueOfEquityShareCapital) / Price → (₹6,026,800,000 / 11,270,000 shares) / ₹33,640.00 = ₹534.76 / ₹33,640.00
FY2025-26 · Annual filing

Growth & earnings trend

Revenue & Profit CAGR

Revenue (3y, 8.0y actual) 8.9%
Net Profit (3y) N/A
Revenue (5y, 8.0y actual) 8.9%
Net Profit (5y) N/A
Revenue (10y, 8.0y actual) 8.9%
Net Profit (10y) N/A

Operating Margin Trend

Flat

FY2017-18 18.7%
FY2018-19 17.5%
FY2019-20 14.6%
FY2020-21 8.5%
FY2021-22 11.1%
FY2022-23 15.5%
FY2023-24 18.7%
FY2024-25 17.6%
FY2025-26 19.1%

ROCE Trajectory

FY2017-18 N/A
FY2018-19 N/A
FY2019-20 N/A
FY2020-21 N/A
FY2021-22 N/A
FY2022-23 36.6%
FY2023-24 36.5%
FY2024-25 42.5%
FY2025-26 50.2%

Earnings Quality

Needs net profit and CFO for 3+ stored years; only 2 on file.

Sector-Relative Percentile (Diversified)

ROE 100th
ROCE 100th
Debt/Equity 100th
P/E 0th

Quarterly trend

Revenue Net Profit Net Profit (loss quarter)
Metric (to shareholders basis) Q4 FY2023-24 Q1 FY2024-25 Q2 FY2024-25 Q3 FY2024-25 Q4 FY2024-25 Q1 FY2025-26 Q2 FY2025-26 Q3 FY2025-26 Q4 FY2025-26 Q1 FY2026-27 Source
Revenue ₹1,094.55 Cr. ₹1,046.57 Cr. ₹1,110.80 Cr. ₹1,089.95 Cr. ₹1,198.23 Cr. ₹1,195.97 Cr. ₹1,266.49 Cr. ₹1,228.05 Cr. ₹1,399.24 Cr. ₹1,423.21 Cr. RevenueFromOperations
Net Profit ₹172.85 Cr. ₹157.15 Cr. ₹133.78 Cr. ₹113.77 Cr. ₹71.37 Cr. ₹177.69 Cr. ₹191.34 Cr. ₹-62.05 Cr. ₹215.34 Cr. ₹233.07 Cr. ProfitLossForPeriod

Primary figures are Revenue from Operations and Net Profit attributable to shareholders — the basis the ratios use. Where they differ, the companion Gross revenue (incl. inter-segment) and incl. minority net profit (the totals a news headline usually quotes) are shown beneath, each traceable to its own XBRL element. Quarters shown are however many are actually stored (up to 10) — run python manage.py refresh_quarterly_trend --tickers 3MINDIA.NS to fetch more.

Source document — income statement (FY2025-26, raw filing line items)

View original filing on NSE ↗ NSE's own filing document, opened in a new tab — StockProof links to it, never stores a copy.

ProfitLossForPeriod5223200000.0
PaidUpValueOfEquityShareCapital ÷ FaceValueOfEquityShareCapital11270000.0
Source document — balance sheet (FY2025-26, raw filing line items)

View original filing on NSE ↗ NSE's own filing document, opened in a new tab — StockProof links to it, never stores a copy.

CurrentAssets25423800000.0
CurrentLiabilities11650300000.0
EquityAttributableToOwnersOfParent17681500000.0
BorrowingsCurrent + BorrowingsNoncurrent1697500000.0

My notes