3M India Ltd. (3MINDIA) fundamentals
3M India Ltd. is a listed company in Diversified, part of the Diversified sector, listed on the NSE as 3MINDIA (ISIN INE470A01017). This page carries its reported financials, balance sheet, cash flow, shareholding pattern and valuation ratios.
What 3M India Ltd. does
3M India Limited is an India-based company, which manages its operations through four segments: Safety & Industrial; Transportation & Electronics; Health Care; and Consumer. The Safety & Industrial segment's products include vinyl, polyester, functional and decorative graphics, abrasion-resistant films, masking tapes and other specialty materials. The Health care segment's products include medical and surgical supplies, medical devices, and skin and wound care. The Transportation & Electronics segment's products include personal protection products, brand and asset protection solutions and border control products. This segment also includes the graphics business. The Consumer segment includes products, such as Scotch brand, addressing the home and office tapes, adhesives, and packaging protection platforms, among others. Its brands include Command, Littmann, Nexcare, Post-it, Scotch-Brite and Scotch. The Company has manufacturing facilities in India at Ahmedabad, Bengaluru and Pune.
Valuation and market data
| Last close | ₹32710.00 |
|---|---|
| Market capitalisation | ₹36,848 crore |
| Enterprise value | ₹36,240 crore |
| P/E (TTM) | 70.55 |
| Price to book | 20.84 |
| Price to sales (TTM) | 4.08 |
| Book value per share | ₹1569.60 |
| Dividend yield | 154.69% |
| Sector | Diversified |
| Industry | Diversified |
| Listed since | Fri Aug 13 |
Annual results
| Period | Revenue | Profit before tax | Net profit | EPS |
|---|---|---|---|---|
| Mar 2026 | ₹5,139 crore | ₹894 crore | ₹522 crore | 463.66 |
| Mar 2025 | ₹4,516 crore | ₹773 crore | ₹476 crore | 422.60 |
| Mar 2024 | ₹4,268 crore | ₹781 crore | ₹583 crore | 517.90 |
| Mar 2023 | ₹3,798 crore | ₹561 crore | ₹416 crore | 369.41 |
| Mar 2022 | ₹3,113 crore | ₹360 crore | ₹266 crore | 236.28 |
Figures are as reported (standalone), in ₹ crore.
Shareholding pattern
As of Jun 2026:
| Promoters | 75.0% |
|---|---|
| Foreign institutions (FII) | 3.5% |
| Mutual funds | 7.3% |
| Other domestic institutions | 0.9% |
| Retail and others | 13.3% |
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Data is sourced from exchange filings and vendor feeds and is for research, not investment advice. Figures can be restated by the company after publication.