
Diversified
High Scoring Large Cap stocks have outperformed low scoring stocks by 90% over last 4 years
Balance Sheet: Strong Balance Sheet.
Profitability: Recent profitability of 8% is a good sign.
Smart Money: Smart money is taking extra interest in the stock as they increase their holdings.
Size: Market Cap wise it is among the top 20% companies of india.
Buy Backs: Company has bought back it's stock in the past which is a good thing.
Momentum: Stock has a weak negative price momentum.
Valuation | |
|---|---|
| Market Cap | 38.9 kCr |
| Price/Earnings (Trailing) | 68.28 |
| Price/Sales (Trailing) | 7.88 |
| EV/EBITDA | 41.13 |
| Price/Free Cashflow | 110.7 |
| MarketCap/EBT | 46.86 |
| Enterprise Value | 38.28 kCr |
Fundamentals | |
|---|---|
| Revenue (TTM) | 4.94 kCr |
| Rev. Growth (Yr) | 11.8% |
| Earnings (TTM) | 378.34 Cr |
| Earnings Growth (Yr) | -154.5% |
Profitability | |
|---|---|
| Operating Margin | 18% |
| EBT Margin | 17% |
| Return on Equity | 23.49% |
| Return on Assets | 14.23% |
| Free Cashflow Yield | 0.90% |
Growth & Returns | |
|---|---|
| Price Change 1W | -5.3% |
| Price Change 1M | -1.4% |
| Price Change 6M | 13.6% |
| Price Change 1Y | 24.3% |
| 3Y Cumulative Return | 13.8% |
| 5Y Cumulative Return | 6.1% |
| 7Y Cumulative Return | 5.4% |
| 10Y Cumulative Return | 12.4% |
Cash Flow & Liquidity | |
|---|---|
| Cash Flow from Investing (TTM) | 321.96 Cr |
| Cash Flow from Operations (TTM) | 355.1 Cr |
| Cash Flow from Financing (TTM) | -788.57 Cr |
| Cash & Equivalents | 613.62 Cr |
| Free Cash Flow (TTM) | 299.68 Cr |
| Free Cash Flow/Share (TTM) | 266.03 |
Balance Sheet | |
|---|---|
| Total Assets | 2.66 kCr |
| Total Liabilities | 1.05 kCr |
| Shareholder Equity | 1.61 kCr |
| Current Assets | 2.07 kCr |
| Current Liabilities | 910.91 Cr |
| Net PPE | 311.18 Cr |
| Inventory | 645.65 Cr |
| Goodwill | 0.00 |
Capital Structure & Leverage | |
|---|---|
| Debt Ratio | 0.00 |
| Debt/Equity | 0.00 |
| Interest Coverage | 19.32 |
| Interest/Cashflow Ops | 34.34 |
Dividend & Shareholder Returns | |
|---|---|
| Dividend/Share (TTM) | 535 |
| Dividend Yield | 1.47% |
| Shares Dilution (1Y) | 0.00% |
| Shares Dilution (3Y) | 0.00% |
High Scoring Large Cap stocks have outperformed low scoring stocks by 90% over last 4 years
Balance Sheet: Strong Balance Sheet.
Profitability: Recent profitability of 8% is a good sign.
Smart Money: Smart money is taking extra interest in the stock as they increase their holdings.
Size: Market Cap wise it is among the top 20% companies of india.
Buy Backs: Company has bought back it's stock in the past which is a good thing.
Momentum: Stock has a weak negative price momentum.
Investor Care | |
|---|---|
| Dividend Yield | 1.47% |
| Dividend/Share (TTM) | 535 |
| Shares Dilution (1Y) | 0.00% |
| Earnings/Share (TTM) | 505.69 |
Financial Health | |
|---|---|
| Current Ratio | 2.27 |
| Debt/Equity | 0.00 |
Technical Indicators | |
|---|---|
| RSI (14d) | 34.81 |
| RSI (5d) | 35.4 |
| RSI (21d) | 50.14 |
| MACD Signal | Sell |
| Stochastic Oscillator Signal | Hold |
| SharesGuru Signal | Sell |
| RSI Signal | Hold |
| RSI5 Signal | Hold |
| RSI21 Signal | Hold |
| SMA 5 Signal | Sell |
| SMA 10 Signal | Sell |
| SMA 20 Signal | Sell |
| SMA 50 Signal | Sell |
| SMA 100 Signal | Sell |
Updated May 4, 2025
3M India's stock is trading 0.84% lower at Rs 29,770.00, with a year-to-date decline of 0.93%.
The stock's TTM P/E ratio of 59.28 is significantly higher than the sector average of 12.66.
Mutual Fund and FII holdings have decreased to 7.05% and 3.78%, respectively, indicating potential concerns from investors.
Newspaper Publication • 25 Feb 2026 News Paper Publication regarding Postal Ballot Notice |
General • 24 Feb 2026 Update |
Newspaper Publication • 13 Feb 2026 Q3 25-26 Financial Result Newspaper Publication |
Change in Directorate • 12 Feb 2026 Change in Director |
Certificate under Reg. 74 (5) of SEBI (DP) Regulations, 2018 • 05 Jan 2026 Certificate under Reg 74 (5) of SEBI (DP) Regulations |
General • 23 Dec 2025 Board comments on fine levied by the Exchanges |
Newspaper Publication • 04 Nov 2025 Newspaper Publication of Financial Results |
This information is AI-generated and may contain inaccuracies. Please verify from multiple sources.
Summary of 3M India's latest earnings call, featuring management's outlook on business performance, financial results, and analyst Q&A sessions that highlight key strategic initiatives and market challenges.
Analysis of 3M India's financial performance, highlighting revenue trends, growth patterns, and key metrics through quarterly analysis.
No revenue data available.
Understand 3M India ownership landscape with insights into key distribution patterns, offering investors a clear view of stakeholder dynamics.
| Shareholder Name | Holding % |
|---|---|
| 3M COMPANY | 75% |
| NIPPON LIFE INDIA TRUSTEE LTD- A/C NIPPON INDIA GR | 2.62% |
| BRIGHT STAR INVESTMENTS | 1.48% |
Distribution across major stakeholders
Distribution across major institutional holders
Detailed comparison of 3M India against industry peers, highlighting key financial metrics, valuation ratios, and performance indicators to provide competitive context within the sector.
Ticker | Name | Mkt Cap | Revenue | Price %, 1M | Returns, 1Y | P/E | P/S | Rev 1-Yr | Inc 1-Yr |
|---|---|---|---|---|---|---|---|---|---|
| HINDUNILVR | Hindustan Unilever | 5.3 LCr | 65.66 kCr | -4.80% | +3.90% | 36.51 | 8.07 | - | - |
| ASIANPAINT | Asian Paints | 2.19 LCr | 35.35 kCr | -5.70% | +5.70% | 57.02 | 6.21 | - | - |
| PIDILITIND | Pidilite Industries | 1.47 LCr | 14.44 kCr | +1.30% | +7.70% | 64.21 | 10.19 | - | - |
| ABB | ABB India | 1.26 LCr | 13.56 kCr | +4.60% | +11.60% | 75.31 | 9.27 | - | - |
| SIEMENS | Siemens | 1.15 LCr | 18.09 kCr | +0.10% | -36.80% | 64.73 | 6.33 | - | - |
| BLUESTARCO | Blue Star | 40.03 kCr | 12.41 kCr | +7.10% | -8.70% | 80.98 | 3.23 | - | - |
| HONAUT | Honeywell Automation India | 26.48 kCr | 4.79 kCr | -11.50% | -12.70% | 52.4 | 5.52 | - | - |
Comprehensive comparison against sector averages
3MINDIA metrics compared to Diversified
| Category | 3MINDIA | Diversified |
|---|---|---|
| PE | 68.28 | 31.86 |
| PS | 7.88 | 1.98 |
| Growth | 11.5 % | 3.5 % |
3M India is a diversified company with the stock ticker 3MINDIA and a notable market capitalization of Rs. 32,460.7 Crores.
The company operates in manufacturing and trading across various sectors, including:
3M India Limited is structured into four main segments:
The Safety & Industrial segment offers a range of industrial tapes and adhesives, such as Scotch masking tapes and other specialty materials.
In its Transportation and Electronics segment, the company provides personal protection products, brand protection solutions, border control products, and various traffic and signage products.
The Health Care segment includes medical supplies, wound care products, dental and orthodontic items, and food safety solutions.
Within the Consumer segment, 3M India markets products such as home and office adhesives, note pads, and stain protection items.
3M India sells its products under well-known brands including Command, Littmann, Nexcare, Post-it, Scotch-Brite, Aqua-Pure, and others. The company also exports its offerings internationally.
Founded in 1987 and headquartered in Bengaluru, India, 3M India is a subsidiary of 3M Company. The company has reported a trailing 12-month revenue of Rs. 4,272.2 Crores and achieved a profit of Rs. 611.4 Crores over the past four quarters.
3M India rewards its investors with dividends, showcasing a yield of 2.72% per year, and providing a total of Rs. 785 per share in dividends over the last year. The company experienced a revenue growth of 3.3% in the past year, highlighting its ongoing profitability and stability in the market.
This is an informational page just to provide a quick 'first look' at the stock. You must do your own deeper research. Know your risk appetite. Consult a SEBI-registered financial advisor before making any investment decisions.
3MINDIA vs Diversified (2021 - 2026)