3M India Ltd. | 3MINDIA | NSE - Diversified


INR in Million. Fiscal year ends in March. Figures are consolidated and restated..

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 Chart
2019
2020
2021
2022
2023
Net Income
Net Income
5,275
4,326
2,199
3,675
6,074
Cash flow Operating Act...
Cash flow Operating Activities
2,5302,4503,2113,2744,655
Investments in PPE
Investments in PPE
-419-212-415-703-602
Cash flow Investing Act...
Net cash used for Investment Activities
-5,53427-142-407-155
Dividend Paid
Dividend Paid
00009,551
Cash flow Financing Act...
Net cash provided by Financing Activities
32-246-250-212-9,797
Cash at beginning of period
Cash at beginning of period
8,5475,5757,80610,62413,279
Cash at end of period
Cash at end of period
5,5757,80610,62413,2797,982
Free Cash Flow
Free Cash Flow
2,111
2,238
2,796
2,571
4,053