Features Screener Stocks Charts
Sign In Sign Up

3M India Ltd. Fundamental Analysis Revenue, Profits & Valuation

NSE: 3MINDIA | BSE: 523395 | DIVERSIFIED
Price ₹32,445.00 ₹165.00 (-0.51%)
P/E Ratio 76.8 TTM
52-Week Range
Low ₹28,275 High ₹38,030
Market Cap ₹365.50B Billion
ROE 25.8% Annual

Market data as of Jun 3, 2026

A fundamental analysis of 3M India Ltd. (3MINDIA) covering revenue trends, profitability, valuation, and shareholding patterns.

3M India Revenue Trend

For FY2025, 3M India Ltd. recorded revenue of ₹4,446 Cr. That's 4.2% higher than the ₹4,268 Cr it brought in during FY2024.

The 10-year revenue CAGR of 9.2% reflects steady — if not spectacular — top-line expansion from ₹1,840 Cr to ₹4,446 Cr.

3M India Ltd.'s ₹4,446 Cr revenue base puts it in the mid-sized bracket among diversified companies in India.

3M India Ltd. has posted revenue growth for 4 consecutive years — that's a sustained trend, not a one-off.

Revenue Trend
YearRevenueYoY %
FY2025₹4,446 Cr+4.2%
FY2024₹4,268 Cr+6.0%
FY2023₹4,027 Cr+19.4%
FY2022₹3,373 Cr+28.3%
FY2021₹2,630 Cr
Revenue Trend (₹ Cr)

View 3M India Ltd.'s full 10-year revenue trend with CAGR analysis →

3M India Profitability

A 18.4% decline brought 3M India Ltd.'s net profit down to ₹476 Cr in FY2025 from ₹583 Cr.

Margins came under pressure in FY2025, with net profit margin dropping to 10.7% from 13.7%.

Looking at per-share numbers, diluted EPS was ₹422.60 in FY2025 — down from ₹517.90.

Net Profit Trend (₹ Cr)

Is 3M India Undervalued

Per the P/E Ratio model, 3M India Ltd. has an estimated intrinsic value of ₹32,937 (1.5% upside).

3M India Ltd. shares are currently trading at ₹32,445.00.

Craytheon also calculates intrinsic value using the EPS Growth and DCF models. The full breakdown with assumptions is available in the detailed analysis.

Valuation Models
ModelEst. Fair Valuevs. Current Price
P/E Ratio₹32,9371.5% upside to fair value
EPS GrowthUpgradeUpgrade
DCFUpgradeUpgrade

See all valuation models for 3M India Ltd. with detailed assumptions →

3M India Shareholding Pattern

The promoter group has maintained its 75.0% holding through the last 4 quarters.

FII holding stands at 3.5%, down from 3.8% in the year-ago quarter.

Domestic investors held 8.3% of the company as of March 2026, up year-over-year from 8.1%.

Shareholding Pattern (Last 4 Quarters)
QuarterPromoterFIIDIIPublic
Mar 202675.0%3.5%8.3%13.2%
Dec 202575.0%3.5%8.4%13.1%
Sep 202575.0%3.4%8.1%13.4%
Jun 202575.0%3.8%8.1%13.1%

Track quarterly shareholding changes for 3M India Ltd. →

3M India Balance Sheet

Proportional view as of 3 Jun 2026. Hover blocks for details.

Assets

Liabilities & Equity

In FY2025, the total asset base came in at ₹30.15B, down 7.2% YoY from ₹32.48B.

Cash & ST Investments accounts for 31.1% of the total, ahead of Receivables (26.2%) and Inventories (21.5%).

Capital structure: 61.3% equity, 3.3% debt, 35.4% operating liabilities. Over the year, debt is up 447.6% and equity is down 14.0%.

Balance sheet composition — FY 2025

Assets (values in Indian Rupees, with M = millions, B = billions)
CategoryValue
Cash & ST Investments 9.37B
Receivables 7.90B
Inventories 6.48B
Property, Plant & Equipment 3.28B
Intangibles & Goodwill 3.04M
Other Assets 3.11B
Liabilities and equity (values in Indian Rupees, with M = millions, B = billions)
CategoryValue
Equity 18.46B
Short-term Debt 81.25M
Long-term Debt 914.10M
Trade Payables 7.56B
Other Liabilities 3.13B

View full balance sheet (multi-year) →

3M India Key Takeaways

In summary, 3M India Ltd. (3MINDIA) presents the following picture for fundamental analysts.

Revenue of ₹4,446 Cr in FY2025, up 4.2% year-over-year.

Long-term revenue has been compounding at 9.2% annually over 10 years.

The company is profitable, with a net margin of 10.7% and net income of ₹476 Cr.

The P/E Ratio model implies 1.5% upside to fair value from the current price. The remaining two models are worth cross-checking before drawing a conclusion — sign up to see the full analysis.

Unlock Full Analysis

There's more to the story. Craytheon's full profile for 3M India Ltd. includes three valuation models, decade-long financials, and insider activity.

Related Stocks