3MINDIA

Diversified

3M India Ltd.

NSE: 3MINDIABSE: 523395ISIN: INE470A01017
₹35,500.00
+255.00 · +0.72%
As of 24 Jul 2026
Open
₹35,110.00
High
₹35,790.00
Low
₹34,915.00
Prev Close
₹35,245.00
52W High
₹38,030.00
52W Low
₹28,730.00
Volume
2.7 K
Mkt Cap
₹40,087 Cr
Fundamentals
Valuation & profitability
Market Cap
₹40,087 Cr
P/E Ratio
74.6
EPS (TTM)
₹475.87
Book Value
₹1,906.00
Dividend Yield
0.42%
ROCE
40.5%
ROE
30.5%
Sales Growth
17%
Face Value
₹10.00
Company overview
3M India Ltd.

3M India is a subsidiary of 3M, a multinational conglomerate company based in the United States. 3M India was established in 1987 and has its headquarters in Mumbai, India.

Over the years, 3M India has expanded its product portfolio and has become a leading supplier of a wide range of products, including personal protective equipment, adhesives, abrasives, and filtration products. The company has also invested in research and development to drive innovation and improve its offerings.

Currently, 3M India is performing well and has a strong presence in the Indian market. Its product mix by revenue and profit is diverse and includes products from several different business segments, including industrial, safety and graphics, health care, and electronics and energy.

The major growth drivers for the future of 3M India include increased demand for personal protective equipment, growing demand for filtration products, and increased demand for products in the health care and electronics and energy markets. The company is also investing in research and development to drive innovation and develop new products to meet the changing needs of its customers.

In addition to its core business segments, 3M India has a strong presence in several key industries, including construction, automotive, and consumer goods. The company has a well-established distribution network and a strong brand reputation, which has helped it to maintain its leadership position in the Indian market.

3M India is also committed to sustainability and has several initiatives aimed at reducing its environmental impact and promoting sustainability in its operations. These include investments in renewable energy, waste reduction programs, and efforts to reduce greenhouse gas emissions.

Key highlights
Auto-generated from live data
  • Trades at a P/E of 74.6, with a return on equity (ROE) of 30.5%.
  • 3MINDIA is trading above 4 of 5 of its key moving averages (10/20/50/100/200-DMA) — a bullish technical setup.
  • Year-to-date it is up 1.42%, and down 1.61% over the past year.
  • At ₹35,500.00 it sits about 73% of the way up its 52-week range (₹28,730.00–₹38,030.00).
  • Offers a dividend yield of 0.42%.
  • Market capitalisation stands at ₹40,087 Cr.
Price chart
Daily candles + volume · SMA 20 / 50 / 200 · stored OHLC
Shareholding pattern

Shareholding data syncs daily.

Performance
Stock returns vs Nifty 50
10D
-2.10%
Nifty -0.64%
20D
+1.06%
Nifty -1.72%
50D
+9.93%
Nifty +2.68%
100D
+12.28%
Nifty -1.14%
200D
-2.64%
Nifty -8.93%
YTD
+1.42%
Nifty -8.59%
52W
-1.61%
Nifty -7.86%
Moving averages
Simple moving averages vs current price
4/5 above · Bullish
SMA 10-Day
₹35,609.50Below
SMA 20-Day
₹34,958.75Above
SMA 50-Day
₹33,426.20Above
SMA 100-Day
₹32,971.75Above
SMA 200-Day
₹33,489.90Above
Price ranges
Where the price sits in each window
10-Day range₹35,500.00
₹34,710.00₹36,880.00
20-Day range₹35,500.00
₹32,330.00₹36,880.00
50-Day range₹35,500.00
₹30,280.00₹36,880.00
200-Day range₹35,500.00
₹28,730.00₹38,030.00
YTD range₹35,500.00
₹28,730.00₹38,030.00
52-Week range₹35,500.00
₹28,730.00₹38,030.00
Technical signals
Unfilled gaps acting as support / resistance
Unfilled Gap Up On 08 Apr, 2026 : 29845.00 ~ 29600.00SUPPORT
Unfilled Gap Up On 30 May, 2022 : 19052.00 ~ 17799.00SUPPORT
Annual financials
Revenue, profit & EPS by financial year
YearRevenueNet ProfitEPSNPM
Mar 2023₹3,733 Cr₹416 Cr₹369.4111.14%
Mar 2022₹3,336 Cr₹272 Cr₹241.438.15%
Mar 2021₹2,605 Cr₹162 Cr₹144.146.22%
Mar 2021₹2,605 Cr₹162 Cr₹144.146.22%
Mar 2020₹2,987 Cr₹322 Cr₹285.9910.78%
Mar 2020₹2,987 Cr₹322 Cr₹285.9910.78%
Mar 2019₹3,017 Cr₹366 Cr₹325.0612.13%
Mar 2019₹3,017 Cr₹366 Cr₹325.0612.13%
Mar 2018₹2,710 Cr₹333 Cr₹295.9112.29%
Mar 2017₹2,363 Cr₹241 Cr₹213.7210.2%
Mar 2016₹2,140 Cr₹195 Cr₹172.899.11%
Mar 2015₹1,840 Cr₹108 Cr₹96.175.87%
Peer comparison
Other companies in Diversified
CompanyP/EBook ValueSales Growth
SURYAROSNI
SURYA ROSHNI LTD.
8.16₹216.7626.36%
KESORAMIND
KESORAM INDUSTRIES LTD.
0₹29.61-1.84%
SORILINFRA
SORIL Infra Resources Ltd
86.02₹72.20-16.64%
WALCHANNAG
WALCHANDNAGAR INDUSTRIES LTD.
0₹83.02-23.15%
SRF
SRF LTD.
23.72₹755.1921.07%
QUESS
Quess Corp Ltd
36.95₹186.4024.36%
GILLANDERS
GILLANDERS ARBUTHNOT & CO.LTD.
0₹127.17-3.84%
DCMSHRIRAM
DCM Shriram Limited
7.09₹242.7710.24%
CIMMCO
CIMMCO LTD.
1.42₹68.3056.21%
BALMLAWRIE
BALMER LAWRIE & CO.LTD.
10.71₹71.083.65%
Dividend history
Per share, by ex-date
Ex-Date: 26 Jul 2023₹100.00
Ex-Date: 21 Nov 2022₹850.00
Bulk & block deals
Recent large transactions
DateClientTypeQtyPrice
25 Oct 2022ISHARES CORE EMERGING MARKETS MAURITIUS COSALE7,640₹23,168.20
25 Oct 2022ISHARES CORE MSCI EMERGING MARKETS ETFPURCHASE7,640₹23,168.20
25 Oct 2022ISHARES INDIA SC MAURITIUS COMPANYSALE979₹23,168.20
25 Oct 2022ISHARES MSCI INDIA SMALL-CAP ETFPURCHASE979₹23,168.20
17 Oct 2022ISHARES CORE EMERGING MARKETS MAURITIUS COSALE7,629₹23,003.45
17 Oct 2022ISHARES CORE MSCI EMERGING MARKETS ETFPURCHASE7,629₹23,003.45
17 Oct 2022ISHARES INDIA SC MAURITIUS COMPANYSALE977₹23,003.45
17 Oct 2022ISHARES MSCI INDIA SMALL-CAP ETFPURCHASE977₹23,003.45
11 Oct 2022ISHARES CORE EMERGING MARKETS MAURITIUS COSALE4,965₹24,517.65
11 Oct 2022ISHARES CORE MSCI EMERGING MARKETS ETFPURCHASE4,965₹24,517.65
11 Oct 2022ISHARES INDIA SC MAURITIUS COMPANYSALE636₹24,517.65
11 Oct 2022ISHARES MSCI INDIA SMALL-CAP ETFPURCHASE636₹24,517.65

Fundamentals, financials & technicals sourced from niftytrader.in, cached and refreshed periodically.