Indo-MIM Ltd

Indo-MIM Ltd

- close price
  • Market Cap 27,294 Cr.
  • Current Price
  • High / Low /
  • Stock P/E 46.3
  • Book Value
  • Dividend Yield %
  • ROCE 26.9 %
  • ROE 26.8 %
  • Face Value 1.00

Pros

Cons

* The pros and cons are machine generated. Pros / cons are based on a checklist to highlight important points. Please exercise caution and do your own analysis.

Peer comparison

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Quarterly Results

Consolidated Figures in Rs. Crores / View Standalone

Operating Profit
OPM %
Interest
Depreciation
Profit before tax
Tax %
EPS in Rs
Raw PDF

Profit & Loss

Consolidated Figures in Rs. Crores / View Standalone

Mar 2021 Mar 2023 Mar 2024 Mar 2025 Mar 2026
1,975 2,753 2,870 3,330 4,193
1,121 1,939 2,127 2,397 3,122
Operating Profit 854 814 743 933 1,071
OPM % 43% 30% 26% 28% 26%
21 25 -46 -57 50
Interest 50 60 87 96 167
Depreciation 105 150 174 199 220
Profit before tax 718 629 435 581 734
Tax % 23% 25% 35% 27% 27%
553 471 284 424 534
EPS in Rs 57.59 49.10 5.89 8.79 11.07
Dividend Payout % 67% 41% 64% 67% 0%
Compounded Sales Growth
10 Years: %
5 Years: 16%
3 Years: 15%
TTM: 26%
Compounded Profit Growth
10 Years: %
5 Years: 1%
3 Years: 8%
TTM: 20%
Stock Price CAGR
10 Years: %
5 Years: %
3 Years: %
1 Year: %
Return on Equity
10 Years: %
5 Years: %
3 Years: 22%
Last Year: 27%

Balance Sheet

Consolidated Figures in Rs. Crores / View Standalone

Mar 2021 Mar 2023 Mar 2024 Mar 2025 Mar 2026
Equity Capital 48 48 48 48
Reserves 1,258 1,962 2,002 2,151
588 980 1,272 1,433
311 471 435 508
Total Liabilities 2,205 3,461 3,758 4,141
975 1,430 1,692 1,748
CWIP 20 221 182 209
Investments 0 7 11 13
1,210 1,804 1,874 2,171
Total Assets 2,205 3,461 3,758 4,141

Cash Flows

Consolidated Figures in Rs. Crores / View Standalone

Mar 2021 Mar 2023 Mar 2024 Mar 2025 Mar 2026
601 415 458 506 1,077
-247 -388 -464 -327 -537
-294 92 -93 -238 -356
Net Cash Flow 60 120 -99 -58 185
Free Cash Flow 346 16 87 133 662
CFO/OP 89% 70% 87% 74% 101%

Ratios

Consolidated Figures in Rs. Crores / View Standalone

Mar 2021 Mar 2023 Mar 2024 Mar 2025 Mar 2026
Debtor Days 67 59 70 71
Inventory Days 733 537 595 687
Days Payable 287 193 176 171
Cash Conversion Cycle 514 402 489 586
Working Capital Days 39 46 86 78
ROCE % 19% 22%

Shareholding Pattern

Numbers in percentages

Shareholding pattern is currently not available for this company.

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