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Avenue Supermarts Ltd.

RetailingRetailing
₹3,711.95BSE1.00%

16 Sep, 4:01 PM

₹3,711.95
₹2.42L Cr
79.17
9.59
12.99%
₹3,726.00
₹3,670.00
₹4,815.90
₹3,528.65

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Price Performance

Peer Comparison

Name
Avenue Supermarts Ltd.

DMART

3,711.9579.172,42,110.450.00860.4411.34%18,794.5314.88%18.03
TRENT LTD.

TRENT

2,772.2081.721,47,827.910.14518.0721.98%5,754.7117.84%36.73
VMM

VMM

101.3053.2147,457.110.00258.7725.57%3,727.0118.68%19.24
METROBRAND

METROBRAND

941.2063.4125,658.200.6395.26-3.58%720.3614.66%35.77
ABLBL

ABLBL

82.3657.1210,052.220.6129.0220.62%2,045.7411.15%27.34
PNGJL

PNGJL

608.9520.118,963.900.00105.3451.91%2,412.9840.73%21.80
MEDPLUS

MEDPLUS

655.1037.467,870.180.0033.17-21.67%1,879.6021.84%22.22
V2RETAIL

V2RETAIL

209.7542.607,648.270.0041.8569.70%997.2057.73%38.43

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
14,069.1414,444.5015,972.5514,871.8616,359.7016,676.3018,100.8817,683.8618,794.53
Expenses12,847.8913,350.7314,755.3113,916.7915,060.6615,462.6516,637.5116,473.3317,295.19
1,221.251,093.771,217.24955.071,299.041,213.651,463.371,210.531,499.34
8.68%7.57%7.62%6.42%7.94%7.28%8.08%6.85%7.98%
41.6033.5224.1425.0519.4319.5716.9318.1725.78
Interest15.9616.3218.2118.9629.3034.9636.8240.9754.28
192.76207.78228.12240.86231.70253.47268.29283.56287.70
1,054.13903.19995.05720.301,057.47944.791,175.19904.171,183.14
26.60%26.99%27.29%23.53%26.92%27.51%27.18%27.40%27.27%
773.82659.58723.72550.90772.97685.01855.92656.59860.61
11.8910.1411.128.4711.8810.5313.1510.0713.19

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
Operating Income33,912.7747,150.3155,894.1765,382.8774,442.68
Less: Excise Duty2,936.504,310.755,105.346,024.825,621.94
Operating Income (Net)30,976.2742,839.5650,788.8359,358.0568,820.74
EXPENDITURE :
Increase/Decrease in Stock-494.38-500.82-683.77-1,117.06-856.27
Raw Material Consumed26,891.7736,884.7743,958.3151,668.7659,315.99
Power & Fuel Cost207.86314.62376.59447.75485.87
Employee Cost616.21746.97906.121,165.901,541.48
Operating Expenses805.851,116.561,323.431,751.852,034.99
General and Administration Expenses144.56213.23276.13314.05359.66
Miscellaneous Expenses305.90427.20528.25639.47752.43
28,477.7739,202.5346,685.0654,870.7263,634.15
Operating Profit (Excl OI)2,498.503,637.034,103.774,487.335,186.59
117.49129.34146.45124.3174.10
2,615.993,766.374,250.224,611.645,260.69
Interest53.7967.4158.1369.45142.05
PBDT2,562.203,698.964,192.094,542.195,118.64
498.08638.87730.76869.521,037.02
Profit Before Taxation & Exceptional Items2,064.123,060.093,461.333,672.674,081.62
2,064.123,060.093,461.333,672.674,081.62
Provision for Tax571.72681.75925.72965.221,111.76
1,492.402,378.342,535.612,707.452,969.86
Extra items0.000.00
Minority Interest0.150.170.560.570.63
Consolidated Net Profit1,492.552,378.512,536.172,708.022,970.49
Profit Balance B/F5,508.346,995.869,369.3711,896.7414,595.95
Appropriations7,000.899,374.3711,905.5414,604.7617,566.44
23.0436.6938.9741.6245.56
Adjusted EPS23.0436.6938.9741.6245.56

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
647.77648.26650.73650.73651.96
Share Warrants & Outstandings39.4446.8436.8867.6084.45
Total Reserves12,990.4315,383.6018,010.2120,709.4223,727.63
Reserve excluding Revaluation Reserve12,990.4315,383.6018,010.2120,709.4223,727.63
13,677.6416,078.7018,697.8221,427.7524,464.04
Minority Interest0.250.08-0.48-1.05-1.68
Deferred Tax Assets / Liabilities62.3775.1987.21104.97115.15
Other Long Term Liabilities507.56477.13399.61556.281,143.08
Long Term Provisions4.876.419.1812.6714.70
Total Non-Current Liabilities574.80558.73496.00673.921,272.93
Trade Payables589.20753.79984.811,070.811,338.23
Other Current Liabilities481.08576.96678.51851.091,095.81
Short Term Borrowings965.27
Short Term Provisions148.01136.26315.82290.26382.95
Total Current Liabilities1,218.291,467.011,979.142,212.163,782.26
Total Liabilities15,470.9818,104.5221,172.4824,312.7829,517.55
Gross Block11,117.3713,806.8116,561.6320,096.5124,950.90
Less: Accumulated Depreciation1,866.382,474.873,154.723,897.704,867.85
Net Block9,250.9911,331.9413,406.9116,198.8120,083.05
Capital Work in Progress1,129.34829.16935.221,099.351,299.96
Non Current Investments0.010.010.012.012.01
Long Term Investment0.010.010.012.012.01
Long Term Loans & Advances466.30478.46500.41596.50632.25
Other Non Current Assets1,172.468.02119.8116.2615.24
Total Non-Current Assets12,028.1312,656.1314,970.4517,920.5822,039.77
Currents Investments5.93202.19106.661.252.00
Inventories2,742.663,243.483,927.315,044.375,900.64
Sundry Debtors66.8962.16166.37153.79149.34
Cash and Bank298.581,408.33638.18358.20303.78
Other Current Assets18.43225.3873.5661.6866.91
Short Term Loans and Advances310.36306.851,289.95772.911,055.11
Total Current Assets3,442.855,448.396,202.036,392.207,477.78
Net Current Assets (Including Current Investments)2,224.563,981.384,222.894,180.043,695.52
Total Assets15,470.9818,104.5221,172.4824,312.7829,517.55
Contingent Liabilities28.4843.85174.44430.95437.33
Total Debt0.000.000.000.00965.27
210.54247.31286.77328.25373.94
Adjusted Book Value210.54247.31286.77328.25373.94

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
2,064.123,060.093,461.333,672.674,081.62
Adjustment450.97598.95670.05862.241,151.75
Changes In working Capital-582.49-319.88-643.77-1,112.71-698.51
Cash Flow after changes in Working Capital1,932.603,339.163,487.613,422.204,534.86
Cash Flow from Operating Activities1,372.352,630.272,745.842,462.973,466.74
Cash Flow from Investing Activities-1,289.49-2,313.10-2,468.23-2,185.31-4,206.96
Cash Flow from Financing Activitie-179.24-205.14-147.64-259.30288.18
Net Cash Inflow / Outflow-96.38112.03129.9718.36-452.04
Opening Cash & Cash Equivalents191.5095.12207.15337.12355.48
Closing Cash & Cash Equivalent95.12207.15337.12355.48-96.56

Ratios

Valuation

79.17
9.59
44.40
3.40
46.89
386.98

Profitability

12.99
18.03
11.03
6.97
3.99

Leverage & Liquidity

0.04
1.98
29.73

Returns

0.00
2.77

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
74.6574.6574.6574.6574.6574.6574.6574.5174.48
17.2417.4417.1017.3317.5417.8117.6017.8517.97
8.107.918.258.037.807.527.757.647.55
25.3525.3525.3525.3525.3525.3525.3525.4925.52
No. of Shareholders6,19,8435,90,2527,09,5826,71,8506,18,9965,85,5105,99,2965,73,7645,42,175

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-23AGM
2026-07-02Board Meeting Quarterly Results & Inter alia, to consider and approve raising of funds by issue of Debt securities by way of private placement
2026-04-22Board Meeting Audited Results

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-09-14Mahesh Sitaram PawarMarketSell1,100
2026-09-09Arvind AyachitMarketSell180
2026-08-24Elvin Elias MachadoMarketSell4,000
2026-08-14Bhaskaran NMarketSell500
2026-08-14Gorakh Sakharam KhilariInvocation of pledgeSell3,500
2026-08-12Bimal Suresh Desai12-Aug-26Market100
2026-08-12Swati Tushar Dahibawkar11-Aug-26Market300
2026-08-12Kirit Amratlal Nagda11-Aug-26Market2,100
2026-08-12Bimal Suresh Desai11-Aug-26Market200
2026-08-10Sridhar BankuruMarketSell1,000
2026-08-10Sridhar BankuruMarketSell800
2026-08-10Swati Tushar DahibawakarMarketSell700
2026-08-03K S BalajiGiftSell10,000
2026-07-28Elvin Elias MachadoMarketSell4,000
2026-07-24Dastgir ShaikhMarketSell500
2026-07-24Swati Tushar DahibawakarMarketSell200
2026-07-23Elvin Elias MachadoMarketSell8,000
2026-07-23Manoranjan Suresh SahooMarketSell1,500
2026-07-23Bhuvan ReddyMarketSell5,000
2026-07-21Elvin Elias MachadoMarketSell8,000

Sector Overview

RetailingRetailing

Avenue Supermarts Ltd. operates in the Retailing sector under the Retailing industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

Retailing

Founded

2000

Headquarters

Mumbai, Maharashtra

Group

DMart

Chairman

Kalpana Unadkat

Managing Director

Anshul Asawa

Company Secretary

Ashu Gupta

Face Value

₹10

CIN

L51900MH2000PLC126473

Key Management

11 members across the board and senior leadership

Ashu Gupta

Company Secretary & Compliance Officer

Kalpana Unadkat

Chairperson

Rita Teaotia

Non Executive Independent Director

H M Bharuka

Non Executive Independent Director

Manjri Chandak

Non Executive Director

Ignatius Navil Noronha

Managing Director & Chief Executive Officer

Anshul Asawa

Managing Director & Chief Executive Officer

Ramakant Baheti

Whole Time Director & Group CFO

Bhaskaran N

Whole Time Director

Elvin Machado

Whole Time Director

Harischandra M Bharuka

Non Executive Independent Director

DMART Latest News

DMART

₹3,711.95

+1%