Equity

Profit & Loss Home > Equity > Corporate Information > Profit & Loss

Asian Paints LtdIndustry : Paints / Varnishes
BSE Code:500820 P/E (TTM) :54.19
ISIN Demat:INE021A01026 Div & Yield %:1.09 EPS (TTM) :41.89
Book Value (RS) :198.5975153 Market Cap (Rs Cr.):217757.08 Face Value (RS) :1
    Change Company 
(Rs In Cr)
 Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
INCOME :      
Sales Turnover 29552.6531226.9830078.4025188.5118516.8617194.09
Excise Duty0.000.000.000.000.000.00
Net Sales29552.6531226.9830078.4025188.5118516.8617194.09
Other Income 770.15821.92518.01451.89366.32357.54
Stock Adjustments 180.47-367.64299.741208.6390.70210.21
Total Income30503.2731681.2630896.1526849.0318973.8817761.84
EXPENDITURE :      
Raw Materials 15087.8515139.0716495.7114668.368683.958322.48
Power & Fuel Cost132.73114.93122.15104.6674.7198.34
Employee Cost 2013.581816.191513.891310.141128.66985.43
Other Manufacturing Expenses 2300.432365.252519.882484.521755.101660.30
Selling & Administrative Expenses 3502.703465.403141.262610.291991.922286.39
Miscellaneous Expenses 1523.18914.68764.77685.11480.03225.57
Less : Pre-operative Expenses Capitalised 0.000.000.000.000.000.00
Total Expenditure24560.4723815.5224557.6621863.0814114.3713578.51
Operating Profit5942.807865.746338.494985.954859.514183.33
Interest 143.77124.0993.0670.2571.6680.33
Gross Profit5799.037741.656245.434915.704787.854103.00
Depreciation901.85742.93755.83721.56697.47689.97
Profit Before Tax4897.186998.725489.604194.144090.383413.03
Tax1306.701678.311424.321110.451059.18876.81
Fringe Benefit tax0.000.000.000.000.000.00
Deferred Tax5.605.40-34.90-51.02-21.31-117.73
Reported Net Profit3584.885315.014100.183134.713052.512653.95
Extraordinary Items -274.901.508.49-9.8413.64-16.91
Adjusted Net Profit3859.785313.514091.693144.553038.872670.86
Adjustment below Net Profit -0.80-96.730.000.00-3.98-362.89
P & L Balance brought forward13852.0711166.178974.857581.094974.644424.53
Statutory Appropriations0.000.000.000.000.000.00
Appropriations 3107.912532.381908.861740.95465.231740.95
P & L Balance carried down14328.2413852.0711166.178974.857557.944974.64
Dividend0.000.000.000.00321.330.00
Preference Dividend0.000.000.000.000.000.00
Equity Dividend %2480.003330.002565.001915.001785.001200.00
Dividend Per Share(Rs)24.8033.3025.6519.1517.8512.00
Earnings Per Share-Unit Curr37.3755.4142.7532.6831.8227.67
Earnings Per Share(Adj)-Unit Curr37.3755.4142.7532.6831.8227.67
Book Value-Unit Curr197.91190.67162.48139.17126.0598.55
Book Value(Adj)-Unit Curr197.91190.67162.48139.17126.0598.55
Wednesday, March 25, 2026
Adani Ports1375.50(2.32)%
      
Asian Paints2270.20(2.41)%
      
Axis Bank1222.45(2.55)%
      
Bajaj Finance882.45(3.82)%
      
Bajaj Finserv1746.10(2.44)%
      
Bharat Electro..413.60(-0.27)%
      
Bharti Airtel1835.40(1.76)%
      
Eternal242.20(1.79)%
      
HCL Technologi..1382.35(0.66)%
      
HDFC Bank781.70(2.16)%
      
Hind. Unilever2135.90(2.46)%
      
ICICI Bank1259.80(0.65)%
      
Infosys1279.35(0.09)%
      
Interglobe Avi..4294.80(3.46)%
      
ITC295.75(1.56)%
      
Kotak Mah. Ban..371.30(1.13)%
      
Larsen & Toubr..3648.85(3.80)%
      
M & M3127.90(3.14)%
      
Maruti Suzuki12704.30(1.90)%
      
NTPC378.40(0.79)%
      
Power Grid Cor..295.10(-1.37)%
      
Reliance Indus..1412.55(0.08)%
      
SBI1060.55(2.89)%
      
Sun Pharma.Ind..1794.85(2.40)%
      
Tata Steel196.65(3.01)%
      
TCS2378.15(-0.86)%
      
Tech Mahindra1409.10(-1.66)%
      
Titan Company4038.40(3.50)%
      
Trent3478.10(3.33)%
      
UltraTech Cem.11204.45(4.12)%
      

FOR GRIEVANCE MAIL TO invgrieviss@iseindia.com

BSE EQUITIES : INB011077733 | NSE F&O EQUITIES : INF231077737 | NSE CASH MARKET : INB231077737 | NSE CURRENCY DERIVATIVES : INE231077737 | MCX-SX : INE261077737

ISS Enterprise Limited [Erstwhile: ISE Securities & Services Limited], a wholly owned subsidiary of Inter-connected Stock Exchange of India Ltd. (ISE)

© 2013 ISS Enterprise Limited [Erstwhile: ISE Securities & Services Limited]. All rights reserved.

Designed, developed & powered by C-MOTS Infotech (ISO 9001:2008 certified)