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Avenue Supermarts Ltd.

DMARTConsumer Discretionary filings

We hold this company’s filings and have not read the financial statements out of them yet. Every filing on record is listed under filings, and each one opens.

Earnings calls

0 transcript(s)/analyst meet(s) served; 0 document(s) on file are not transcripts (cover letters, duplicates, unresolved) and are excluded. Speaker attribution is shown only where the segmenter attributes ≥ 95% of sentences to management or analysts (0 of 0 documents here); elsewhere sentences render unattributed.

KindDatePeriodServedAttribution rate
ANALYST_MEET202408062024-06-30yes
ANALYST_MEET202508062025-06-30yes
ANALYST_MEET202608042026-06-30yes

DMART

files the standard Schedule III statements. Every figure below opens to the filing it was read from; where a figure is not shown, the reason is printed in its place.

Identity

Statement divisiongeneral
Scope servedconsolidated
Panels on this page4

Market

No split, bonus or consolidation is on record for this company inside the period this price series covers, so the closes need no adjustment.

Last close3,787.50
52-week range3646.3 – 4645.8
Return 1M-3.12%
Return 3M-11.81%
Return 1Y-18.47%
Return 3Y3.37%
Return 5Y-14.36%
Market capitalisationnot shown — we could not confirm it
Shares outstandingnot shown — we could not confirm it
P/Enot shown — we could not confirm it
P/Bnot shown — we could not confirm it
EV/EBITDAnot shown — we could not confirm it

Latest quarter filed — period ending 2026-06-30

In INR crore except per-share figures. `period_id` is the period the filing names for the number; the date beside each cell is when it was filed.

Revenue from operations18,795.00
Other income26.00
Total income18,820.00
Cost of materials consumed0.00
Purchases of stock-in-trade15,936.00
Changes in inventories-110.00
Employee benefit expense452.00
Finance costs54.00

Ownership — 2026-06-30, and the change from 2026-03-31

HolderPer centChange
promoter and promoter group0.74-0.00
institutions foreign0.090.00
institutions domestic0.09-0.00
mutual funds0.07-0.00
public0.260.00

Documents on file

ClassMost recentOn file
ANALYST_MEET2026-06-303

Financial statements

Filed results, consolidated, in INR crore except per-share figures. Every figure opens to the filing it was read from. Quarterly and annual columns are the periods the filing itself names, never a document date.

Quarterly results, as filed

Line2022-09-302022-12-312023-03-312023-06-302023-09-302023-12-312024-03-312024-06-302024-09-302024-12-312025-03-312025-06-302025-09-302025-12-312026-03-312026-06-30
Revenue from operations10,638.0011,569.0010,594.0011,865.0012,624.0013,572.0012,727.0014,069.0014,444.0015,973.0014,872.0016,360.0016,676.0018,101.0017,684.0018,795.00
Other income36.0032.0033.0039.0037.0033.0038.0042.0034.0024.0025.0019.0020.0017.0018.0026.00
Total income10,674.0011,601.0010,627.0011,904.0012,661.0013,605.0012,764.0014,111.0014,478.0015,997.0014,897.0016,379.0016,696.0018,118.0017,702.0018,820.00
Cost of materials consumed0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Purchases of stock-in-trade9,872.009,300.009,253.0010,210.0011,319.0011,331.0011,099.0011,974.0013,243.0013,377.0013,075.0013,732.0014,919.0015,124.0015,541.0015,936.00
Changes in inventories-843.00552.00-147.00-147.00-547.00221.00-212.00-98.00-954.00244.00-309.00123.00-756.00208.00-431.00-110.00
Employee benefit expense189.00192.00187.00206.00225.00234.00241.00266.00285.00305.00310.00347.00377.00398.00420.00452.00
Finance costs18.0017.0016.0015.0016.0015.0013.0016.0016.0018.0019.0029.0035.0037.0041.0054.00
Depreciation and amortisation162.00168.00164.00162.00174.00189.00205.00193.00208.00228.00241.00232.00253.00268.00284.00288.00
Other expenses528.00560.00530.00561.00623.00666.00655.00706.00776.00830.00841.00859.00923.00909.00943.001,017.00
Total expenses9,926.0010,789.0010,002.0011,007.0011,809.0012,656.0012,001.0013,057.0013,575.0015,002.0014,177.0015,322.0015,751.0016,943.0016,798.0017,637.00
Profit before exceptional items and tax748.00812.00625.00897.00852.00949.00763.001,054.00903.00995.00720.001,057.00945.001,175.00904.001,183.00
Exceptional items0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Profit before tax748.00812.00625.00897.00852.00949.00763.001,054.00903.00995.00720.001,057.00945.001,175.00904.001,183.00
Current tax62.00216.00162.00237.00231.00245.00201.00278.00244.00262.00164.00281.00258.00312.00250.00316.00
Deferred tax1.007.002.002.00-2.0014.00-1.003.000.0010.005.004.002.007.00-3.007.00
Tax expense62.00222.00165.00239.00229.00259.00200.00280.00244.00272.00170.00285.00260.00319.00248.00323.00
Profit for the period686.00590.00460.00659.00623.00690.00563.00774.00659.00724.00551.00773.00685.00856.00656.00860.00
Profit attributable to owners686.00590.00460.00659.00624.00691.00563.00774.00660.00724.00551.00773.00685.00856.00657.00861.00
Profit attributable to non-controlling interests-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00-0.00
Other comprehensive income-3.00-2.002.00-1.00-6.00-4.003.00-2.00-6.00-4.004.00-2.00-9.00-3.008.00-2.00
Total comprehensive income682.00587.00462.00657.00617.00687.00566.00771.00653.00719.00555.00770.00676.00853.00665.00858.00
Earnings per share, basic10.589.107.1010.149.5810.628.6611.8910.1411.128.4711.8810.5313.1510.0913.20
Earnings per share, diluted10.509.037.0610.129.5710.598.6411.8610.1111.108.4511.8510.4913.1310.0913.20

Annual results, as filed

Line2020-03-312021-03-312022-03-312023-03-312024-03-312025-03-312026-03-31
Revenue from operations24,870.0024,143.0030,976.0042,840.0050,789.0059,358.0068,821.00
Other income60.00196.00117.00129.00146.00124.0074.00
Total income24,930.0024,339.0031,094.0042,969.0050,935.0059,482.0068,895.00
Cost of materials consumed0.000.000.000.000.000.000.00
Purchases of stock-in-trade21,442.0020,856.0026,892.0036,885.0043,958.0051,669.0059,316.00
Changes in inventories-339.00-301.00-494.00-501.00-684.00-1,117.00-856.00
Employee benefit expense456.00537.00616.00747.00906.001,166.001,541.00
Finance costs69.0042.0054.0067.0058.0069.00142.00
Depreciation and amortisation374.00414.00498.00639.00731.00870.001,037.00
Other expenses1,183.001,309.001,464.002,072.002,504.003,153.003,633.00
Total expenses23,185.0022,856.0029,030.0039,909.0047,474.0055,810.0064,813.00
Profit before exceptional items and tax1,745.001,483.002,064.003,060.003,461.003,673.004,082.00
Exceptional items0.000.000.000.000.000.000.00
Profit before tax1,745.001,483.002,064.003,060.003,461.003,673.004,082.00
Current tax460.00381.00560.00669.00914.00947.001,102.00
Deferred tax-16.003.0012.0013.0012.0018.0010.00
Tax expense444.00384.00572.00682.00926.00965.001,112.00
Profit for the period1,301.001,099.001,492.002,378.002,536.002,707.002,970.00
Profit attributable to owners1,301.001,099.001,493.002,379.002,536.002,708.002,970.00
Profit attributable to non-controlling interests-0.00-0.00-0.00-0.00-1.00-1.00-1.00
Other comprehensive income-4.00-2.00-5.00-5.00-9.00-9.00-5.00
Total comprehensive income1,297.001,098.001,487.002,373.002,527.002,699.002,964.00
Earnings per share, basic20.7116.9723.0436.7238.9941.6145.65
Earnings per share, diluted20.5516.8522.8636.4938.9341.5045.63

Balance sheet, as filed

Line2022-09-302023-03-312023-09-302024-03-312024-09-302025-03-312025-09-302026-03-31
Total assets17,142.0018,106.0019,587.0021,177.0023,040.0024,320.0026,914.0029,524.00
Non-current assets11,679.0012,658.0013,902.0014,975.0016,249.0017,928.0019,968.0022,046.00
Current assets5,463.005,448.005,685.006,202.006,791.006,392.006,946.007,478.00
Property, plant and equipment8,565.009,726.0010,373.0011,759.0012,782.0014,350.0015,273.0017,587.00
Capital work-in-progress1,061.00829.001,021.00935.001,107.001,099.001,525.001,300.00
Goodwill78.0078.0078.0078.0078.0078.0078.0078.00
Other intangible assets1,483.001,528.001,552.001,569.000.001,771.002,292.002,418.00
Inventories3,648.003,243.003,937.003,927.004,979.005,044.005,677.005,901.00
Trade receivables64.0062.00119.00166.00102.00154.00113.00149.00
Cash and cash equivalents85.00207.00167.00337.00304.00355.00189.00284.00
Total equity and liabilities17,142.0018,106.0019,587.0021,177.0023,040.0024,320.0026,914.0029,524.00
Equity15,005.0016,079.0017,431.0018,697.0020,137.0021,427.0022,888.0024,462.00
Equity share capital648.00648.00651.00651.00651.00651.00651.00652.00
Other equity14,358.0015,430.0016,779.0018,047.0019,487.0020,777.0022,239.0023,812.00
Total liabilities2,136.002,028.002,156.002,480.002,903.002,894.004,026.005,062.00
Non-current liabilities610.00560.00543.00501.00632.00681.001,239.001,280.00
Current liabilities1,526.001,467.001,613.001,979.002,271.002,212.002,786.003,782.00
Borrowings, non-current536.00477.00458.00399.00523.00556.001,107.001,143.00
Borrowings, current175.00166.00172.00193.00190.00264.00502.001,282.00
Trade payables945.00754.00798.00985.001,283.001,071.001,169.001,338.00

Cash flow, as filed

Line2022-09-302023-03-312023-09-302024-03-312024-09-302025-03-312025-09-302026-03-31
Net cash from operating activities835.002,630.00907.002,746.001,035.002,463.001,398.003,467.00
Net cash from investing activities-742.00-2,313.00-910.00-2,468.00-950.00-2,185.00-1,855.00-4,207.00
Net cash from financing activities-103.00-205.00-37.00-148.00-118.00-259.00107.00288.00
Purchase of property, plant and equipment969.002,212.001,304.002,731.001,596.003,423.001,753.004,113.00
Net increase in cash-10.00112.00-41.00130.00-33.0018.00-349.00-452.00
con:CFO.BEFORE_TAX1,213.003,339.001,217.003,488.001,495.003,422.001,847.004,535.00
con:INTEREST_RECEIVED.OPERATING0.000.000.000.000.000.000.000.00
con:INTEREST_PAID.OPERATING0.000.000.000.000.000.000.000.00
con:DIVIDENDS_RECEIVED.OPERATING0.000.000.000.000.000.000.000.00
con:TAX_PAID.OPERATING378.00709.00310.00742.00459.00959.00449.001,068.00
con:CF_OTHER.OPERATING0.000.000.000.000.000.000.000.00
con:INVESTMENTS_PURCHASED0.000.000.000.000.000.000.000.00
con:INVESTMENTS_SOLD0.000.000.000.000.000.000.000.00
con:PPE_DISPOSALS1.005.003.009.003.006.004.000.00
con:CF_INVESTING.SUBSIDIARIES_SOLD0.000.000.000.000.000.000.000.00
con:CF_INVESTING.SUBSIDIARIES_ACQUIRED0.000.000.000.000.002.000.000.00
con:CF_INVESTING.JV_SOLD0.000.000.000.000.000.000.000.00
con:CF_INVESTING.JV_ACQUIRED0.000.000.000.000.000.000.000.00

Who owns it

The shareholding pattern filed with the exchange every quarter, as a series. Percentages are of total shares. Each figure names the filing it was read from and the date it was filed.

Holder2023-03-312023-06-302023-09-302023-12-312024-03-312024-06-302024-09-302024-12-312025-03-312025-06-302025-09-302025-12-312026-03-312026-06-30
Promoter and promoter group74.9374.6574.6574.6574.6574.6574.6574.6574.6574.650.750.750.750.74
Domestic institutions7.537.708.288.528.598.037.498.149.159.290.090.090.090.09
Mutual funds—————————7.370.070.070.070.07
Insurance companies0.420.450.620.930.890.810.670.450.600.790.010.010.000.01
Foreign institutions8.188.177.677.968.269.229.958.968.188.250.090.090.090.09
Government—————————0.000.000.000.000.00
Public25.0725.3525.3525.3525.3525.3525.3525.3525.3525.350.250.250.250.26
Non-institutional9.379.489.418.888.508.107.918.258.037.800.080.080.080.08
Shares outstanding648263978650733068650733068650733068650733068650733068650733068650733068650733068650733068650733068650733068651959123652245977

Related parties

Transactions with related parties as disclosed to the exchange for the period ending 2024-09-30, by counterparty, largest first. Amounts are as filed. Each row names the filing and the date it was filed.

CounterpartyRelationshipTypeAmount in the periodTransactions
Align Retail Trades Private LimitedWholly Owned SubsidiaryAny other transaction, Investment, Purchase of goods15,884,300,000.006
Avenue E-Commerce LimitedSubsidiaryAny other transaction, Investment, Purchase of goods11,783,200,000.0011
Palya Footwear Private LimitedPromoter Group EntityPurchase of goods or services269,500,000.001
DMart FoundationRelated PartyAny other transaction, Sale of goods or services243,700,000.002
Avenue Supermarts Limited Employees Group Gratuity TrustEmployees Gratuity TrustAny other transaction220,400,000.001
Avenue Food Plaza Private LimitedWholly Owned SubsidiaryAny other transaction, Investment, Purchase of goods166,000,000.006
Mr.Ignatius Navil NoronhaManaging Director and CEORemuneration, Sale of fixed assets28,900,000.002
Mr.Niladri DebCFO (KMP)Remuneration28,400,000.001
Reflect Healthcare and Retail Private LimitedWholly Owned SubsidiaryAny other transaction, Investment22,200,000.004
Mr.Ramakant BahetiWhole Time Director & Group CFRemuneration12,100,000.001
7 Apple Hotels Private LimitedPromoter Group EntityAny other transaction10,900,000.004
Mr.Elvin MachadoWhole Time DirectorRemuneration7,000,000.001
Mrs.Ashu GuptaCS (KMP)Remuneration5,500,000.001
Nahar Seth & Jogani Developers Pvt LtdSubsidiaryAny other transaction, Investment4,100,000.003
Wasan Hospitality Private LimitedPromoter Group EntityAny other transaction2,800,000.001