Emami Ltd.

461.6

1.5 (0.3%)growUp

EMAMILTD Share Price
As on April 27, 2026
SectorFMCG
IndustryPersonal Products
Basic IndustryPersonal Care
Market Cap20,014 Cr
P/E Ratio24.98
Dividend Yield2.17 %
Trendline Performance

We are partnered with TradingView, a global leader in charting and market analysis. Access real-time stock data, explore the powerful Stock Screener , and uncover insights with multiple tools designed for traders.

Unlock_ipo_icon.webpUnlock Stock of the Month

T&C*

Company Information


Market Insights
Open460.95
High467.35
NSE SymbolEMAMILTD
Close461.6
Low455.5
BSE Symbol531162
Previous Years High/Low
1 Year High653.35
3 Year High860
5 Year High860
1 Year Low385.5
3 Year Low371
5 Year Low340.55

Technicals


IndicatorsValueSignal
5-DMA463.24Bearish
10-DMA448.75Bullish
20-DMA427.35Bullish
50-DMA444.43Bullish
100-DMA479Bearish
200-DMA522.73Bearish

Historical Performance


1 Year
-25.5%
3 Years
25.6%
5 Years
-9.3%
10 Years
-8.4%

Shareholding Pattern


Values Analysis


Loading chart...

Profit & Loss

Below figures are in Rs. Crores


ParticularsMar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Net Sales38,09235,78134,05731,87228,805
Total Expenditure27,84126,28625,43022,34819,975
Other Income681468689952703
Operating Profit10,9329,9639,31710,4769,533
Interest931007451133
Depreciation1,7821,8592,4723,3483,670
Profit Before Tax8,9397,9086,6956,8805,689
Consolidated Net Profit8,0657,2356,3968,3904,547
Adjusted EPS1817141910
Compounded Sales Growth
10 Years:11.4
5 Years:7.5
3 Years:3.6
TTM:1.3
Compounded Profit Growth
10 Years:10.7
5 Years:21.6
3 Years:-0.8
TTM:2.2
Stock Price CAGR
10 Years:-0.9
5 Years:-1.5
3 Years:7.2
TTM:-27.4
Return on Equity
10 Years:8
5 Years:10.2
3 Years:14.5
last year:18.5

Quarterly Results

Below figures are in Rs. Crores


ParticularsSep-2024Dec-2024Mar-2025Jul-2025Sep-2025
Sales1,70,7541,35,9361,28,5521,22,1891,05,161
Expenses63,04256,55752,45745,45934,856
Operating Profit1,07,71279,37976,09676,73070,304
OPM %63%58%59%63%67%
Other Income33,91231,75927,33324,87918,947
Interest77,78058,58459,24862,13753,713
Depreciation2,3451,6811,3851,2771,221
Profit Before Tax61,49850,87342,79638,19534,318
Tax %25%25%26%29%35%
Net Profit46,14938,15131,85727,29622,446
EPS in Rs8369585042

Balance Sheet

Below figures are in Rs. Crores


ParticularsMar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Share Capital436436441441445
Total Reserves26,51124,02922,58720,32517,182
Long-Term Borrowings---------------
Total Non-Current Liabilities-4,630-3,748-2,905-2,163578
Other Current Liabilities1,7851,038893798910
Short Term Borrowings6216577362,637919
Total Liabilities30,09728,41827,46227,73725,197
Capital Work in Progress13367581758
Long Term Loans & Advances206149129185247
Currents Investments4,2401,6101,134395889
Short Term Loans and Advances2,4232,0152,0702,087937
Total Current Assets17,33714,18212,86810,72811,268
Total Assets30,09728,41827,46227,73725,197
Adjusted Book Value6256524740
0%
Positive
(80 to 100)
Neutral
(60 to 79)
Negative
(0 to 59)
  • The stock has a moderate PE of 24.98, suggesting fair valuation relative to earnings.
  • Over the last three years, the stock delivered a moderate 3-year price CAGR of 7.2%, reflecting average market performance.
  • The stock carries a low beta of 0.6, suggesting lower volatility than the broader market.
  • In the last financial year, the company reported an EBITDA of ₹10932 million, reflecting positive operating performance.
  • In the previous financial year, the company generated revenue of ₹38092 million, indicating a large and established business.

Investment Calculator


Investment Amount:

Investment Amount: ₹ 1000000
Current Value: ₹ 726585.9
No. of Shares: 1574 (Approx)
Performance:-27.3%
P/L: ₹-273414.1
NIFTY Performance: -1%
1 day Top Gainers
SymbolChange%
COHANCE432.1(20%)
BLUEJET443.65(10%)
ANANTRAJ500.9(8%)
SHYAMMETL886.15(8%)
M&MFIN317.7(8%)
1 Day Top Losers
SymbolChange%
MRPL172.1(-8%)
RELINFRA78.66(-5%)
CHENNPETRO997.45(-4%)
SHRIRAMFIN974.65(-4%)
AXISBANK1324.2(-3%)
ELECON497.45(-3%)
DATAPATTNS3960.1(-3%)
RBLBANK312.8(-3%)

Top Performing Stocks from the same sector


Cupid Ltd.

32.6%

112.26

1 Month Performance

JHS Svendgaard Laboratories Ltd.

32.3%

9.17

1 Month Performance

Bajaj Consumer Care Ltd.

28.1%

448.35

1 Month Performance

Honasa Consumer Ltd.

16.5%

347.6

1 Month Performance

Colgate-Palmolive (India) Ltd.

14.1%

2141

1 Month Performance

Procter & Gamble Hygiene and Health Care Ltd.

12.8%

10309.5

1 Month Performance

Gillette India Ltd.

9.6%

8191

1 Month Performance

Godrej Consumer Products Ltd.

8%

1089.25

1 Month Performance

Get Your Portfolio Reviewed

Stock of the Month
Stock of the Month