Mkt Cap
₹2.56 L Cr.
P/E (TTM)
82.66
Open
₹3,900.10
Day's Range
₹3,889.70 – ₹3,946.50
52W Range
₹3,529.00 – ₹4,949.50
EPS (TTM)
₹46.95
Book Value
₹375.95

Avenue Supermarts Financial Statements

For Mar 2026, Avenue Supermarts reported revenue of ₹68,821 crore and net profit of ₹2,970 crore. Return on equity stands at 13.00%. Profit & loss, balance sheet and cash flow across 9 reported years are below.

Updated Source: NSE & BSE company filingsNifty 100 constituent
Latest year revenue
₹68,821 Cr
+15.9% vs prior
EBITDA
₹5,187 Cr
+15.6% vs prior
Operating margin
7.54%
Profit after tax
₹2,970 Cr
+9.7% vs prior
Net margin
4.32%
EPS
₹45.56
Latest year
Mar 2026
Years reported
9

Avenue Supermarts profit & loss

Reported annual performance for Avenue Supermarts, oldest to newest. Figures in ₹ crore unless a row states otherwise.

Avenue Supermarts annual profit and loss statement. Figures in ₹ crore unless a row states otherwise.
Line itemMar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue from Operations15,03320,00524,87024,14330,97642,84050,78959,35868,821
Sales Growth YoY %33.07%24.32%-2.92%28.3%38.3%18.56%16.87%15.94%
Other Income69486019611712914612474
Total Income15,10320,05324,93024,33931,09442,96950,93559,48268,895
Cost of Goods Sold (COGS)12,63617,00121,10320,55526,39736,38443,27550,55258,460
Purchases of Stock-in-Trade12,84717,44521,44220,85626,89236,88543,95851,66959,316
Changes in Inventories-211-445-339-301-494-501-684-1,117-856
Gross Profit2,3983,0043,7673,5884,5796,4567,5148,80610,361
Gross Margin %15.95%15.02%15.15%14.86%14.78%15.07%14.8%14.84%15.06%
Total Operating Expenses1,0451,3701,6391,8452,0802,8193,4114,3195,174
Employee Benefit Expense2833554565376167479061,1661,541
Other Expenses7621,0151,1831,3091,4642,0722,5043,1533,633
EBITDA1,3531,6332,1281,7432,4993,6374,1044,4875,187
OPM %9%8.16%8.56%7.22%8.07%8.49%8.08%7.56%7.54%
Total Non-Operating Expenses2192604444565527067899391,179
Depreciation & Amortisation1592123744144986397318701,037
Finance Costs6047694254675869142
Profit Before Tax (PBT)1,2041,4221,7451,4832,0643,0603,4613,6734,082
Tax Expense4165194443845726829269651,112
Current Tax4215014603815606699149471,102
Deferred Tax-518-1631213121810
Effective Tax %34.55%36.53%25.44%25.89%27.7%22.28%26.74%26.28%27.24%
Total Profit for Period8069021,3011,0991,4922,3782,5362,7072,970
Less: Non-controlling Interests0-0-0-0-0-0-1-1-1
Net Profit (Owner's PAT)8069031,3011,0991,4932,3792,5362,7082,970
Net Profit Margin %5.36%4.51%5.23%4.55%4.82%5.55%4.99%4.56%4.32%
PAT Growth YoY %11.94%44.16%-15.49%35.75%59.36%6.63%6.78%9.69%
Earnings Per Share (EPS)₹12.92₹14.46₹20.09₹16.97₹23.04₹36.69₹38.97₹41.61₹45.56
Diluted Shares Outstanding (Cr.)626265656565656565
Profit/Loss from Associates1800000000
Other Comprehensive Income (Net of Tax)-0-1-4-2-5-5-9-9-5
Expenses13,89918,63123,18522,85629,03039,90947,47455,81064,813
Material Cost %0%0%0%0%0%0%0%0%0%
Employee Cost %1.88%1.78%1.83%2.22%1.99%1.74%1.78%1.96%2.24%
Other Cost %5.07%5.07%4.76%5.42%4.73%4.84%4.93%5.31%5.28%
Interest Coverage (x)20.0530.125.3731.9137.1944.4858.0352.0929.21

Avenue Supermarts revenue and profit trend

Reported annual revenue and net profit, oldest to newest. Two panels because the two measures live on different scales — one shared axis would distort both.

Avenue Supermarts balance sheet

Assets, liabilities and shareholders' equity as reported, in Schedule III order. Figures in ₹ crore unless a row states otherwise.

Avenue Supermarts annual balance sheet with assets, liabilities and equity. Figures in ₹ crore unless a row states otherwise.
Line itemMar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Total Equity5,58811,08012,18413,67816,07918,69721,42724,462
Equity Share Capital624648648648648651651652
Reserves & Surplus4,96310,43211,53613,03015,43018,04720,77723,812
Total Equity5,58811,08012,18413,67816,07918,69721,42724,462
Non-Current Liabilities1912703665765615016811,280
Long-term Borrowings1262215074773995561,143
Deferred Tax Liabilities634751647792112122
Non-Current Provisions1125691315
Non-Current Financial Liabilities1262223125084774005561,143
Current Liabilities1,2277261,1061,2181,4671,9792,2123,782
Short-term Borrowings304781401661932641,282
Trade Payables4634335785897549851,0711,338
Current Financial Liabilities1,1916899291,0121,2101,5681,7833,258
Other Current Financial Liabilities424178350283289390449637
Other Current Liabilities2321415812196139141
Current Provisions13152436516149111
Current Tax Liabilities011311285255241272
Total Liabilities1,4189961,4721,7952,0282,4802,8945,062
Total Non-Current Assets4,9239,7299,59512,03012,65814,97517,92822,046
Property, Plant & Equipment (PPE)4,2745,1075,9397,7709,72611,75914,35017,587
Capital Work-in-Progress3773641,0201,1298299351,0991,300
Intangible Assets307469821,4021,5281,5691,7712,418
Investment Property18171099887
Non-Current Investments00022
Other Non-Current Assets113285455374360368445451
Non-Current Financial Assets323,1311,1111,265126252170199
Net Fixed Assets4,6816,2187,94110,30212,08314,26417,22021,305
Total Current Assets2,0832,3484,0613,4435,4486,2026,3927,478
Inventories1,6091,9472,2482,7433,2433,9275,0445,901
Trade Receivables6420446762166154149
Cash & Cash Equivalents12510619295207337355284
Current Investments17153620210712
Current Financial Assets3592511,6604991,9892,0401,0421,182
Other Current Assets115149153201215235306395
Other Current Financial Assets591091681273171,128528727
Net Working Capital8561,6222,9552,2253,9814,2234,1803,696
Additional Asset Fields11122465
Def Tax Assets00122587
Non Controlling Int10000-0-1-2
Total Assets7,00612,07613,65615,47318,10621,17724,32029,524
Total Borrowings4302996476435928202,425
Net Debt3051935524362554642,141
Debt to Equity (x)0.080.030.050.040.030.040.1
Current Ratio (x)1.73.233.672.833.713.132.891.98

Avenue Supermarts cash flow statement

Cash generated and used across operating, investing and financing activities. Figures in ₹ crore unless a row states otherwise.

Avenue Supermarts annual cash flow statement across operating, investing and financing activities. Figures in ₹ crore unless a row states otherwise.
Line itemMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Net Cash from Operating Activities1,3722,6302,7462,4633,467
Profit Before Tax2,0643,0603,4613,6734,082
Depreciation & Amortisation4986397318701,037
Finance Costs54675869142
Working Capital Changes-582-320-644-1,113-699
Tax Paid-560-709-742-959-1,068
Net Cash from Investing Activities-1,289-2,313-2,468-2,185-4,207
Purchase of PPE-2,410-2,212-2,731-3,423-4,113
Sale of Fixed Assets05960
Interest Received433926210344
Net Cash from Financing Activities-179-205-148-259288
Proceeds from Borrowings2480001,588
Repayment of Borrowings-248000-1,003
Interest Paid-54-67-58-69-141
Dividend Paid00000
Buyback / Redemption of Shares00000
Lease Liabilities Paid-1250-164-190-194
Net Change in Cash-9611213018-452
Effect of Foreign Exchange Changes00000
Free Cash Flow-1,03841815-960-647
CFO / PBT (x)0.660.860.790.670.85

Avenue Supermarts key ratios

Valuation, profitability, return, leverage and per-share measures computed from reported statements — not from adjusted or normalised earnings.

Avenue Supermarts valuation, profitability, return and leverage ratios
RatioCategoryValue
P/E (TTM)Valuation82.66
Forward P/EValuation61.07
P/BValuation10.34
PEG (TTM)Valuation12.62
EV / EBITDA (TTM)Valuation48.65
P/S (TTM)Valuation3.55
Operating marginProfitability7.54%
Net margin (TTM)Profitability4.23%
Return on equityReturn ratios13%
Return on capital employedReturn ratios17.2%
Return on assetsReturn ratios9.63%
Debt to equityLeverage & liquidity0.1
BetaLeverage & liquidity0.47
EPS (TTM)Per share₹46.95
Book valuePer share₹375.95
Revenue / share (TTM)Per share₹1,027.47
Cash flow / sharePer share₹53.15

How this is calculated

Statements are as filed with the exchanges. Consolidated figures are shown where reported. Figures are in rupees crore unless the table states otherwise. Ratios are computed from the same reported statements, not from adjusted or normalised earnings.

Index membership reflects the Nifty 100 as published by NSE Indices, effective 2026-03-30.

Avenue Supermarts: frequently asked questions

What is Avenue Supermarts's annual revenue?

Avenue Supermarts reported revenue of ₹68,821 crore in Mar 2026, up 15.9% on the previous financial year.

Is Avenue Supermarts profitable?

Avenue Supermarts reported a net profit of ₹2,970 crore in Mar 2026, up 9.7% on the previous financial year.

What is Avenue Supermarts's EPS?

Avenue Supermarts reported earnings per share of ₹45.56 for Mar 2026.

What is Avenue Supermarts's operating margin?

Avenue Supermarts's operating margin for Mar 2026 was 7.54%.

What is Avenue Supermarts's return on equity?

Avenue Supermarts's return on equity stands at 13.00%. ROE measures profit generated per rupee of shareholder equity.

How many years of Avenue Supermarts financials are shown?

9 reported financial years are tabulated on this page, the most recent being Mar 2026.

Are these figures consolidated or standalone?

Consolidated figures are shown wherever the company reports them, and standalone otherwise. The basis in use is labelled on the statement table.

Comparing financial statements across companies is more useful than reading one in isolation — the peer links above open the same view for Avenue Supermarts’s closest listed competitors.

Disclaimer

The data, ratios and commentary about Avenue Supermarts Limited (DMART) on this page are published for educational and informational purposes only and are not investment, legal or tax advice. StockeZee is not a SEBI-registered investment adviser, research analyst or portfolio manager, and no content here should be construed as a recommendation to buy, hold or sell any security. Live and historical market data may be delayed, revised by the exchanges, or contain errors; figures sourced from third-party feeds and corporate disclosures may not always be current. Past performance is not indicative of future results, and equity investments carry the risk of capital loss. Before acting on anything you read here, please consult a SEBI-registered financial advisor and read all scheme-related documents carefully.