NSE / BSEConsumer Discretionary
β‚Ή566.55-2.30-0.40%
P/E33.6Mkt Capβ‚Ή8.38 K CrEV/EBITDA22.1

Orkla India Limited

P/E33.6Mkt Capβ‚Ή8.38 K CrEV/EBITDA22.1
Company Profile

Orkla India Limited operates as a food company, manufactures and sells spices and convenience foods in India and internationally. It offers sambar, chicken, puliogare, rasam, and meat blended spice masala; and chilli, kashmiri chilli, turmeric, coriander, and cumin pure spices. The company also provides ready-to-cook, such as breakfast, sweet, and badam milk beverage mixes; ready-to-eat, includes paneer butter masala, dal makhani, and chana masala, as well as various rice dishes such as veg pulao and tomato rice; vermicelli and macaroni; badam drink and coffee beverages, pickles, ginger garlic paste, malabar parotas, cooking aids, pulses, rice, coconut milk, desserts, and other confectionery items. It sells its products through e-commerce websites and commerce platform under the MTR, Eastern, Rasoi Magic, Wok N Roll, and Laban brand names. The company was formerly known as MTR Foods Private Limited. The company was founded in 1924 and is based in Bengaluru, India. Orkla India Limited is a subsidiary of Orkla Asia Pacific Pte. Ltd.

Valuation

Market Cap
β‚Ή0.00
β€”
Current Price
β‚Ή0
β€”as of 28 Jul 2026
P/E Ratio
0.0x
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P/B Ratio
β€”
β€”
EV / EBITDA
0.0x
β€”
EV / Sales
0.0x
β€”
52W High
β‚Ή0
β€”
52W Low
β‚Ή0
β€”
Shares Out
0.00 Cr
β€”

Profitability

Operating Margin
0.0%
β€”
Net Profit Margin
0.0%
β€”
EBITDA Margin
0.0%
β€”

Returns

ROE
0.0%
β€”
ROCE
0.0%
β€”
ROIC %
β€”
β€”
ROA
0.0%
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Dividend Payout
0.0%
β€”

Solvency

Current Ratio
0.0x
β€”
Debt / Equity
0.0x
β€”
Debt / Assets
0.0x
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CFO / Net Profit
0.0x
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Interest Coverage
0.0x
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AI Summary

Indian Stock

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Rule-based from financial data. Not advice.

Price Historyβ–Ό 20.58% over 1Y
Monthly Returns

Historically, Apr has averaged the highest return (+9.1%); Jul the lowest (-7.6%).

Average from:
YearJanFebMarAprMayJunJulAugSepOctNovDec
2026-7.1%Negative MonthJan 2026: -7.11%-0.6%Neutral MonthFeb 2026: -0.60%-0.2%Neutral MonthMar 2026: -0.20%+9.1%Positive MonthApr 2026: +9.13%-0.8%Neutral MonthMay 2026: -0.81%-3.1%Negative MonthJun 2026: -3.09%-7.6%*Negative MonthJul 2026: -7.64%β€”β€”β€”β€”β€”
2025β€”β€”β€”β€”β€”β€”β€”β€”β€”β€”β€”-2.1%Negative MonthDec 2025: -2.10%
AvgΒ±SD-7.1%Β±0.0%-0.6%Β±0.0%-0.2%Β±0.0%+9.1%Β±0.0%-0.8%Β±0.0%-3.1%Β±0.0%-7.6%Β±0.0%β€”β€”β€”β€”-2.1%Β±0.0%
* Current month β€” value will change until month-end.

Each cell is the percentage change in closing price from the end of the prior month to the end of this month. The bottom row shows the average return for that calendar month across the selected years, plus or minus one standard deviation β€” the range that historically contained roughly two-thirds of outcomes. Past monthly patterns are not a forecast of future returns.

Seasonal Tendency

This aggregates every month by calendar position β€” all Januaries together, all Februaries together, and so on β€” to show whether a given month has leaned positive or negative historically. β€˜Simple’ counts each month as +1 or βˆ’1. β€˜Weighted’ gives larger moves more influence: +2 above +10%, βˆ’2 below βˆ’10%. With only 2 years of history for this asset, each month’s score reflects a small number of observations β€” read it as a historical tendency, not a reliable seasonal pattern.

Historical Trend

This tracks a running tally across the asset’s full price history: each month adds or subtracts based on whether it was positive or negative. A rising line means more positive months than negative so far; a flattening or falling line means recent months have leaned negative. This measures historical month-to-month consistency, not expected future performance.

Year-to-Date ROI
Average from:
SD Γ—
Latest: 0.893x (2026)

Year-to-date return is calculated by dividing each day’s closing price by the price on January 1st of that year (or the asset’s first available price if it began trading mid-year). The custom average line shows the mean YTD return at each calendar day across the selected years. The standard deviation band shows the range within which returns have historically fallen β€” at 1 SD, roughly two-thirds of years; at 2 SD, roughly 95%. Past year-to-date patterns do not predict future returns. The average and standard deviation band are computed from the year set chosen in β€œAverage from”, which is independent of which year lines are displayed. The current in-progress year is excluded from these calculations, since a partial year is not comparable to complete ones. Election-cycle groupings follow the US presidential calendar and are offered only for US and crypto assets.

Historical Performance

Revenue, profitability, and cash flow trends (β‚Ή Crores)

Revenue (10Y)

Operating Income (10Y)

Net Profit (10Y)

Operating Margin % (10Y)

Dividend Payout % (10Y)

Free Cash Flow (10Y)

Growth Summary

Latest fiscal year: Mar 2025

Revenueβ‚Ή2.37 K Crβ–² 0.6%
EBITDA Growthβ€”
Net Profitβ‚Ή254.00 Crβ–² 12.9%
Cash from Ops (CFO)β€”
Free Cash Flow (FCF)β€”β–² 153.3%
Revenue CAGR 5Y23.9%
EBITDA CAGR 5Y23.1%
Net Profit CAGR 5Y25.9%
NP Growth 1Y12.9%

Historical Growth

Year-by-year revenue, profitability, and cash flow (β‚Ή Crores, last 10 years)

YearRevenueOp. IncomeNet ProfitCFOFCFROERev Growth 1YNP Growth 1Y
Mar 2025β‚Ή2.37 K Crβ€”β‚Ή254.00 Crβ€”β€”10.3%0.6%12.9%
Mar 2024β‚Ή2.36 K Crβ€”β‚Ή225.00 Crβ€”β€”8.0%9.4%-33.4%
Mar 2023β‚Ή2.15 K Crβ€”β‚Ή338.00 Crβ€”β€”15.1%18.5%188.9%
Mar 2022β‚Ή1.82 K Crβ€”β‚Ή117.00 Crβ€”β€”6.1%91.4%-1.7%
Mar 2021β‚Ή950.00 Crβ€”β‚Ή119.00 Crβ€”β€”6.7%17.7%67.6%
Mar 2020β‚Ή807.00 Crβ€”β‚Ή71.00 Crβ€”β€”24.7%β€”β€”

Financial Statements

Income statement, balance sheet, and cash flow (β‚Ή Crores, as reported)

Consolidated Figures in USD Millions.

Unnamed: 0Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Revenue / Net Sales8079501,8182,1542,3562,370
Total Expenses6717631,5841,8452,0151,976
EBIT / Operating Profit136187234309341394
OPM %17%20%13%14%14%17%
Other Income-4916293227
Finance Costs65292776
Depreciation & Amortisation313156556262
Profit Before Tax95160165256305353
Tax %25%26%29%-32%26%28%
Net Profit / PAT71119117338225254
EPS (β‚Ή)72.3396.6794.70274.09167.73185.37
Dividend Payout %0%0%0%0%0%236%

Peer Comparison

Consumer Discretionary sector peers, ranked by market cap

CompanyMarket CapRevenueP/EP/BEV/EBITDARev G 1Y
Orkla India Limitedthis co.β‚Ή8.38 K Crβ‚Ή2.37 K Cr33.600.0022.100.6%
Titan Company Limitedβ‚Ή3.76 L Crβ‚Ή54.84 K Cr96.6021.0969.4916.4%
Eternal Limitedβ‚Ή2.84 L Crβ‚Ή8.62 K Cr120.007.95193.9130.1%
Avenue Supermarts Limitedβ‚Ή2.49 L Crβ‚Ή57.79 K Cr79.8010.4657.8616.7%
Trent Ltd [Lakme Ltd]β‚Ή1.39 L Crβ‚Ή16.67 K Cr82.4021.0949.0239.8%
Marico Limitedβ‚Ή98.15 K Crβ‚Ή7.58 K Cr52.3019.3863.518.3%
SWIGGY LIMITEDβ‚Ή96.87 K Crβ‚Ή8.80 K Crβ€”7.26-63.9238.0%
Industry Averageβ€”β‚Ή4.70 K Cr80.047.9662.2524.3%

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