Make Home Page | Bookmark this page      
    
HOME
ABOUT US
SERVICES
BACK OFFICE
RESEARCH
ONLINE TRADING
Market
  
Market Analysis Company Information Corporate Actions Other Market
        Gainers & Losers         Advances & Declines         New Highs & Lows         Out / Under Performers
        Index Movers         Historical Returns         Sector Watch         Only Buyers and Sellers
        Value & Volume Toppers         Live Indices         Bulk Deals         Block Deals
        52 Week Highs & Lows         Exchange Holidays         Unusual Volume         Index Constituents
        Detailed Quotes         Company Snapshot         Board of Directors         Profit & Loss
        Quarterly Result         Balance Sheet         Key Financial Ratios         Monthly High Low
        Name Change         Company News         MF Holdings         Director's Report
        Peer Comparison         Company Background         Score Board         Share Holding Pattern
        Technical Chart         Interactive Chart
        BSE Announcements         NSE Announcements         Board Meetings         Book Closure
        Bonus Issues         Rights Issues         De-Listed Shares         Market Turnover
        Change Of Name         Split Of Face Value
        ADR Prices         Forex         FII Investment         MF Investment
        World Indices
Profit & Loss
Hindustan Unilever Ltd Personal Care - Multinational
BSE Code
500696
ISIN Demat
INE030A01027
Book Value
216.9439423
NSE Symbol
HINDUNILVR
Div & Yield %
1.88
Market Cap (Rs. Cr.)
524123.32
P/E
51.48
EPS
43.33
Face Value
1
The purpose of the income statement is to show managers and investors whether the company made or lost money during the period being reported.
Home >> Equity >> Company Information >> Profit & Loss
 Mar 2023
Rs.Cr
Mar 2022
Rs.Cr
Mar 2021
Rs.Cr
Mar 2020
Rs.Cr
Mar 2019
Rs.Cr
Mar 2018
Rs.Cr
INCOME :      
Sales Turnover 59144.0051193.0045996.0038785.0038224.0035218.00
Excise Duty0.000.000.000.000.00693.00
Net Sales59144.0051193.0045996.0038785.0038224.0034525.00
Other Income 815.00571.00630.00805.00664.00625.00
Stock Adjustments 53.0019.00391.00121.00-12.0071.00
Total Income60012.0051783.0047017.0039711.0038876.0035221.00
EXPENDITURE :      
Raw Materials 28042.0022398.0019784.0015378.0015430.0013859.00
Power & Fuel Cost325.00277.00304.00263.00269.00259.00
Employee Cost 2665.002399.002229.001691.001747.001745.00
Other Manufacturing Expenses 3705.003329.002847.002860.003018.002958.00
Selling & Administrative Expenses 8674.008046.007783.007523.007645.007105.00
Miscellaneous Expenses 2391.002472.002460.001860.001693.001512.00
Less : Pre-operative Expenses Capitalised 0.000.000.000.000.000.00
Total Expenditure45802.0038921.0035407.0029575.0029802.0027438.00
Operating Profit14210.0012862.0011610.0010136.009074.007783.00
Interest 101.0098.00108.00106.0028.0020.00
Gross Profit14109.0012764.0011502.0010030.009046.007763.00
Depreciation1030.001025.001012.00938.00524.00478.00
Profit Before Tax13079.0011739.0010490.009092.008522.007285.00
Tax2922.002778.002458.002202.002565.002148.00
Fringe Benefit tax0.000.000.000.000.000.00
Deferred Tax195.00143.0078.00152.00-79.00-100.00
Reported Net Profit9962.008818.007954.006738.006036.005237.00
Extraordinary Items -47.22-25.54-172.12-145.99-155.45-42.51
Adjusted Net Profit10009.228843.548126.126883.996191.455279.51
Adjustment below Net Profit -13.0031.00-2.00-1134.00-534.00-755.00
P & L Balance brought forward8135.006805.007664.007303.004539.003953.00
Statutory Appropriations0.000.000.000.000.000.00
Appropriations 8459.007519.008811.005243.002738.003896.00
P & L Balance carried down9625.008135.006805.007664.007303.004539.00
Dividend0.000.000.000.001948.004329.00
Preference Dividend0.000.000.000.000.000.00
Equity Dividend %3900.003400.004050.002500.002200.002000.00
Dividend Per Share(Rs)39.0034.0040.5025.0022.0020.00
Earnings Per Share-Unit Curr42.3937.5233.8531.1927.9424.25
Earnings Per Share(Adj)-Unit Curr42.3937.5233.8531.1927.9424.25
Book Value-Unit Curr213.71207.49201.8537.1835.4632.75
Book Value(Adj)-Unit Curr213.71207.49201.8537.1835.4632.75