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Adani Wilmar Ltd Share Price Target Tomorrow 2025-2030

Adani Wilmar Ltd Share Price Target Tomorrow 2025-2030 :-

Adani Wilmar was incorporated in 1999 as an equal joint venture between Adani Enterprises and Singapore based company Wilmer International. Adani Wilmer Limited (AWL) is an Indian multinational food and beverage multi industry company which is based in Ahmedabad. Adani Wilmar Ltd (AWL) is India’s largest  palm oil processor. In 2022, it had 22 plants located across India. It exports its products to the Middle East, Africa and South East Asia. It was listed on 8 February 2022 in Stock exchange. Adani Wilmar Ltd (AWL) price as on 310 on 04 Dec 2024.

Current Price of Adani Wilmar Ltd

Category Price (₹)
Today’s High 315.95
Today’s Low 311.70
52-Week High 410.50
52-Week Low 279.00

 

Current Fundaments of Adani Wilmar Ltd

Metric Value Metric Value
Market Cap ₹ 40,614.96 Cr. Enterprise Value ₹ 40,127.07 Cr.
No. of Shares 129.97 Cr. P/E Ratio 38.57
P/B Ratio 4.55 Face Value ₹ 1
Dividend Yield 0% Book Value (TTM) ₹ 68.63
Cash ₹ 2,661.62 Cr. Debt ₹ 2,173.73 Cr.
Promoter Holding 87.87% EPS (TTM) ₹ 8.10
Sales Growth -10.89% ROE 3.42%
ROCE 10.27% Profit Growth -54.19%

Shareholding of Adani Wilmer Ltd:-

 2024 Jun 2024 Mar 2024 Dec 2023
Promoter 87.9% 87.9% 87.9% 87.9%
FII 1.0% 0.7% 0.8% 0.7%
DII 0.1% 0.3% 0.3% 0.1%
Public 11.1% 11.2% 11.1% 11.4%
Others 0% 0% 0% 0.0%

Target in Adani Wilmer Ltd for 2025-2030 :-

Year Target
2025 360
2026 430
2027 490
2028 590
2029 720
2030 804

Ongoing Projects on Adani Wilmer Ltd :-

Future Plan of Adani Wilmar Ltd :-

Acquisitions
Adani Wilmar plans to buy three food companies that focus on spices, ready-to-cook meals, and packaged foods. The company has set aside $1 billion for these purchases.

Expansion Plans

Sustainability Goals

Adani Wilmar Ltd is focused on:

Quarterly Results (JUN 2024 and SEP 2024) :-

Particulars JUN 2024 SEP 2024
Net Sales (₹ Cr.) 14,168.58 14,460.45
Total Expenditure (₹ Cr.) 13,549.71 13,894.26
Operating Profit (₹ Cr.) 618.87 566.19
Other Income (₹ Cr.) 61.29 104.85
Interest (₹ Cr.) 165.57 176.74
Depreciation (₹ Cr.) 96.42 92.43
Exceptional Items (₹ Cr.) 0.00 0.00
Profit Before Tax (₹ Cr.) 418.17 401.87
Tax (₹ Cr.) 106.54 119.95
Profit After Tax (₹ Cr.) 311.63 281.92
Adjustments (₹ Cr.) 1.57 29.11
Consolidated Net Profit (₹ Cr.) 313.20 311.03
Adjusted EPS (₹) 2.41 2.39

 

Profit & Loss (MAR 2023 and MAR 2024) :-

Particulars MAR 2023 MAR 2024
Net Sales (₹ Cr.) 58,184.81 51,261.63
Total Expenditure (₹ Cr.) 57,226.02 50,128.94
Operating Profit (₹ Cr.) 958.79 1,132.69
Other Income (₹ Cr.) 963.51 296.18
Interest (₹ Cr.) 774.92 749.11
Depreciation (₹ Cr.) 358.46 363.85
Exceptional Items (₹ Cr.) 0.00 -53.51
Profit Before Tax (₹ Cr.) 788.92 262.40
Tax (₹ Cr.) 235.35 91.75
Profit After Tax (₹ Cr.) 553.57 170.65
Adjustments (₹ Cr.) 28.55 -22.66
Consolidated Net Profit (₹ Cr.) 582.12 147.99
Adjusted EPS (₹) 4.48 1.14

 

Balance Sheet table for the last two years (MAR 2023 and MAR 2024) :- 
Particulars MAR 2023 MAR 2024
Equity and Liabilities
Share Capital (₹ Cr.) 129.97 129.97
Total Reserves (₹ Cr.) 8,035.78 8,186.02
Minority Interest (₹ Cr.) 0.00 0.00
Borrowings (₹ Cr.) 0.00 0.00
Other N/C Liabilities (₹ Cr.) 1,125.71 1,049.77
Current Liabilities (₹ Cr.) 11,687.12 10,410.75
Total Liabilities (₹ Cr.) 20,978.58 19,776.51
Assets
Net Block (₹ Cr.) 4,793.35 4,920.95
Capital WIP (₹ Cr.) 323.96 869.53
Intangible WIP (₹ Cr.) 0.00 9.32
Investments (₹ Cr.) 342.09 311.59
Loans & Advances (₹ Cr.) 968.69 886.41
Other N/C Assets (₹ Cr.) 18.62 60.91
Current Assets (₹ Cr.) 14,531.87 12,717.80
Total Assets (₹ Cr.) 20,978.58 19,776.51
Cash Flows :-
Particulars MAR 2020 MAR 2021 MAR 2022 MAR 2023 MAR 2024
Profit from Operations (₹ Cr.) 609.01 755.21 1,058.76 788.92 262.40
Adjustment (₹ Cr.) 787.69 340.10 634.31 718.60 808.80
Changes in Assets & Liabilities (₹ Cr.) -494.54 -74.54 -251.54 -681.32 -620.19
Tax Paid (₹ Cr.) -120.87 -294.30 -243.67 -162.90 -162.09
Operating Cash Flow (₹ Cr.) 781.30 726.47 1,197.86 663.30 288.92
Investing Cash Flow (₹ Cr.) -506.38 -483.80 -3,786.11 523.52 138.24
Financing Cash Flow (₹ Cr.) -7.77 -531.42 2,658.07 -919.06 -563.39
Net Cash Flow (₹ Cr.) 267.14 -288.75 69.82 267.76 -136.23
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