JSW Dulux

INR
3,151.25
246.4 (8.48%)
BSENSE

May 29

BSE+NSE Vol: 3.81 lacs

  • Price Points
  • Score
  • Mojo Parameters
  • Total Return
  • News and Corporate Actions
  • Key factors
  • Shareholding
  • Financials
  • CompanyCV
stock-summaryPrice Point
High/Low

1Day

52 Week

Valuation
Technical
Day's Volume

CASH

3.81 lacs (230.15%) Volume

Shareholding (Mar 2026)

FII

8.44%

Held by 115 FIIs

DII

21.79%

Held by 29 DIIs

Promoter

61.20%

Who are the top shareholders of the Akzo Nobel?

06-Jun-2025

The top shareholders of Akzo Nobel include Imperial Chemical Industries Ltd with 50.46%, Asian Paints Limited at 4.42%, and individual investors with 6.61%. Additionally, mutual funds hold 6.17%, and foreign institutional investors account for 3.67%, with no pledged promoter holdings reported.

The top shareholders of Akzo Nobel include Imperial Chemical Industries Ltd, which holds a significant 50.46% of the shares. Other notable shareholders are Asian Paints Limited, with 4.42%, and individual investors collectively holding 6.61%. Additionally, the company has mutual funds represented by 16 schemes, accounting for 6.17%, and foreign institutional investors (FIIs) holding 3.67% through 107 different entities. There are no pledged promoter holdings reported.

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When is the next results date for Akzo Nobel?

06-Jun-2025

No Upcoming Board Meetings

Who are in the management team of Akzo Nobel?

06-Jun-2025

As of March 2022, the management team of Akzo Nobel includes Rajiv Rajgopal (Chairman & Managing Director), R Krishna (Whole Time Director & CFO), and several independent directors: Amit Jain, Hemant Sahai, and Smriti Rekha Vijay, along with Rajiv L Jha as Company Secretary & Compliance Officer.

As of March 2022, the management team of Akzo Nobel includes the following individuals:<BR><BR>1. Amit Jain - Independent Director<BR>2. Hemant Sahai - Independent Director<BR>3. Rajiv Rajgopal - Chairman & Managing Director<BR>4. Smriti Rekha Vijay - Independent Director<BR>5. R Krishna - Whole Time Director & CFO<BR>6. Rajiv L Jha - Company Secretary & Compliance Officer<BR><BR>These members play key roles in the governance and management of the company.

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Who are the peers of the Akzo Nobel?

03-Jun-2025

Akzo Nobel's peers include Asian Paints, Berger Paints, Kansai Nerolac, and others. In terms of management risk, growth, and capital structure, Asian Paints and Berger Paints perform excellently, while Akzo Nobel shows average growth and strong capital structure, with a 1-year return of 29.49%.

Peers: The peers of Akzo Nobel are Asian Paints, Berger Paints, Kansai Nerolac, Indigo Paints, Sirca Paints, Shalimar Paints, Kamdhenu Venture, Retina Paints, and MCON Rasayan.<BR><BR>Quality Snapshot: Excellent management risk is observed at Asian Paints, Berger Paints, and Akzo Nobel, while Good management risk is found at Kansai Nerolac and Indigo Paints. Average management risk is noted for Sirca Paints and MCON Rasayan, and Below Average management risk is present at Shalimar Paints and Kamdhenu Venture. Retina Paints does not qualify for management risk assessment. In terms of Growth, Excellent growth is seen at Sirca Paints, Average growth is noted for Asian Paints, Berger Paints, and MCON Rasayan, while Below Average growth is found at Kansai Nerolac, Akzo Nobel, Indigo Paints, Shalimar Paints, and Kamdhenu Venture. Retina Paints does not qualify for growth assessment. Excellent capital structure is observed at Asian Paints, Berger Paints, Kansai Nerolac, Akzo Nobel, Indigo Paints, Sirca Paints, and Kamdhenu Venture, while Below Average capital structure is noted for Shalimar Paints and MCON Rasayan. Retina Paints does not qualify for capital structure assessment.<BR><BR>Return Snapshot: The peer with the highest 1-year return is Berger Paints at 20.09%, while the peer with the lowest is Kamdhenu Venture at -66.20%. Akzo Nobel's 1-year return of 29.49% is higher than both of these peers. Additionally, Shalimar Paints and Kamdhenu Venture have negative six-month returns.

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What does Akzo Nobel do?

17-Jul-2025

Akzo Nobel India Ltd manufactures and sells paints and related products, with a market cap of INR 16,395 Cr and a net profit of INR 1,084 Cr for Q1 2025. The company has a P/E ratio of 37.00 and a dividend yield of 2.71%.

Overview:<BR>Akzo Nobel India Ltd is engaged in the manufacturing, trading, and selling of paints and related products within the mid-cap paints industry.<BR><BR>History:<BR>The company was incorporated as 'Indian Explosives Limited' in 1954 and changed its name to 'Akzo Nobel India Limited' in February 2010. The most recent quarterly results reported net sales and net profit for the period ending March 2025.<BR><BR>Financial Snapshot:<BR>- Net Sales: 10,221 Cr (Quarterly Results - Mar 2025)<BR>- Net Profit: 1,084 Cr (Quarterly Results - Mar 2025)<BR>- Market Cap: INR 16,395 Cr (Mid Cap)<BR><BR>Key Metrics:<BR>- P/E: 37.00<BR>- Industry P/E: 53<BR>- Dividend Yield: 2.71%<BR>- Debt Equity: -0.18<BR>- Return on Equity: 32.29%<BR>- Price to Book: 12.30<BR><BR>Contact Details:<BR>Address: Geetanjali Apartment 1st Floor, 8-B Middleton Street Kolkata West Bengal : 700071<BR>Tel: 91-33-22267462<BR>Email: investor.india@akzonobel.com<BR>Website: http://www.akzonobel.co.in

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How big is Akzo Nobel?

24-Jul-2025

As of 24th July, Akzo Nobel India Ltd has a market capitalization of 17,341.00 Cr, with net sales of 4,091.20 Cr and a net profit of 429.50 Cr reported in the latest four quarters. The company had shareholder's funds of 1,330.20 Cr and total assets of 2,872.00 Cr for the annual period ending March 2025.

As of 24th July, Akzo Nobel India Ltd has a market capitalization of 17,341.00 Cr, categorizing it as a Mid Cap company.<BR><BR>In the latest four quarters, the company reported net sales of 4,091.20 Cr and a net profit of 429.50 Cr.<BR><BR>For the latest annual period ending March 2025, Akzo Nobel India Ltd had shareholder's funds amounting to 1,330.20 Cr and total assets of 2,872.00 Cr.

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Has Akzo Nobel declared dividend?

06-Aug-2025

Yes, Akzo Nobel India Ltd has declared a dividend of 1560%, amounting to ₹30 per share, with an ex-date of July 25, 2025. The dividend yield is 2.79%, and the company has shown strong total returns across various periods, particularly over the long term.

Akzo Nobel India Ltd has declared a dividend.<BR><BR>Dividend Details:<BR>- Percentage announced: 1560%<BR>- Amount per share: 30<BR>- Ex-date: Jul-25-2025<BR><BR>Dividend Yield: 2.79%<BR><BR>Total Returns by Period:<BR>In the 3-month period, the price return was 6.12%, the dividend return was 5.41%, leading to a total return of 11.53%.<BR><BR>In the 6-month period, the price return was 2.57%, the dividend return was 5.14%, resulting in a total return of 7.71%.<BR><BR>Over the 1-year period, the price return was 19.6%, the dividend return was 7.75%, culminating in a total return of 27.35%.<BR><BR>In the 2-year period, the price return was 31.47%, the dividend return was 11.62%, which resulted in a total return of 43.09%.<BR><BR>For the 3-year period, the price return was 94.82%, the dividend return was 20.88%, leading to a total return of 115.7%.<BR><BR>In the 4-year period, the price return was 66.7%, the dividend return was 21.39%, resulting in a total return of 88.09%.<BR><BR>Over the 5-year period, the price return was 98.63%, the dividend return was 24.87%, culminating in a total return of 123.5%.<BR><BR>Overall, Akzo Nobel India Ltd has made a significant dividend declaration, and the total returns across various periods indicate strong performance, particularly over the longer term, showcasing both price appreciation and dividend contributions.

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Is Akzo Nobel overvalued or undervalued?

12-Aug-2025

As of August 11, 2025, Akzo Nobel's valuation has improved to attractive, indicating it is undervalued with a PE ratio of 38.70, a strong dividend yield of 7.61%, and better long-term returns compared to the Sensex, especially when compared to peers like Asian Paints and Berger Paints.

As of 11 August 2025, the valuation grade for Akzo Nobel has moved from fair to attractive, indicating a positive shift in its perceived value. The company is currently assessed as undervalued in the market. Key ratios include a PE ratio of 38.70, an EV to EBITDA of 25.35, and a dividend yield of 7.61%, which suggests strong profitability and returns to shareholders.<BR><BR>In comparison to its peers, Akzo Nobel's PE ratio is notably lower than that of Asian Paints, which stands at 62.12, and Berger Paints at 54.51, both of which are considered expensive. Additionally, Kansai Nerolac, also rated attractive, has a PE of 29.79, further reinforcing Akzo Nobel's relative undervaluation. Despite recent stock performance lagging behind the Sensex in the short term, its long-term returns over three years have significantly outperformed the index, suggesting potential for recovery and growth.

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How has been the historical performance of Akzo Nobel?

06-Nov-2025

Akzo Nobel has shown consistent growth in net sales and profit, with net sales increasing from 2,421.40 Cr in Mar'21 to 4,091.20 Cr in Mar'25, and profit after tax rising from 207.60 Cr to 429.50 Cr during the same period. The company's financial position remains solid, with total assets growing to 2,872.00 Cr while liabilities have remained stable.

Answer:<BR>The historical performance of Akzo Nobel shows a consistent growth trend in net sales and profit over the years.<BR><BR>Breakdown:<BR>Akzo Nobel's net sales have increased from 2,421.40 Cr in Mar'21 to 4,091.20 Cr in Mar'25, reflecting a steady upward trajectory. The total operating income has similarly risen, reaching 4,091.20 Cr in Mar'25 from 2,421.40 Cr in Mar'21. The operating profit (PBDIT) has also shown growth, climbing to 669.10 Cr in Mar'25 from 364.00 Cr in Mar'21. Profit before tax has increased from 278.20 Cr in Mar'21 to 569.90 Cr in Mar'25, while profit after tax has grown from 207.60 Cr to 429.50 Cr during the same period. The earnings per share (EPS) have improved significantly from 45.63 in Mar'21 to 94.4 in Mar'25. On the balance sheet, total assets rose to 2,872.00 Cr in Mar'25 from 2,512.00 Cr in Mar'21, while total liabilities have remained stable, indicating a solid financial position. Cash flow from operating activities has fluctuated, with a notable decrease to 311.00 Cr in Mar'25 from 486.00 Cr in Mar'24. Overall, Akzo Nobel has demonstrated robust growth in sales and profitability, alongside a stable asset base.

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Is Akzo Nobel technically bullish or bearish?

04-Dec-2025

As of December 3, 2025, Akzo Nobel's trend has shifted to sideways, reflecting market indecision, with a recent high of 3649.10 and low of 3359.30, a 1-week return of 2.85%, but a year-to-date return of -1.39%, indicating a neutral position overall.

As of 3 December 2025, the technical trend for Akzo Nobel has changed from mildly bearish to sideways. The current stance is neutral, reflecting indecision in the market. Key indicators include the recent price movement, with today's high reaching 3649.10 and today's low at 3359.30, indicating volatility. The stock has shown a 1-week return of 2.85%, outperforming the Sensex, but a year-to-date return of -1.39% suggests underlying weakness. Overall, the lack of a clear bullish or bearish signal and the sideways trend indicate a neutral position at this time.

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Are JSW Dulux Ltd latest results good or bad?

14-May-2026

JSW Dulux Ltd's latest results show a 69.18% increase in net profit for Q4 FY26, largely due to non-operating income, but revenue fell by 1.24% QoQ and 12.92% YoY, indicating ongoing demand challenges in the paints sector. Overall, while profit growth is positive, declining revenues and margin pressures suggest significant operational challenges.

JSW Dulux Ltd's latest results present a mixed picture. On one hand, the company reported a significant increase in net profit for Q4 FY26, rising by 69.18% quarter-on-quarter (QoQ) to ₹125.70 crore, and a 15.96% increase year-on-year (YoY). This profit surge was largely driven by exceptional non-operating income of ₹67.10 crore, which accounted for a substantial portion of the profit before tax.<BR><BR>However, the revenue figures tell a different story. The company experienced a decline in revenue, with Q4 FY26 sales falling by 1.24% QoQ and 12.92% YoY to ₹883.30 crore. This marks the third consecutive quarter of year-on-year revenue contraction, indicating ongoing challenges in demand within the paints sector.<BR><BR>Additionally, while the operating margin stood at 14.38%, it showed a decline from previous quarters, suggesting pressure on profitability. The reliance on non-operating income raises concerns about the sustainability of the reported profit levels.<BR><BR>Overall, while the net profit growth is a positive sign, the declining revenues and margin pressures indicate that the company is facing significant operational challenges. Investors should be cautious and consider these factors when evaluating the company's performance.

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Should I buy, sell or hold JSW Dulux Ltd?

28-May-2026

Why is JSW Dulux Ltd falling/rising?

29-May-2026

As of 28-May, JSW Dulux Ltd's stock price is 2,904.85, showing a slight increase but a negative performance trend overall, with declines of 8.45% year-to-date and 15.00% over the past year. Despite a high dividend yield and increased investor participation, the stock is underperforming relative to its sector and peers.

As of 28-May, JSW Dulux Ltd's stock price is currently at 2,904.85, reflecting a slight increase of 3.75 (0.13%). Despite this minor rise, the stock has shown a negative performance trend over various periods. Over the past week, it has underperformed with a decline of 0.80%, and it has also fallen by 2.86% over the last month. Year-to-date, the stock is down 8.45%, and it has experienced a significant drop of 15.00% over the past year, while the benchmark Sensex has only declined by 6.97% during the same period.<BR><BR>Today's performance indicates that the stock has underperformed its sector by 0.55%. It has traded within a narrow range of Rs 27.7, and it is currently below its moving averages across multiple time frames, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages. However, there has been a notable increase in investor participation, with delivery volume rising by 328.86% against the 5-day average, which may suggest growing interest despite the overall downward trend.<BR><BR>The company maintains a high dividend yield of 6.54%, which could attract income-focused investors. Additionally, it is net-debt free and has a high return on equity (ROE) of 24.90%, indicating strong management efficiency. However, the stock is trading at a premium compared to its peers, and its profits have declined by 8% over the past year, contributing to the overall negative sentiment surrounding the stock.<BR><BR>In summary, while there is a slight rise in the stock price today, the broader context shows a consistent decline in performance over various periods, influenced by falling profits and underperformance relative to the market and sector benchmarks.

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iScoreScore
Click here to find our call on this stock
Strong Sell
Sell
Hold
Buy
Strong Buy

Dashboard

1

High Management Efficiency with a high ROE of 24.90%

 
2

The company is Net-Debt Free

 
3

Poor long term growth as Net Sales has grown by an annual rate of 8.30% and Operating profit at 10.31% over the last 5 years

 
4

Flat results in Mar 26

5

With ROE of 17.4, it has a Attractive valuation with a 6.4 Price to Book Value

6

High Institutional Holdings at 30.22%

stock-summaryMojo Parameters

Mojo Parameters

Loading Valuation Snapshot...

Stock DNA

stock-summary
Industry

Paints

stock-summary
Market cap

INR 13,412 Cr (Small Cap)

stock-summary
P/E

36.00

stock-summary
Industry P/E

55

stock-summary
Dividend Yield

6.53%

stock-summary
Debt Equity

-0.09

stock-summary
Return on Equity

17.36%

stock-summary
Price to Book

5.89

Revenue and Profits:
Net Sales:
883 Cr
(Quarterly Results - Mar 2026)
Net Profit:
126 Cr
stock-summaryTotal Returns
Total Returns (Price + Dividend) stock-summary
Dividend Yield (6.53%)
TimePeriod
Price Return
Dividend Return
Total Return
3 Months
7.39%
0%
7.39%
6 Months
-4.97%
0%
-4.97%
1 Year
-6.45%
5.59%
-0.86%
2 Years
23.41%
10.45%
33.86%
3 Years
27.92%
15.20%
43.12%
4 Years
80.98%
24.69%
105.67%
5 Years
38.36%
21.70%
60.06%

Latest dividend: 156 per share ex-dividend date: Aug-11-2025

Risk Adjusted Returns v/s stock-summary
Returns Beta
Icon
Beta has not been calculated since enough price history is not available
stock-summaryNews & Corporate Actions

News

Why is JSW Dulux Ltd falling/rising?

Strong Price Performance Against Market Benchmarks

JSW Dulux Ltd’s recent price movement stands out distinctly when compared to the broader market indices. Over the past week, the stock has surged by 8.86%, sharply contrasting with the Sensex’s decline of 0.85% during the same period. This outperformance extends to the one-month horizon, where the stock gained 5.85% while the Sensex fell by 3.51%. Even though the year-to-date return for JSW Dulux is slightly negative at -0.68%, it still surpasses the Sensex’s more pronounced decline of 12.26%. Over longer periods, the stock has demonstrated resilience, delivering a 27.92% return over three years, outperforming the Sensex’s 18.98% gain, though it trails the benchmark over five years with a 38.36% return versus 45.41% for the S...

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Announcements stock-summary

Update On Financial Results

25-May-2026 | Source : BSE

Attached please find find an update regarding results for Q4/FY 26

Announcement under Regulation 30 (LODR)-Earnings Call Transcript

21-May-2026 | Source : BSE

Transcript of the investor call attached.

Announcement under Regulation 30 (LODR)-Newspaper Publication

15-May-2026 | Source : BSE

Attached copies of newspaper publication of results.

Corporate Actions stock-summary

stock-summary
BOARD MEETING

No Upcoming Board Meetings

stock-summary
DIVIDEND

JSW Dulux Ltd has declared 1560% dividend, ex-date: 11 Aug 25

stock-summary
SPLITS

No Splits history available

stock-summary
BONUS

No Bonus history available

stock-summary
RIGHTS

No Rights history available

stock-summaryKey Factors

Quality key factors stock-summary

Factor
Value
Sales Growth (5y)
8.30%
EBIT Growth (5y)
10.31%
EBIT to Interest (avg)
38.40
Debt to EBITDA (avg)
0.13
Net Debt to Equity (avg)
-0.09
Sales to Capital Employed (avg)
2.48
Tax Ratio
16.56%
Dividend Payout Ratio
105.94%
Pledged Shares
0
Institutional Holding
30.22%
ROCE (avg)
48.80%
ROE (avg)
24.90%

Valuation key factors

Factor
Value
P/E Ratio
36
Industry P/E
55
Price to Book Value
6.35
EV to EBIT
32.59
EV to EBITDA
27.76
EV to Capital Employed
6.91
EV to Sales
3.91
PEG Ratio
NA
Dividend Yield
6.06%
ROCE (Latest)
23.95%
ROE (Latest)
17.36%

Technicals key factors

Indicator
Weekly
Monthly
MACD
Mildly Bullish
Mildly Bearish
RSI
No Signal
No Signal
Bollinger Bands
Bullish
Mildly Bearish
Moving Averages
Mildly Bearish (Daily)
KST
Mildly Bullish
Bearish
Dow Theory
Mildly Bullish
Mildly Bullish
OBV
Mildly Bearish
Mildly Bullish
stock-summary Technical Indicator Scale: Bearish, Mildly Bearish, Sideways, Mildly Bullish, Bullish  Turned 
stock-summaryShareholding
Shareholding Snapshot : Mar 2026stock-summary
Shareholding Compare (%holding) stock-summary
Majority shareholders

Promoters

Pledged Promoter Holdings

None

Mutual Funds

Held by 25 Schemes (18.55%)

FIIs

Held by 115 FIIs (8.44%)

Promoter with highest holding

Jsw Paints Limited (61.2%)

Highest Public shareholder

Hdfc Mutual Fund - Hdfc Childrens Fund (6.21%)

Individual Investors Holdings

6.29%

stock-summaryFinancial
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        {
          "field": "Operating Profit (PBDIT) excl Other Income",
          "val1": "508.50",
          "val2": "641.50",
          "chgp": "-20.73%",
          "chgp_class": "negative"
        },
        {
          "field": "Interest",
          "val1": "12.10",
          "val2": "9.80",
          "chgp": "23.47%",
          "chgp_class": "negative"
        },
        {
          "field": "Exceptional Items",
          "val1": "1,845.90",
          "val2": "0.00",
          "chgp": "",
          "chgp_class": "neutral"
        },
        {
          "field": "Consolidate Net Profit",
          "val1": "1,973.80",
          "val2": "429.50",
          "chgp": "359.56%",
          "chgp_class": "positive"
        },
        {
          "field": "Operating Profit Margin (Excl OI)",
          "val1": "14.13%",
          "val2": "15.76%",
          "chgp": "-1.63%",
          "chgp_class": "negative"
        }
      ]
    }
  }
]

Quarterly Results Snapshot (Consolidated) - Mar'26 - QoQstock-summary

Mar'26
Dec'25
Change(%)
Net Sales
883.30
894.40
-1.24%
Operating Profit (PBDIT) excl Other Income
127.00
136.30
-6.82%
Interest
4.30
2.80
53.57%
Exceptional Items
0.00
-28.30
100.00%
Consolidate Net Profit
125.70
74.30
69.18%
Operating Profit Margin (Excl OI)
14.38%
15.24%
-0.86%
Values in Rs Cr.
Direction Arrows
Net Sales

QoQ Growth in quarter ended Mar 2026 is -1.24% vs 7.13% in Dec 2025

Direction Arrows
Consolidated Net Profit

QoQ Growth in quarter ended Mar 2026 is 69.18% vs -95.58% in Dec 2025

Half Yearly Results Snapshot (Consolidated) - Sep'25stock-summary

Sep'25
Sep'24
Change(%)
Net Sales
1,830.00
2,018.60
-9.34%
Operating Profit (PBDIT) excl Other Income
245.20
315.30
-22.23%
Interest
5.00
4.00
25.00%
Exceptional Items
1,874.20
0.00
Consolidate Net Profit
1,773.80
212.50
734.73%
Operating Profit Margin (Excl OI)
13.40%
15.62%
-2.22%
Values in Rs Cr.
Direction Arrows
Net Sales

Growth in half year ended Sep 2025 is -9.34% vs 3.23% in Sep 2024

Direction Arrows
Consolidated Net Profit

Growth in half year ended Sep 2025 is 734.73% vs 4.12% in Sep 2024

Nine Monthly Results Snapshot (Consolidated) - Dec'25stock-summary

Dec'25
Dec'24
Change(%)
Net Sales
2,724.40
3,069.10
-11.23%
Operating Profit (PBDIT) excl Other Income
381.50
482.20
-20.88%
Interest
7.80
7.30
6.85%
Exceptional Items
1,845.90
0.00
Consolidate Net Profit
1,848.10
321.10
475.55%
Operating Profit Margin (Excl OI)
14.00%
15.71%
-1.71%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in nine months ended Dec 2025 is -11.23% vs 2.71% in Dec 2024

Direction Arrows
Consolidated Net Profit

YoY Growth in nine months ended Dec 2025 is 475.55% vs 1.01% in Dec 2024

Annual Results Snapshot (Consolidated) - Mar'26stock-summary

Mar'26
Mar'25
Change(%)
Net Sales
3,599.20
4,069.30
-11.55%
Operating Profit (PBDIT) excl Other Income
508.50
641.50
-20.73%
Interest
12.10
9.80
23.47%
Exceptional Items
1,845.90
0.00
Consolidate Net Profit
1,973.80
429.50
359.56%
Operating Profit Margin (Excl OI)
14.13%
15.76%
-1.63%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in year ended Mar 2026 is -11.55% vs 2.72% in Mar 2025

Direction Arrows
Consolidated Net Profit

YoY Growth in year ended Mar 2026 is 359.56% vs 0.68% in Mar 2025

stock-summaryCompany CV
About JSW Dulux Ltd stock-summary
stock-summary
JSW Dulux Ltd
Small Cap
Paints
Akzo Nobel India Limited was erstwhile incorporated as 'Indian Explosives Limited' on March 12, 1954, which got the name of the Company changed to 'Akzo Nobel India Limited' in February 2010. Since then, Company engaged in the business of manufacturing, trading and selling of paints and related products. It provides research and development services to its holding company and other group companies. The Company is presently into Coatings business.
Company Coordinates stock-summary
Company Details
Geetanjali Apartment 1st Floor, 8-B Middleton Street Kolkata West Bengal : 700071
stock-summary
Tel: 91-33-22267462
stock-summary
investor.india@akzonobel.com
Registrar Details
CB Management Services Pvt Ltd , (Formerly Choksey Bhargava & Co Ltd) , P-22, P 22 Bondel Road, Calcutta