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TATAMOTORS

tatamotors

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truewealth
TATAMOTORS
About

Business Model & Strategy

Management Overview
Members
Awards & Recognition
Awards
    Market Information

    This stock in not included in any Index

    ISIN
    Sector
    Industry
    Company Timeline

    0+ Years of Excellence | Major Milestones

    Coming Soon

    The Next Evolution

    Contact Information
    Registered Office

    Tel:

    Fax:

    Email:

    Website:


    Registrars

    Tel:

    Email:

    Corporate Actions
    0

    No Data Found

    .dsf..
    Market Cap
    N/A
    Curr. Price
    N/A
    52W High/Low
    ₹NaN / NaN
    P/E (TTM)
    0
    Book Value
    ₹Infinity
    Price To Book Ratio
    N/A
    Face Value
    ₹2.00
    Dividend Yield
    N/A
    Manage Ratio
    11 ratios selected

    Date Basis

    Time Range

    EPS
    truewealth
    FINANCIALS
    Revenue
    +0.4%
    439,695.0 Cr
    3Y +58%
    5Y +68%
    HIST AVG
    Operating Income
    -5.7%
    56,138.0 Cr
    3Y +127%
    5Y +212%
    HIST AVG
    Net Income
    -11.5%
    28,149.0 Cr
    3Y +349%
    5Y +335%
    HIST AVG
    EPS
    -20.7%
    65.0
    3Y +318%
    5Y +286%
    HIST AVG
    Op. Cash Flow
    -7.1%
    63,102.0 Cr
    3Y +342%
    5Y 0%
    HIST AVG
    Note: Results are currently being updated and quality-checked. Some entries may be missing or incomplete—please check back soon for fully verified data.
    - Annual Results

    Consolidated Figures in Rs. Crores

    Annual Results+Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
    Income + - - - 3,04,904 2,64,041 2,52,438 2,81,507 3,50,600 4,43,878 4,45,9390
    Expenses + - - - 3,06,623 2,71,750 2,49,151 2,87,881 3,49,133 4,15,645 4,11,8960
    Profit + - - - -28,724.20 -11,975.23 -13,395.10 -11,308.76 2,690 31,807 28,1490
    Tax +----2,437.453952,5424,231704-3,851.6410,5020
    EPS + - - - -84.89 -34.88 -36.99 -29.88 6 82 650
    Ratios +-
    Cash Flow

    Consolidated Figures in Rs. Crores

    Annual Cash FlowMar 2016

    Mar 2017

    Mar 2018

    Mar 2019

    Mar 2020

    Mar 2021

    Mar 2022

    Mar 2023

    Mar 2024

    Mar 2025

    -
    Cash Flow Operating-----29,01814,28335,38867,91563,102-
    Cash Flow Investing------26,126-4,775-16,804-22,828-47,594-
    Cash Flow Financing-----9,904-3,380-26,243-37,006-18,786-
    Cash Increase Decrease-----13,2506,459-6,2728,128-5,666-
    Net Cash And Cash Equivalent-----18,46831,70038,15931,88740,015-
    Balance Sheet

    Consolidated Figures in Rs. Crores

    Annual Balance Sheet+Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025-
    Assets + - - - 3,07,195 3,22,121 3,43,126 3,30,620 3,36,081 3,70,664 3,78,642-
    Equity And Liabilities + - - - 3,07,195 3,22,121 3,43,126 3,30,620 3,36,081 3,70,664 3,78,642-
    Shareholding Pattern

    Numbers in Percentages

    Coming Soon

    TATAMOTORS

    Business Model & Strategy
    Management Overview Total Members
    Awards & Recognition Awards
    Market Information
    Included In

    This stock in not included in any Index

    Details
    ISIN:
    Sector:
    Industry:
    Company Timeline
    0+ Years of Excellence
    Major Milestones
    Coming Soon: The Next Evolution
    Contact Information
    Registered Office
    Tel:
    Fax:
    Email:
    Website:
    Registrars
    Tel:
    Email:

    Peer Comparison

    Part of This stock in not included in any Index
    S.No.Company NameCMP (₹)Market Cap (₹ Cr)Div Yld (%)NP Qtr (₹ Cr)Qtr Profit Var (%)Sales Qtr (₹ Cr)Qtr Sales Var (%)ROCE (%)ROE (%)Book Value (₹)EPS TTM (₹)TTMPE Ratio (₹)
    Not Found Data

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    CompanyCMP (₹)MCap (₹ Cr)EPS TTM (₹)
    Not Found Data

    Financial Ratios

    Premium Feature
    Company NameP/E (TTM)EPS (₹)D/ENPMGPMROE (%)ROCE (%)P/B
    Not Found Data

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