TATACONSUM · NSE
Tata Consumer Products
Phase 4 · Capital Return
Profitable, cash-generative, and returning capital to shareholders through dividends.
Phase 1
Startup
Phase 2
Hyper Growth
Phase 3
Operating Leverage
Phase 4
Capital Return
Phase 5
Decline
Revenue growth (YoY)
15.2%
Mar 2026 vs Mar 2025
Net profit growth (YoY)
20.2%
Operating cash flow
₹2422 Cr
Mar 2026
Returning capital?
Yes
Last dividend ex-date 2026-05-24
Revenue, profit & operating cash flow
₹ crore, by fiscal year
RevenueNet profitOperating cash flowRevenue ends at ₹20290 Cr. Net profit ends at ₹1547 Cr. Operating cash flow ends at ₹2422 Cr.
Judge management on
Capital allocation — are dividends sized sensibly against free cash flow?
Key metric to watch
Free cash flow and the dividend payout ratio.
Typically valued on
Price/earnings and dividend yield.
| Fiscal year | Revenue | Net profit | Operating cash flow |
|---|---|---|---|
| Mar 2021 | ₹11602 Cr | ₹930 Cr | ₹1656 Cr |
| Mar 2022 | ₹12425 Cr | ₹1015 Cr | ₹1516 Cr |
| Mar 2023 | ₹13783 Cr | ₹1320 Cr | ₹1461 Cr |
| Mar 2024 | ₹15206 Cr | ₹1215 Cr | ₹1937 Cr |
| Mar 2025 | ₹17618 Cr | ₹1287 Cr | ₹2057 Cr |
| Mar 2026 | ₹20290 Cr | ₹1547 Cr | ₹2422 Cr |
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