Tata Consumer Products Ltd Share Price, Fundamentals and Financials
Track Tata Consumer Products Ltd live share price with 52 week high and low, chart views, fundamentals, financial statements, ratios, peer comparison, dividends, bonuses/splits and company details.
₹1,082.00
₹-30.80 · -2.77%
Symbol: TATACONSUM.NSExchange: NSIUpdated: 30 Jun 2026, 13:25:25 IST
Tata Consumer Products price chart
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Quick Fundamentals
Market Cap—Latest available market feedCurrent Price₹1,082.00Latest available market price52W High / Low— / —Latest available 52 week rangeStock P/E—Valuation multipleBook Value—Per shareDividend Yield—Trailing yieldPrice to Book—Book valuationEPS TTM—Trailing earnings per shareVolume0Latest available volume
About Tata Consumer Products Ltd
Tata Consumer Products Limited is a Tata Group fast-moving consumer goods company focused on food and beverages. Its portfolio spans tea, coffee, water and ready-to-drink beverages, salt, pulses, spices, cereals, snacks, ready-to-cook and ready-to-eat products, and selected international and out-of-home businesses.
The company took its current consumer-focused shape after the former Tata Global Beverages combined with the consumer products business of Tata Chemicals. It has continued to expand through brand building, distribution growth, innovation and acquisitions.
For investors, important monitorables include volume and value growth, commodity inflation, pricing, operating margins, distribution reach, market share, acquisition integration, working capital, cash generation and return ratios.
Business segments and investor focus
Investors commonly track India beverages, India foods, international business, non-branded operations and out-of-home activities. Use the latest annual report and results presentation because segment names and disclosures can change.
Verify the latest company profile, segment reporting and financial disclosures from Tata Consumer Products investor relations and official exchange filings.
Business Model and Business Segments
Tata Consumer Products earns revenue by sourcing, manufacturing, branding, distributing and selling packaged beverages and foods. Products reach customers through general trade, modern retail, e-commerce, institutional channels, distributors and international retail networks.
Its India beverages portfolio includes tea, coffee and liquid beverages. The foods portfolio includes salt, pulses, spices, cereals, snacks, mini-meals and ready-to-cook or ready-to-eat products. International operations include tea and coffee brands in markets outside India, while non-branded activities include plantation-linked and bulk businesses. The company also has out-of-home exposure through retail and food-service ventures.
Revenue growth depends on consumer demand, distribution expansion, product innovation, acquisitions, premiumisation and pricing. Profitability also depends on tea, coffee, salt, packaging and other input costs, advertising, logistics and the company’s ability to manage price increases without losing volumes.
Shareholding Pattern
Shareholding pattern in percentage
Category
Mar 2024
Mar 2025
Mar 2026
Promoters
33.55%
33.84%
33.83%
FIIs
25.46%
21.54%
20.79%
DIIs
17.39%
21.96%
24.18%
Government
0.01%
0.01%
0.01%
Public
23.58%
22.66%
21.16%
No. of Shareholders
8,87,335
9,20,960
8,04,698
Figures are educational snapshots. Verify the latest values, classifications and restatements from the company’s annual report, quarterly results and official NSE/BSE filings.
Profit and Loss
Consolidated figures in ₹ crore
Particulars
Mar 2024
Mar 2025
Mar 2026
Revenue
₹15,206 Cr
₹17,618 Cr
₹20,290 Cr
Operating Profit
₹2,284 Cr
₹2,479 Cr
₹2,792 Cr
Operating Margin
15%
14%
14%
Other Income
-₹81 Cr
₹188 Cr
₹145 Cr
Interest
₹130 Cr
₹290 Cr
₹137 Cr
Depreciation
₹377 Cr
₹601 Cr
₹627 Cr
Profit Before Tax
₹1,696 Cr
₹1,777 Cr
₹2,173 Cr
Net Profit
₹1,215 Cr
₹1,287 Cr
₹1,547 Cr
EPS
₹11.63
₹12.92
₹15.59
Dividend Payout
64%
64%
64%
Figures are educational snapshots. Verify the latest values, classifications and restatements from the company’s annual report, quarterly results and official NSE/BSE filings.
Balance Sheet
Consolidated figures in ₹ crore
Particulars
Mar 2024
Mar 2025
Mar 2026
Equity Capital
₹95 Cr
₹99 Cr
₹99 Cr
Reserves
₹15,962 Cr
₹19,902 Cr
₹21,689 Cr
Borrowings
₹3,477 Cr
₹2,393 Cr
₹2,820 Cr
Other Liabilities
₹8,345 Cr
₹9,437 Cr
₹9,672 Cr
Total Liabilities
₹27,879 Cr
₹31,831 Cr
₹34,279 Cr
Fixed Assets
₹19,358 Cr
₹21,477 Cr
₹22,019 Cr
Capital Work in Progress
₹190 Cr
₹218 Cr
₹481 Cr
Investments
₹871 Cr
₹969 Cr
₹1,443 Cr
Other Assets
₹7,461 Cr
₹9,167 Cr
₹10,336 Cr
Total Assets
₹27,879 Cr
₹31,831 Cr
₹34,279 Cr
Figures are educational snapshots. Verify the latest values, classifications and restatements from the company’s annual report, quarterly results and official NSE/BSE filings.
Cash Flow
Consolidated figures in ₹ crore
Particulars
Mar 2024
Mar 2025
Mar 2026
Cash from Operating Activity
₹1,937 Cr
₹2,057 Cr
₹2,422 Cr
Cash from Investing Activity
-₹1,911 Cr
-₹2,303 Cr
-₹1,311 Cr
Cash from Financing Activity
₹256 Cr
₹453 Cr
-₹1,075 Cr
Net Cash Flow
₹281 Cr
₹206 Cr
₹35 Cr
Free Cash Flow
₹1,626 Cr
₹1,643 Cr
₹2,016 Cr
CFO / Operating Profit
102%
102%
107%
Figures are educational snapshots. Verify the latest values, classifications and restatements from the company’s annual report, quarterly results and official NSE/BSE filings.
Key Ratios
Key operating and return ratios
Metric
Mar 2024
Mar 2025
Mar 2026
Operating Margin
15%
14%
14%
Return on Equity
Approx. 7%
Approx. 7%
Approx. 7%
Cash Conversion Cycle
25 days
22 days
8 days
Compounded Sales Growth
10Y: 12%
5Y: 12%
3Y: 14%
Compounded Profit Growth
10Y: 68%
5Y: 12%
3Y: 13%
Dividend Payout
64%
64%
64%
Figures are educational snapshots. Verify the latest values, classifications and restatements from the company’s annual report, quarterly results and official NSE/BSE filings.
Peer Comparison
Selected Indian FMCG and consumer peers
Company
Primary Category
What to Compare
Important Difference
Tata Consumer Products Ltd
Tea, coffee, salt and packaged foods
Growth, margins, cash flow, valuation
Diversified food and beverage portfolio
Hindustan Unilever Ltd
Home, beauty and foods
Volume growth, margins, distribution
Broader household and personal-care exposure
Nestle India Ltd
Packaged foods and beverages
Growth, premiumisation, valuation
Higher concentration in nutrition and convenience foods
Britannia Industries Ltd
Biscuits, bakery and dairy
Input costs, margins, rural demand
More concentrated bakery portfolio
Dabur India Ltd
Health, personal care and foods
Rural growth, margins, brand mix
Ayurvedic and personal-care orientation
Marico Ltd
Edible oils and personal care
Volume growth, commodity costs, margins
Greater oils and personal-care exposure
Figures are educational snapshots. Verify the latest values, classifications and restatements from the company’s annual report, quarterly results and official NSE/BSE filings.
Dividends and Bonuses / Splits
Dividends
Year
Dividend Detail
Note
FY 2025-26
Verify latest declared dividend and record date
Use company, NSE and BSE filings before relying on the amount or entitlement
FY 2024-25
Historical payout data shown in financial highlights
Confirm the per-share dividend in the relevant annual report and exchange filing
FY 2023-24
Historical payout data shown in financial highlights
Confirm the per-share dividend in the relevant annual report and exchange filing
Bonuses / Splits
Action
Detail
Note
Bonus Issue
No claim made on this page
Verify complete history and adjusted entitlement on NSE, BSE and company filings
Face Value
₹1.00
Verify the latest face value from official exchange records
Split
No claim made on this page
Check exchange-confirmed split history and record dates
Corporate actions can change. Verify the latest dividend, bonus, split, face value, ex-date and record date from Tata Consumer Products, NSE and BSE filings. Tables remain within the stock page body and scroll horizontally on smaller screens.
Tata Consumer Products customer and product FAQs
These FAQs explain the company’s products, brands, business model, risks, dividends, corporate actions and investment monitorables in beginner-friendly language.
What does Tata Consumer Products do?
Tata Consumer Products is a Tata Group food and beverage company. Its portfolio includes tea, coffee, salt, pulses, spices, ready-to-cook and ready-to-eat foods, snacks, water and other packaged consumer products, along with international and out-of-home businesses.
Which brands are owned or marketed by Tata Consumer Products?
The portfolio includes brands such as Tata Tea, Tetley, Eight O Clock Coffee, Tata Coffee Grand, Himalayan, Tata Salt, Tata Sampann, Soulfull, Ching’s Secret, Smith & Jones and Organic India, among others. Brand ownership, geography and product availability can change, so verify the latest portfolio on the company website.
How does Tata Consumer Products make money?
The company earns revenue by selling branded beverages, packaged foods and related products through general trade, modern retail, e-commerce, institutional channels and international distribution. It also has non-branded operations and out-of-home exposure.
What are the main business segments of Tata Consumer Products?
Investors commonly track India beverages, India foods, international business, non-branded operations and out-of-home or retail activities. Segment presentation may be updated by the company, so use the latest annual report and results presentation for the current classification.
Is Tata Consumer Products the same as Tata Tea?
Tata Consumer Products is the listed company that evolved from Tata Global Beverages and later combined the Tata Chemicals consumer products business. Tata Tea remains an important beverage brand within the broader portfolio.
What is the NSE symbol and BSE code of Tata Consumer Products?
The NSE symbol is TATACONSUM and the BSE scrip code is 500800. The Yahoo Finance-compatible NSE ticker used on this page is TATACONSUM.NS.
What factors can affect Tata Consumer Products share price?
Important factors include tea and coffee commodity prices, salt and food input costs, pricing actions, volume growth, distribution expansion, currency movements, acquisitions, integration execution, advertising spend, margins, competition and overall market valuations.
Does Tata Consumer Products pay dividends?
The company has paid dividends, but the amount, record date and eligibility can change each year. Verify the latest dividend declaration through Tata Consumer Products investor relations and official NSE or BSE filings before relying on any figure.
Has Tata Consumer Products issued bonus shares or stock splits?
Corporate-action history should be checked directly on NSE, BSE and the company investor-relations portal. Do not rely only on historical summaries because record dates, adjusted prices and classifications may differ across data providers.
What should beginners monitor in Tata Consumer Products results?
Beginners can monitor revenue growth, volume growth, operating margin, profit growth, working capital, cash generation, return ratios, debt, market share, distribution reach and the contribution from newer growth businesses.
What are the major risks in Tata Consumer Products business?
Risks include volatile tea, coffee and food input costs, weak rural or urban demand, intense FMCG competition, inability to pass on inflation, currency fluctuations, regulatory changes, acquisition integration and execution risk in new categories.
How should Tata Consumer Products be compared with FMCG peers?
Compare revenue mix, growth, margins, return ratios, cash conversion, valuation, brand strength and category exposure. Peer comparisons are imperfect because companies such as Hindustan Unilever, Nestle India, Britannia, Dabur and Marico have different product mixes.
Where can investors find official Tata Consumer Products financials and shareholding data?
Use the company investor-relations website, annual reports, quarterly results, presentations and official NSE or BSE filings. Always verify the latest financial, dividend, bonus, split and shareholding information from these primary sources.
Is this page a buy or sell recommendation?
No. This page is educational and does not provide a buy, sell or hold recommendation. Investors should assess their goals, risk tolerance, valuation assumptions and the latest company disclosures.