Total Energies Marketing India Pvt Ltd

Total Energies Marketing India Pvt Ltd

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OVERVIEW
FINANCIALS

About

TotalEnergies Marketing India Pvt. Ltd. is a subsidiary of TotalEnergies, a global leader in the energy sector. In India, the company provides a diverse range of products and services, including high-quality lubricants for automotive and industrial applications, LPG for domestic and commercial use, and bitumen products essential for road construction. With a focus on sustainability and innovation, TotalEnergies plays a key role in India's energy landscape, offering reliable and efficient energy solutions while contributing to the country's infrastructure development and energy transition goals. The company continues to expand its presence and impact in the Indian market.

Incorporation Year: 1993
Headquarters: Mumbai, Maharashtra
Top Management: Mr. Olivier Chalvon-Demersay (Chairman)
Industry: Energy Ancillary

Featured In Fortune India Ranking

Next 500 India
#53(2024)#27(2022)
#53(2024)#27(2022)
Ranking Trend Fortune Next 500 India

Financial Data 2023

Revenue
3,084
(INR Cr)
Net Operating Income
3,107
(INR Cr)
Assets
757
(INR Cr)
Profit
115
(INR Cr)
Net Worth
357
(INR Cr)

Financial Data

RevenueNet Operating IncomeProfitAssetsNet Worth
PARAMETERS2023202220212020201920182017
Revenue
(INR Cr)
3084
0.7%
3064
19.8%
2557
41.8%
1803
-25.9%
2435
-6.7%
2610
13.2%
2306
-
Net Operating Income
(INR Cr)
3107
2.15%
3042
22.52%
2483
36.99%
1812
-26.13%
2453
-5.88%
2607
13.56%
2295
0.00%
Profit
(INR Cr)
115
-29.0%
162
-1.1%
164
116.6%
76
-54.8%
167
82.3%
92
-15.2%
108
-
Assets
(INR Cr)
757
-2.3%
776
22.5%
633
10.3%
574
13.6%
505
-2.1%
516
17.1%
441
-
Net Worth
(INR Cr)
357
-9.2%
394
-0.2%
394
29.9%
304
-31.7%
445
21.8%
365
-3.4%
378
0.0%
Employee Cost
(INR Cr)
154
6.5%
144
6.4%
136
-1.3%
137
-5.9%
146
11.5%
131
14.9%
114
-
Interest Cost
(INR Cr)
312216139223
Cash & Bank Balance
(INR Cr)
32721475
Total Debt
(INR Cr)
2732501321565214454

Key Financial Ratios

Profit As % Of RevenuesRONW %Interest Cost to EBITDA %ROCE %Debt to Equity Ratio
PARAMETERS2023202220212020201920182017
Profit As % Of Revenues 3.7%5.3%6.4%4.2%6.9%3.5%4.7%
Profit As % Of Assets 15.2%20.9%25.9%13.2%33.2%17.8%24.6%
Profit As % Of Networth 32.2%41.2%41.6%24.9%37.7%25.2%28.7%
Interest Cost to EBITDA % 11.6%6.7%4.9%6.7%3.1%10.6%1.7%
Debt to Equity Ratio 0.760.630.330.510.120.390.14
RONW 30.7%41.1%47.0%20.2%41.4%24.7%28.7%
ROCE 24.4%34.1%39.6%21.5%47.1%33.8%38.0%