IPOPLUS

226.14

+21.41 +10.46%

18 Jun 2026

NSE Listed · Chemicals

Chemplast Sanmar Limited (CHEMPLASTS)

Volume: 5,55,327Avg Vol 1W: 2,19,331Avg Vol 1M: 4,51,27952W Range:193.11477.75
₹226.14 10.46%
Market Cap₹3,209 Cr
Current Price₹226.14
Previous Close₹204.73
High / Low (52w)₹477.75 / ₹193.11
Volume5,55,327
Avg Vol (1W)2,19,331
Avg Vol (1M)4,51,279
Stock P/E
Book Value₹110.97
Dividend Yield0%
ROE-7.41%
ROA-4.43%
Revenue (TTM)
Revenue Growth10.78%
Profit Margin-6.63%
Total Debt₹1,102 Cr
Shares Outstanding16 Cr
Face Value₹5
EPS (TTM)₹-2.87
P/B2.18
Debt / Equity1.11
50 DMA₹218.92
200 DMA₹247.74
Day change+10.46%
Price Chart
226.14 42.33% · 1Y
42119665.8L
2025-10-21
2026-06-16

20-day avg volume: 3.0L shares

Pros
  • Company is almost debt-free.
Cons
  • Company is loss-making at the latest annual result.
Quarterly Results
MetricMar 2026Dec 2025Sept 2025Jun 2025Mar 2025Dec 2024Sept 2024Jun 2024Mar 2024Dec 2023Sept 2023Jun 2023Mar 2023Dec 2022Sept 2022Jun 2022Mar 2022Dec 2021Sept 2021Jun 2021Mar 2021Dec 2020Sept 2020
Revenue₹1,256 Cr₹835 Cr₹1,033 Cr₹1,100 Cr₹1,151 Cr₹1,058 Cr₹993 Cr₹1,145 Cr₹1,051 Cr₹888 Cr₹988 Cr₹996 Cr₹1,147 Cr₹1,189 Cr₹1,194 Cr₹1,411 Cr₹1,807 Cr₹1,452 Cr₹1,673 Cr₹960 Cr₹1,342 Cr₹1,088 Cr₹926 Cr
EBITDA₹147 Cr₹-105 Cr₹-2 Cr₹-27 Cr₹-11 Cr₹-4 Cr₹-9 Cr₹91 Cr₹-12 Cr₹-32 Cr₹48 Cr₹-49 Cr₹95 Cr₹60 Cr₹82 Cr₹169 Cr₹315 Cr₹333 Cr₹335 Cr₹134 Cr₹317 Cr₹253 Cr₹204 Cr
Net Profit₹-45 Cr₹-119 Cr₹-51 Cr₹-64 Cr₹-54 Cr₹-49 Cr₹-31 Cr₹24 Cr₹-31 Cr₹-89 Cr₹26 Cr₹-64 Cr₹46 Cr₹27 Cr₹39 Cr₹41 Cr₹232 Cr₹237 Cr₹151 Cr₹29 Cr₹364 Cr₹160 Cr₹-12 Cr
EPS-2.87-7.45-3.21-4.02-3.39-3.06-1.951.51-1.97-5.651.65-4.052.911.722.442.5714.6514.9810.512.1527.1611.93-0.89
Profit & Loss (Annual)
MetricMar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Revenue₹4,393 Cr₹4,008 Cr₹5,021 Cr₹5,949 Cr₹3,815 Cr₹1,266 Cr
EBITDA₹67 Cr₹-45 Cr₹406 Cr₹1,117 Cr₹847 Cr₹233 Cr
Net Profit₹-110 Cr₹-158 Cr₹152 Cr₹649 Cr₹410 Cr₹46 Cr
EPS-6.92-10.029.6443.6630.592.04
Balance Sheet
MetricMar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Total Assets₹6,503 Cr₹6,030 Cr₹5,837 Cr₹5,602 Cr₹4,487 Cr₹4,108 Cr
Total Liabilities₹4,435 Cr₹4,330 Cr₹3,978 Cr₹3,897 Cr₹4,836 Cr₹2,195 Cr
Equity₹2,068 Cr₹1,701 Cr₹1,858 Cr₹1,705 Cr₹-349 Cr₹1,913 Cr
Total Debt₹1,102 Cr₹1,102 Cr₹929 Cr₹799 Cr₹841 Cr₹0 Cr
Cash Flow
MetricMar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Operating₹146 Cr₹-225 Cr₹449 Cr₹1,078 Cr₹1,137 Cr₹205 Cr
Investing₹-407 Cr₹-524 Cr₹-217 Cr₹108 Cr₹2,152 Cr₹-438 Cr
Financing₹66 Cr₹382 Cr₹-27 Cr₹-313 Cr₹-3,017 Cr₹298 Cr
Free Cash Flow₹146 Cr₹-225 Cr₹449 Cr₹1,078 Cr₹1,137 Cr₹205 Cr
Shareholding
Promoter 54.99% Institutions 38.1% Public 6.91%

Prices are delayed/indicative; pros & cons are AI generated. Informational only — not investment advice. ← Back to search