Chemicals - Speciality - Large
Chemplast Sanmar Ltd. is a leading manufacturer of specialty chemicals in India. It operates in the chemicals sector. The company was founded in 1967, giving it decades of experience and expertise in chemical manufacturing. Chemplast Sanmar Ltd.'s headquarters is in Chennai, Tamil Nadu, India. Chemplast Sanmar Ltd. offers a variety of products, including specialty paste PVC resin, custom-manufactured chemicals for the agrochemical, pharmaceutical, and fine chemicals sectors, caustic soda, fluorochemicals, hydrogen peroxide, refrigerant gas, and industrial salt1. These products cater to various industries and applications, making Chemplast Sanmar a versatile and reliable supplier. Read More...
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Total Revenue | 4,003.45 | 5,020.97 | 5,949.47 | 3,815.11 | 1,265.51 |
Total Expenses | 4,229.02 | 4,768.96 | 5,153.92 | 3,401.71 | 1,128.15 |
Profit Before Tax | -225.57 | 171.51 | 795.55 | 546.98 | 71.70 |
Profit After Tax | -158.43 | 152.35 | 648.65 | 410.08 | 46.12 |
Operating Profit after Depreciation | -45.05 | 406.03 | 1,117.16 | 846.76 | 232.81 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Fixed Assets | 3,906.83 | 3,185.92 | 3,259 | 3,147.91 | 2,174.22 |
Total Non Current Assets | 4,189.32 | 3,691.11 | 3,341.03 | 3,211.81 | 3,664.90 |
Total Current Assets | 1,840.98 | 2,145.66 | 2,261.03 | 1,274.71 | 442.64 |
TOTAL ASSETS | 6,030.30 | 5,836.77 | 5,602.06 | 4,486.52 | 4,107.54 |
Total Shareholder's Fund | 1,700.58 | 1,858.46 | 1,705.04 | -349.49 | 1,912.52 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Net Cash from Operating Activities | -244.93 | 355.43 | 900.95 | 1,076.39 | 166.06 |
Net Cash used in Investing Activities | -524.01 | -217.21 | 108.18 | 2,151.59 | -437.67 |
Net Cash used in Financing Activities | 382.40 | -26.99 | -312.87 | -3,016.66 | 298.11 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Total Revenue | 1,697.29 | 2,222.42 | 2,044.81 | 1,294.55 | 1,267.16 |
Total Expenses | 1,853.46 | 2,005.93 | 1,611.18 | 1,238.98 | 1,128.17 |
Profit Before Tax | -156.17 | 166.69 | 433.63 | 39.89 | 138.99 |
Profit After Tax | -103.87 | 145.57 | 379.48 | 43.63 | 98.74 |
Operating Profit after Depreciation | -123.47 | 239.13 | 569.38 | 309.24 | 234.41 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Fixed Assets | 2,929.31 | 2,199.90 | 2,232.71 | 2,103.04 | 2,174.75 |
Total Non Current Assets | 4,722.71 | 4,214.10 | 3,857.26 | 3,708.34 | 3,763.59 |
Total Current Assets | 1,107.55 | 1,280.11 | 1,096.52 | 575.57 | 442.64 |
TOTAL ASSETS | 5,830.26 | 5,494.21 | 4,953.78 | 4,283.91 | 4,206.23 |
Total Shareholder's Fund | 3,840.26 | 3,943.72 | 3,797.24 | 2,020.68 | 1,976.72 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Net Cash from Operating Activities | -97.98 | 270.59 | 429.97 | 411.08 | 166.06 |
Net Cash used in Investing Activities | -537.18 | -286.25 | -50.83 | -79.58 | -437.67 |
Net Cash used in Financing Activities | 405.64 | 170.64 | -95.89 | -332.84 | 298.11 |
Particulars (in ₹ Cr.) | 2024-09 | 2024-06 | 2024-03 | 2023-12 | 2023-09 |
---|---|---|---|---|---|
Total Revenue | 992.75 | 1,144.89 | 1,050.72 | 888.10 | 987.75 |
Total Expenses | 966.95 | 1,020.80 | 1,029.74 | 894.67 | 941.80 |
Profit Before Tax | -65.44 | 32.23 | -63.32 | -78.34 | 9.25 |
Profit After Tax | -31.26 | 23.89 | -31.13 | -89.38 | 26.05 |
Operating Profit after Depreciation | 36.65 | 135.59 | 33.60 | 6.08 | 83.18 |
Particulars (in ₹ Cr.) | 2024-09 | 2024-06 | 2024-03 | 2023-12 | 2023-09 |
---|---|---|---|---|---|
Total Revenue | 516.25 | 559.82 | 516 | 439.11 | 350.62 |
Total Expenses | 502.16 | 514.97 | 532.31 | 449.07 | 358.70 |
Profit Before Tax | -34.29 | -3.85 | -58.81 | -43.35 | -10.44 |
Profit After Tax | -7.87 | -2.74 | -29.71 | -59.91 | 13.73 |
Operating Profit after Depreciation | 18.92 | 49.05 | -11.25 | -5.78 | 17.72 |
Company | Price | Market Cap (in ₹ Cr) |
---|---|---|
Chemplast Sanmar Ltd | ₹470 | ₹7,431.15 |
Pidilite Industries Ltd | ₹2,888.30 | ₹1,46,912.24 |
SRF Ltd | ₹2,829.75 | ₹83,880.81 |
Linde India Ltd | ₹6,198.25 | ₹52,858.68 |
Gujarat Fluorochemicals Ltd | ₹3,591.60 | ₹39,453.73 |
Deepak Nitrite Ltd | ₹2,274.40 | ₹31,021.23 |
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