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Fundamental Analysis of Chemplast Sanmar (CHEMPLASTS)

Summary    Balance Sheet    Cash Flow    Income    Qtrly Income    Valuation Ratio    Profitability Ratios    Solvency    Efficiency Ratios    

Guru Numbers
Book Value/Share114.76
EV/EBITDA8.22
Market Cap (Cr)6571.84
Enterprise Value (Cr)6371.13
Piotroski F-Score8.00
Altman Z Score3.17
Graham No328.40
Price/ Graham 1.27
Peter Lynch Ratio6.86
Sloan Ratio-0.064
Peter Lynch Fair value1044.12
Price/ Peter Lynch FV0.398
TSR Fair value846.73
Key Financial ratios of CHEMPLASTS
Ratio Latest FY Yoy Change TTM MRQ Screener/
About
Price to Earning    15.23 0 % 9.95    
Price to Book    5.80 0 % 6.24 3.85    
Price to Sales    1.79 0 % 1.04    
Earning Per Share    43.66 68.27 % 41.76 2.57    
Return On Equity    38.04 0 % 62.72 2.38    
Return On Asset    11.58 26.64 % 12.64 0.725    
Net Profit Margin    11.02 1.89 % 10.42 2.88    
Operating Profit Margin    18.01 -23.11 % 17.24 10.88    
EBITDA Margin    21.31 -23.30 % 19.22 9.17    
Debt to Equity Ratio    0.469 107.76 % 0.469    
Current Ratio    1.00 56.97 % 1.00    
Quick Ratio    0.686 57.95 % 0.686    
View Historitcal ratios of Chemplast Sanmar Ltd.
Valuation Ratios   Profitability Ratio   Solvency Ratios   Efficiency Ratios
Screen Financial Ratio using Custom Screener
Terrific View
Tsr Value Index - Excellent Score of 84.72
Tsr Growth Index - Good Score of 78.82
Piotroski F Score - Excellent Value of 8.0
Altman Z Score of 3.17 suggests good Stability
Undervalued - Price to Intrinsic Value of 0.491
Price to Earning Ratio is 9.95 and EV to EBITDA is 5.08 suggesting company is undervalued.
Earning Yield of 10.50 %
Paid More Than 50% of Debt, Heading towards debt free
STRONG JUMP IN NET SALE : YoY growth
Strong Return On Capital Employedof 25.22
Company Earning excess return
During the past twelve months, the company has given a strong Return On Equity of 62.72%
Steady View
Annual sales of the company is increased for three years in a row
Annual Net Profit in last 3 years is trending up
Steady increase in Total Assets for last 3 Years
EBITDA is continuously increasing for last 3 Years
Good Net Margin of 10.42% is achieved by the company
Risky View
Stock Returns < -26.85 % Than Nifty in last one year
Very Low Dividend Yield of 0 %
EPS decline for last four quarters
Terrific Steady Risky Stock View - Fundamental Snapshot
Share Overview
Promoter Owned55.00 %
Institution Owned35.50 %
Public/Others9.50 %
Outstanding Shares15.81 Cr
Floating Shares7.12 Cr
Floating / Outstanding45.01%
Book Value/Share114.76
Face value5.00
Share Holding
Annual Key Income Statement of CHEMPLASTS
Period 31_Mar_2022 31_Mar_2021 Growth
Net Income From Continuing Ops 648.65 410.24 58.11 %
Net Income 648.65 410.24 58.11 %
Operating Income 1059.67 888.13 19.31 %
Total Revenue 5885.27 3792.60 55.18 %
Operating Expense 4825.60 419.03 1051.61 %
Interest Expense 239.38 375.64 36.27 %
Tax Expense 146.90 136.95 7.27 %
Income Before tax 795.55 547.19 45.39 %
Gross Profit 2171.68 1307.16 66.14 %
Dividend Paid 0 0 %
   
Quarterly Key Income Statement of CHEMPLASTS
Period 30_Jun_2022 31_Mar_2022 Growth
Net Income From Continuing Ops 40.59 231.63 82.48 %
Net Income 40.59 231.63 82.48 %
Operating Income 153.59 306.24 49.85 %
Total Revenue 1411.30 1804.66 21.80 %
Operating Expense 1257.71 1498.42 16.06 %
Interest Expense 36.19 34.89 3.73 %
Tax Expense 12.06 48.47 75.12 %
Income Before tax 52.65 280.10 81.20 %
Gross Profit 507.22 599.21 15.35 %
Dividend Paid 0 0 %
   
Key Balance Sheet Fields
Period 31_Mar_2022 31-Mar-21 Growth
Common Stock 79.06 101.36 22.00 %
Current Liabilities 2253.55 1998.22 12.78 %
Total Liabilities 3895.99 4835.86 19.44 %
Current Assets 2256.60 1274.71 77.03 %
Total Assets 5601.03 4486.09 24.85 %
Working capital 3.05 -723.51 100.42 %
Accounts Payable 1878.31 1656.15 13.41 %
Inventory 711.04 407.09 74.66 %
Net Receivable 274.36 162.81 68.52 %
   
Key Cash Flow Fields
Period 31_Mar_2022 31_Mar_2021 Growth
Cash EPS 49.70 34.23 45.19 %
Cash From Investment Activity 108.18 2151.59 94.97 %
Cash From Financial Activity -312.87 -3016.66 89.63 %
Cash Operational Activity 900.96 1076.39 16.30 %
Net Cash Flow 696.27 211.32 229.49 %
NetIncome 648.65 410.24 58.11 %
Capital Expenditure 112.47 55.39 103.05 %
Change To Inventory -303.95 -87.24 248.41 %
   



   About Chemplast Sanmar Limited
Chemplast Sanmar Limited manufactures and markets specialty chemicals in India. The company offers specialty paste PVC resins; custom manufactured chemicals, such as organic chemicals, and phyto chemicals comprising colchicine and thiocolchicoside; chlorochemicals, such as caustic chlor, solvents, and refrigerant gas; industrial salt; and hydrogen peroxide. It offers specialty paste PVC resins and custom manufactured chemicals for agro-chemical, pharmaceutical, and fine chemicals sectors. The company was formerly known as Chemicals and Plastics India Limited and changed its name to Chemplast Sanmar Limited in September 1995. The company was founded in 1967 and is based in Chennai, India. Chemplast Sanmar Limited is a subsidiary of Sanmar Holdings Limited.

Address : 9, Cathedral Road, Chennai, India, 600086

URL : https://www.chemplastsanmar.com

Employee Count : 1074

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