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Poddar Pigments Limited PODDARMENT NSEINFRA

Basic Materials · Specialty Chemicals · India
https://poddarpigmentsltd.com

Poddar Pigments Limited manufactures and sells color and additive masterbatches for dope dyeing of man-made fibers and various plastic applications primarily in India. The company offers manmade fiber products, such as polyester, polypropylene, and nylon products; masterbatches for plastic applications, including monolayer and multilayer films, injection/blow mouldings, BoPP/CPP films, sheet extrusions, cables, PET preforms and bottles, containers, drums, bottles, toys, stationery, luggage, furniture, home appliances and essentials, caps and closures, PP-R plumbing pipes, PLB ducts, and corrugated pipes, PC sheets, shade net, tapes, artificial grass, JFT, HFFR cables, optical fibre cables, and non woven fabrics for application in the medical, personal care and hygiene, home furnishing, agriculture, liners, and packaging industries; additive and smart masterbatches, such as waxes, silicones, silicates, and fatty acid amides; antimicrobial, flame retardant, hydrophilic and hydrophobic agents, anti scratch, easy dyeable polyester, and anti-block; and engineering plastics and compounds. It also exports its products. The company was incorporated in 1991 and is headquartered in Chennai, India.

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₹252.30
-16.17% 1Y

Market & Price

Market Cap
₹267.69 Cr
Current Price
₹252.30
High / Low (52W)
₹321.87 / ₹202.90
Beta
-0.04

Valuation

Stock P/E
18.15
Industry PE
23.81
Forward P/E
-
PEG Ratio
-
Book Value
₹345.92
Price to Book
0.73
P/S
0.74
EV/EBITDA
8.22
Dividend Yield
1.59%

Profitability & Returns

ROCE
5.82%
ROE
-
ROA
-
Profit Margin
4.19%
Op Margin
4.33%
EPS (Latest Qtr)
₹4.47
EPS (TTM)
₹13.90

Balance Sheet & Liquidity

Debt/Equity
-
Quick Ratio
-
Current Ratio
-
Debt
₹0
Total Assets
₹411.99 Cr
Current Assets
₹189.87 Cr
Working Capital
₹141.84 Cr

Ownership

Promoter Holding
76.80%
Chg in Prom Hold
-
FII / Inst Holding
0.00%
Chg in FII Hold
-

Financial Snapshot

Enterprise Value
₹218.60 Cr
Total Revenue (TTM)
₹361.58 Cr
EBITDA
₹26.60 Cr
Free Cash Flow
-
Operating Cash Flow
-
Shares Outstanding
₹1.06 Cr
Gross Margin
30.65%
Payout Ratio
28.76%

Growth (CAGR)

Revenue 5Y
3.59%
Profit 5Y
-18.58%
Revenue (YoY)
1.50%
Earnings (YoY)
-54.60%

PROS

No notable strengths flagged.

CONS

  • Earnings shrank at -18.6% CAGR over 5 years.
  • In a downtrend (50-DMA below 200-DMA).

* The pros and cons are auto-generated from financial metrics.

Price Chart

NSE TradingView Screener.in

Fundamental Growth

Figures from the latest reported periods. CAGR is computed across the displayed window (quarterly CAGR is annualised assuming 4 quarters per year).

Peer comparison

Peer companies in the same sector (Basic Materials).

#NameCMP ₹P/E Mkt CapDiv Yld % ROCE %ROE % Rev CAGR 5Y %Profit CAGR 5Y %
1 PODDARMENT Poddar Pigments Limited NSEINFRA 252.30 18.15 ₹267.69 Cr 1.59% 5.82% - 3.59% -18.58%
2 ULTRACEMCO UltraTech Cement Limited NIFTY50NSEINFRA 11,482.00 41.32 ₹3.38 L Cr 0.67% 11.90% 10.59% 12.40% 17.26%
3 JSWSTEEL JSW Steel Limited NIFTY50NSEAIINFRA 1,278.00 14.01 ₹3.12 L Cr 0.56% 19.15% 27.26% 3.61% 75.28%
4 HINDZINC Hindustan Zinc Limited NSEINFRA 632.95 19.34 ₹2.67 L Cr 3.32% 62.35% 76.94% 5.61% 9.58%
5 TATASTEEL Tata Steel Limited NIFTY50NSEAIINFRA 208.02 28.34 ₹2.59 L Cr 1.92% 11.32% 11.16% -1.59% 7.21%
6 HINDALCO Hindalco Industries Limited NIFTY50NSEAIINFRA 1,126.70 18.73 ₹2.52 L Cr 0.44% 9.50% 10.29% 7.40% 9.87%
7 GRASIM Grasim Industries Limited NIFTY50NSEINFRA 3,122.40 42.74 ₹2.12 L Cr 0.32% 4.00% 6.29% 14.63% -10.06%
8 SOLARINDS Solar Industries India Limited NSEINFRA 18,247.00 98.04 ₹1.65 L Cr 0.06% 29.51% 31.33% 13.27% 30.36%
9 PIDILITIND Pidilite Industries Limited NSEINFRA 1,482.80 61.73 ₹1.51 L Cr 0.67% 28.48% 23.52% 7.50% 24.36%
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Quarterly Results

Figures in INR.

Metric Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Revenue -90.39 Cr87.17 Cr91.26 Cr91.41 Cr91.74 Cr100.45 Cr
Cost of Revenue -62.73 Cr59.87 Cr62.78 Cr62.14 Cr62.95 Cr68.58 Cr
Gross Profit -27.67 Cr27.30 Cr28.48 Cr29.27 Cr28.79 Cr31.88 Cr
Operating Expenses -22.41 Cr22.23 Cr24.16 Cr25.04 Cr24.82 Cr30.05 Cr
Operating Income -5.26 Cr5.08 Cr4.32 Cr4.23 Cr3.97 Cr1.82 Cr
EBITDA -8.67 Cr8.42 Cr8.68 Cr7.45 Cr6.55 Cr7.88 Cr
Interest Expense -7.15 L32.59 L19.33 L12.18 L15.50 L67.64 L
Pretax Income -6.70 Cr6.15 Cr6.20 Cr5.03 Cr4.06 Cr4.76 Cr
Tax Provision -1.75 Cr1.01 Cr2.03 Cr1.44 Cr1.80 Cr1.15 L
Net Income -4.95 Cr5.14 Cr4.17 Cr3.60 Cr2.25 Cr4.74 Cr
Diluted EPS 4.824.674.853.933.392.124.47

Profit & Loss (Annual)

Figures in INR.

Metric Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue -337.22 Cr366.37 Cr368.50 Cr374.86 Cr
Cost of Revenue -246.49 Cr267.61 Cr253.49 Cr256.44 Cr
Gross Profit -90.73 Cr98.75 Cr115.01 Cr118.42 Cr
Operating Expenses -58.61 Cr64.93 Cr91.06 Cr104.07 Cr
Operating Income -32.13 Cr33.82 Cr23.95 Cr14.35 Cr
EBITDA -43.22 Cr45.70 Cr38.87 Cr30.57 Cr
Interest Expense -12.56 L12.12 L56.93 L1.15 Cr
Pretax Income -36.89 Cr38.86 Cr30.35 Cr20.04 Cr
Tax Provision -9.55 Cr10.04 Cr7.53 Cr5.28 Cr
Net Income -27.34 Cr28.82 Cr22.82 Cr14.76 Cr
Diluted EPS 20.0325.7727.1621.51-

Compounded Sales Growth

5 Years:3.59%
1 Year:1.50%

Compounded Profit Growth

5 Years:-18.58%
1 Year:-54.60%

Stock Price Performance

1 Year:-16.17%
6 Months:-4.95%
3 Months:+3.99%
1 Month:-6.03%

Balance Sheet (Annual)

Figures in INR.

Metric Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Total Assets -331.61 Cr388.49 Cr413.57 Cr411.99 Cr
Current Assets -167.60 Cr176.51 Cr186.35 Cr189.87 Cr
Cash & Equivalents -9.47 Cr6.40 Cr85.15 L3.49 Cr
Inventory -62.41 Cr57.32 Cr65.62 Cr67.98 Cr
Receivables -53.35 Cr67.85 Cr64.79 Cr86.65 Cr
Total Liabilities -37.90 Cr40.09 Cr50.16 Cr61.37 Cr
Current Liabilities -31.97 Cr27.94 Cr36.30 Cr48.02 Cr
Long Term Debt -----
Total Debt --012.24 Cr6.11 Cr
Total Equity -293.71 Cr348.40 Cr363.41 Cr350.62 Cr
Shares Outstanding -1.06 Cr1.06 Cr1.06 Cr1.06 Cr

Cash Flows (Annual)

Figures in INR.

Metric Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Operating Cash Flow -15.55 Cr21.26 Cr12.22 Cr55.17 Cr
Investing Cash Flow --47.40 L-24.08 Cr-25.19 Cr-41.01 Cr
Financing Cash Flow --6.64 Cr-24.73 L7.42 Cr-11.52 Cr
Capital Expenditure --4.04 Cr-26.24 Cr-24.27 Cr-32.76 Cr
Free Cash Flow -11.51 Cr-4.98 Cr-12.05 Cr22.40 Cr
Net Change in Cash -8.43 Cr-3.07 Cr-5.55 Cr2.64 Cr

Ratios (Annual)

Figures in %.

Metric Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Gross Margin % -26.9%27.0%31.2%31.6%
Operating Margin % -9.5%9.2%6.5%3.8%
Net Margin % -8.1%7.9%6.2%3.9%
ROE % -9.3%8.3%6.3%4.2%
ROCE % -10.7%9.4%6.3%3.9%

Shareholding Pattern

Insiders
76.80%
Institutions
0.00%
Public Float
0.00%

Analyst View

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