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Mitsu Chem Plast Ltd. (Industry - Plastic Products)

113.4 5.60 (5.19%)

Market Cap
₹ 153.97 Cr.
P/E Ratio
12.79
Current Price
₹ 113.4
Open
₹ 109.7
High
₹ 115
Prev Close
₹ 107.8
Quantity Traded
31,683
52 High
₹ 122.85
52 Low
₹ 84.4
Dividend Yield
0.19%
EBITDA Margin
8.23%
ROE
11.80%
Book Value
₹ 77.05
Face Value
₹ 10

Shareholding

Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024
Promoters67.7767.7767.7767.7767.77
Mutual Funds UTI0.000.000.000.000.00
FII/Banks0.000.000.000.000.00
Others32.2332.2332.2332.2332.23

Quarterly Results

(All figures In ₹ Cr.)Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Trend 2024-25
Sales82.2780.1381.2280.4590.4785.2892.4286
Other Income0.280.260.240.060.040.130.140.09
Operating Profit7.795.084.985.578.265.136.029.76
Interest2.41.911.691.641.751.511.641.52
Depreciation1.61.661.721.751.761.841.831.8
Taxation0.960.410.430.71.210.480.671.61
Net Profit / Loss2.831.091.141.483.541.311.884.71

Annual Results

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Sales178.33257.72308.97311.25332.28
Other Income1.111.151.621.030.66
Operating Profit24.226.8226.9526.7123.88
Interest5.995.66.838.86.99
Depreciation4.424.825.286.026.89
Taxation4.114.913.033.032.76
Net Profit / Loss9.6911.511.88.867.25

Cash Flow

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Cash from Operating Activity13.176.6721.999.3515.16
Cash from Investing Activity-7.8-3.41-27.43-12.45-8.3
Cash from Financing Activity-5.37-1.863.43.09-6.92
Net Cash Flow01.4-2.03-0.01-0.05

Balance Sheet

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Share Capital12.0712.0712.0712.8313.58
Reserve27.5838.8450.3566.5583.4
Borrowings2,250.392,532.042,939.14,421.544,914.49
Other Liabilities12.0818.1815.619.2716.59
Total Liabilities71.9780.07101.7104.22109.06
Fixed Assets60.3162.372.1387.4890.73
CWIP0.690.229.860.570.7
Investments3.83.036.474.894.25
Other Assets1.222.654.12.724.13
Total Assets71.9780.07101.7104.22109.06

Financial Ratios

Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2018-25
Total Debt Mcap0.620.790.770.480.220.440.40.6
EPS Growth29.46-0.3-63.09143.7218.72.65-29.34-22.71
EV_EBITA56.948.917.9313.719.210.017.68
EBIT_Margin7.216.698.7811.18.547.016.655.11
PAT_Margin3.092.882.875.434.463.822.852.18
ROA5.544.263.828.228.367.194.73.68

Peer Companies

Company
Market Cap (₹Cr.)
CMP (₹)
% Change
52 Week H/L
Book Value (₹)
PE (x)
146.37
113.4
(5.19%)
122.85 / 84.4
77.05
12.57
47,522.66
3,738.75
(-0.06%)
4,647.5 / 3,114.15
410.05
63.84
40,345.88
1,504.5
(0.18%)
1,585.5 / 1,237.95
140.76
80.07
11,066.21
174.1
(-2.38%)
232.4 / 163.9
95.08
24.03
10,099.82
4,160.2
(-4.30%)
4,734.65 / 2,412.95
1,077.07
29.47
9,474.56
2,031.1
(-1.48%)
2,746.9 / 1,373.3
122.86
61.56
9,324.77
190.5
(0.85%)
243 / 154.38
55.57
21.11
5,986.53
4,470
(1.19%)
4,843 / 2,712.4
955.31
37.70
5,181.54
190
(-2.24%)
244.8 / 163.6
36.06
25.80
3,116.2
292.1
(-3.01%)
350.8 / 218.4
88.51
15.30

Broker Report

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