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Overview

Detailed Summary
  • Key insightKey insight

    Kemistar Corporation Ltd is primarily engaged in the manufacturing, import, export, and trade of chemicals, dyes, pigments, pesticides, intermediaries, and specialty chemicals.

  • Key insightKey insight

    The company has achieved significant growth since its inception in 1994 and has a strong presence in various regions of India with over 200 dealers and distributors.

  • Key insightKey insight

    Through its subsidiary, the company maintains 84 registered pesticide licenses, which are rare and valuable for market penetration and profitability.

  • Key insightKey insight

    Kemistar operates through three key verticals: Specialty Chemicals, Agrochemicals, and Chemical Intermediaries, and is actively working on expanding its production capabilities.

  • Key insightKey insight

    It has expanded its export market reach to various international destinations including the USA, Brazil, and Japan, showcasing potential for global market penetration.

Sector

Chemicals & Petrochemicals

Industry

Specialty Chemicals

Market Cap

70 Cr

Volatility

Low Risk

P/E Ratio

165.9

Industry P/E

43.0

PEG Ratio

12.6

P/B Ratio

3.8

52W High

108.99

52W Low

55.80

Financial Ratios

Sales CAGR

1Y
63.87%
3Y
-22.07%
5Y
-7.12%
10Y
13.88%

Profit CAGR

1Y
13.21%
3Y
-20.90%
5Y
-7.48%
10Y
23.64%

ROE

TTM
2.50%
3Y
1.20%
5Y
1.26%
10Y
1.23%

ROCE

TTM
2.43%
3Y
1.75%
5Y
1.77%
10Y
1.71%

Financial Statements

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Consolidated Quarterly Results (in ₹ Crores)

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Total Figures
QoQ Changes
Total Figures
Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales3.071.724.193.623.773.737.032.858.585.48
Expenses2.791.493.573.283.384.196.752.608.395.23
Operating Profit0.280.230.620.340.39-0.460.280.250.190.25
OPM %9.1213.3714.809.3910.34-12.333.988.772.214.56
Other Income0.040.020.010.030.020.480.250.010.020.01
Interest0.070.080.100.140.15-0.160.040.090.100.16
Depreciation0.100.010.190.090.120.100.090.060.100.08
Profit Before Tax0.150.160.340.130.140.070.400.110.010.01
Tax %13.3312.5044.120.007.1428.5727.500.000.000.00
Net Profit0.130.140.190.130.130.060.290.110.010.01
EPS in Rs0.120.130.180.120.120.050.270.100.010.01

Consolidated Profit Loss (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales1014142118111817
Expenses9.62141319179.731817
Operating Profit0.450.320.931.661.481.340.540.46
OPM %4.492.306.657.948.1312.122.982.65
Other Income0.190.340.070.050.170.080.770.76
Interest0.19-0.010.120.140.040.300.170.12
Depreciation0.090.090.300.490.460.390.400.37
Profit Before Tax0.370.580.581.081.140.720.740.72
Tax %25.7126.0523.9022.3626.5426.6118.8618.06
Net Profit0.270.430.440.840.840.530.600.59
EPS in Rs0.310.460.300.770.760.500.560.39
Dividend Payout %0.000.000.0051.2851.2820.4153.57

Consolidated Balance Sheet (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital11111111111111
Reserves4.284.715.156.036.777.207.68
Borrowings2.052.172.303.122.796.928.10
Other Liabilities3.234.485.515.013.813.802.43
Total Liabilities20222425242929
Fixed Assets12141515141414
CWIP0.170.170.000.002.256.378.28
Investments3.341.201.141.241.411.170.45
Other Assets4.866.517.368.836.016.956.03
Total Assets20222425242929

Consolidated Cash Flows (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity-0.790.191.00-0.042.970.600.23
Cash from Investing Activity-11-0.24-1.16-0.10-2.50-4.15-1.23
Cash from Financing Activity120.090.180.18-0.463.570.87
Net Cash Flow-0.140.050.010.050.010.02-0.13

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