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KAIRA CAN CO.LTD. Share Price

BSE: 504840
|
Diversified
₹ 1,695.95
+₹62.20 (3.81%)
1D
Last updated 03 Jul, 2026, 15:49 IST

KAIRA CAN CO.LTD. Share Price Today

As of 5 Jul 2026, KAIRA CAN CO.LTD. share price is ₹1,695.95. The stock opened at ₹1,633.75, compared to its previous close of ₹1,633.75. During today's trading session, KAIRA CAN CO.LTD. share price moved in the range of ₹1,633.75 to ₹1,695.95, with an average price of ₹1,664.85 for the day. Looking at its last 52-week, the stock has touched a low of ₹1,120.00 and a high of ₹1,887.00.


₹1,633.75
3.81% up today
₹1,695.95
1D LOW
1D HIGH

KAIRA CAN CO.LTD. Returns Calculator

Open
₹1,633.75
High
₹1,695.95
Low
₹1,633.75
Prev. close
₹1,633.75

Circuit
L
H
₹1,611.20
₹1,780.70
52-week
L
H
₹1,120.00
₹1,887.00

KAIRA CAN CO.LTD. Shareholder Returns

KAIRA CAN CO.LTD. Share Price History

Mkt Cap Cr
28.74

P/E
14.37

P/B
1.67

ROE
12.47%

D/E
0.07

ROCE
19.62%

Div. Yield
0.73%

EPS(TTM)
19.43
Turnover
2.63

EV/EBITDA
5.95

Net Margin
0.00%

Op. Margin
0.00%

ROA
5.66%

Quick Ratio
0.00

Curr. Ratio
2.56
Based on fundamentals, this stock's
Step 5 of 5
Performance
Excellent
Kaira Can outperforming all market indices
Step 1 of 5
Valuation
Overvalued
Kaira Can appears overvalued compared to its peers
Step 3 of 5
Earnings
Neutral
Kaira Can earnings growth is positive
Peer Comparison
Peer comparison — key ratios
NameMkt Cap CrP/EP/BROED/EROCEBook ValueDiv. YieldTurnoverEPS(TTM)
INOX INDIA LIMITED17,277.7041.289.5225.90%0.0633.16%9.350.17%1.3527.81
Garware Hi-Tech Films16,115.8047.656.0712.73%0.0017.01%1,113.420.17%0.73144.08
EPL Limited7,395.6718.772.5913.61%0.4415.55%36.861.08%0.919.22
AGI Greenpac4,543.3712.921.8914.61%0.1019.33%372.171.00%0.9554.44
Xpro India3,533.35123.303.122.86%0.183.84%3.320.20%0.5913.20
Uflex3,102.579.790.383.90%1.266.33%467.430.70%1.3020.50
Polyplex Corporation3,110.0575.970.731.06%0.321.42%239.940.10%1.7418.86
TCPL Packaging2,707.8927.693.7713.61%0.8316.25%791.290.84%1.64106.79
Mold-Tek Packaging1,480.0235.785.2017.85%0.3121.97%207.650.28%1.1021.93
Cosmo First2,117.3013.571.319.65%1.2010.05%497.720.50%1.2341.15

KAIRA CAN CO.LTD. Financials

Full statement

Income Statement · Consolidated

Income Statement · Consolidated — all values in INR Crore
ParticularsMar 2012Mar 2011
Revenue₹108.82₹110.63
Other Income₹1.40₹1.32
Total Revenue₹110.22₹111.95
Total Expenses₹106.65₹108.43
Profit Before Tax₹3.57₹3.53
Tax₹1.54₹2.15
Profit After Tax₹2.04₹1.37
EPS - Basic₹22.08₹14.90
EPS - Diluted₹22.08₹14.90

Cash Flow · Consolidated

Cash Flow · Consolidated — all values in INR Crore
ParticularsMar 2012Mar 2011
Profit before tax₹3.57₹3.53
Income before WC changes₹5.98₹5.39
Change in Assets-₹0.23-₹0.02
Change in Liabilities₹2.56₹6.62
Change in WC₹2.33₹6.59
Cash flow from Operations₹6.73₹9.46
Cash flow from Investing-₹10.43-₹3.89
Cash flow from Financing₹0.80-₹1.96
Total Cash Flow-₹2.90₹3.60
Cash (Start of the year)₹4.92₹1.32
Cash (End of the year)₹2.02₹4.92

Balance Sheet · Consolidated

Balance Sheet · Consolidated — all values in INR Crore
ParticularsMar 2012Mar 2011
Non-Current Assets₹22.07₹13.30
Current Assets₹38.05₹40.74
Total Assets₹60.12₹54.05
Current Liabilities₹38.16₹36.95
Net Current Asset-₹0.12₹3.79
Non-Current Liabilities₹4.70₹1.61
Equity Capital₹17.25₹15.48
Total Equity & Liabilities₹60.12₹54.05

Income Statement · Standalone

Income Statement · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue₹232.15₹223.84₹253.87₹235.04
Other Income₹0.96₹1.16₹0.76₹0.46
Total Revenue₹233.11₹225.00₹254.63₹235.50
Total Expenses₹227.99₹219.74₹243.19₹220.86
Profit Before Tax₹5.12₹5.25₹11.44₹14.64
Tax₹1.28₹1.49₹3.40₹4.39
Profit After Tax₹3.84₹3.77₹8.04₹10.25
EPS - Basic₹41.69₹40.84₹87.19₹111.14
EPS - Diluted₹41.69₹40.84₹87.19₹111.14

Cash Flow · Standalone

Cash Flow · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Profit before tax₹5.12₹5.25₹11.44₹14.64
Income before WC changes₹8.11₹7.64₹15.86₹19.28
Change in Assets-₹6.48₹1.80₹6.18-₹9.50
Change in Liabilities-₹1.49-₹0.13₹0.20₹1.37
Change in WC-₹7.96₹1.67₹6.38-₹8.13
Cash flow from Operations-₹1.19₹8.09₹18.56₹6.53
Cash flow from Investing-₹12.99-₹6.82-₹5.46-₹5.30
Cash flow from Financing₹2.43-₹1.27-₹2.22-₹2.20
Total Cash Flow-₹11.76₹0.01₹10.88-₹0.97
Cash (Start of the year)₹15.25₹15.24₹4.36₹5.34
Cash (End of the year)₹3.49₹15.25₹15.24₹4.36

Balance Sheet · Standalone

Balance Sheet · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹51.77₹40.37₹36.21₹35.62
Current Assets₹70.05₹75.87₹77.12₹73.46
Total Assets₹121.82₹116.24₹113.33₹109.08
Current Liabilities₹30.53₹28.10₹28.07₹30.54
Net Current Asset₹39.52₹47.77₹49.05₹42.92
Non-Current Liabilities₹2.06₹1.38₹1.26₹1.44
Equity Capital₹89.22₹86.75₹84.00₹77.10
Total Equity & Liabilities₹121.82₹116.24₹113.33₹109.08
* All values are in INR Crore
Qty
Bid
0
0
0
0
0
0
0
0
0
0
Ask
Qty
0
0
0
0
0
0
0
0
0
0
Bid Total: 0
Ask Total: 0
Buy orders: 0%
Sell orders: 0%
Bearish
3
Neutral
4
Bullish
1
Slightly Bearish
by SEBI experts
Expert Pick
EXPPICK
Stop-loss
Entry price
Target
Indicator
Value
Verdict

RSI (14)
66.19
Neutral

ATR (14)
47.83
Neutral

STOCH(9,6)
97.19
Bearish

STOCH RSI (14)
53.51
Neutral

ADX(9)
44.89
Bearish

UO(9)
64.46
Neutral

ROC(12)
11.95
Bullish

WillR(14)
-1.69
Bearish
Period
Simple value
Exponential vaue

5D
1623.14
1638.71

10D
1621.15
1607.31

20D
1522.81
1547.53

50D
1401.33
1458.25

100D
1396.87
1439.89

About KAIRA CAN CO.LTD.

KAIRA CAN CO.LTD. logo
ISIN
INE375D01012
Sector Market Cap
₹ 28.74 Cr

Kaira Can Company Limited is an India-based manufacturer of metal containers. The Company is engaged in the manufacture of open-top sanitary (OTS) cans, lithographed and plain metal containers, and paint containers. The Company is also engaged in the business of manufacturing ice cream cones. The Company operates through two segments: Tin Containers, and Ice Cream Cones. The Tin Containers segment manufactures open-top sanitary cans, general line metal containers and components for metal containers. The Ice Cream Cones segment manufactures rolled sugar cones for filling ice cream. It offers cans for dairy products, processed foods, sweets, general line cans, components, printed sheets, and sugar cones for ice cream. It manufactures a range of OTS and general-purpose cans for a variety of uses. These cans are supplied to dairies, processed food manufacturers, aerosol companies, protein powder packers, and many export-oriented units. It is an exporter of metal cans and components.

KAIRA CAN CO.LTD. Financial Highlights

  • Revenue: KAIRA CAN CO.LTD. reported revenue of ₹110.38 crore in FY12 vs ₹112.08 crore in FY11. It showed a decrease of 1.52% on a yearly basis.
  • Operating Profit: KAIRA CAN CO.LTD. reported an operating profit of ₹3.57 crore in FY12 vs ₹3.52 crore in FY11. It showed an increase of 1.42% on a year-on-year basis.
  • Net Profit: KAIRA CAN CO.LTD. reported a net profit of ₹2.04 crore in FY12 vs ₹1.37 crore in FY11. It showed an increase of 48.91% on a yearly basis.
Know more
Promoters
44.81%
FII
0.00%
Other DII
0.00%
Retail and other
55.19%
Mutual funds
0.00%
Foreign institutions - FII
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