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PET PLASTICS LTD. Share Price

BSE: 524046
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Plastic Products
₹ 0.00
-₹123.50 (--%)
1D
Last updated 01 Jan, 1970, 17:30 IST

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PET PLASTICS LTD. Returns Calculator

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₹123.50

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₹18.55
₹185.25
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PET PLASTICS LTD. Shareholder Returns

Mkt Cap Cr
6.18

P/E
-0.43

P/B
16.25

ROE
-1,718.22%

D/E
19.26

ROCE
-76.99%

Div. Yield
0.00%

EPS(TTM)
-279.40
Turnover
3.05

EV/EBITDA
0.00

Net Margin
0.00%

Op. Margin
0.00%

ROA
-134.82%

Quick Ratio
0.00

Curr. Ratio
3.51
Based on fundamentals, this stock's
Step 1 of 5
Valuation
Overvalued
Pet Plastics appears overvalued compared to its peers
Step 3 of 5
Earnings
Neutral
Pet Plastics earnings growth is positive
Peer Comparison
Peer comparison — key ratios
NameMkt Cap CrP/EP/BROED/EROCEBook ValueDiv. YieldTurnoverEPS(TTM)
Supreme Industries41,584.8050.077.7416.13%0.0221.03%8.760.96%1.9871.74
Astral36,658.7068.579.0413.18%0.0218.44%152.830.18%1.3822.74
SHAILY ENG PLASTICS LTD13,528.6079.6218.8823.71%0.2726.67%141.200.10%1.2935.10
Finolex Industries10,939.0018.271.769.64%0.0712.34%97.951.55%0.659.39
Time Technoplast9,063.1519.012.2211.46%0.2314.89%57.550.82%0.924.65
Safari Industries8,041.1547.937.2115.05%0.1118.27%207.980.12%1.8525.49
Kingfa Science & Technology India6,910.1237.304.9413.24%0.0117.92%1,032.600.00%1.41144.10
Responsive Industries5,385.4936.273.459.52%0.2010.27%36.190.05%0.500.53
VIP Industries4,460.43-13.2015.41-143.52%3.36-33.64%14.690.00%3.82-24.14
Prince Pipes Fittings3,101.7942.381.894.45%0.096.11%148.740.36%1.486.80

PET PLASTICS LTD. Financials

Full statement

Income Statement · Consolidated

Income Statement · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue₹4.30₹7.96₹6.22₹6.78
Other Income₹0.53₹0.76₹0.45₹0.25
Total Revenue₹4.83₹8.72₹6.66₹7.03
Total Expenses₹4.63₹8.54₹6.76₹7.28
Profit Before Tax₹0.16₹0.13-₹0.10-₹0.24
Tax₹0.07₹0.03₹0.00₹0.00
Profit After Tax₹0.09₹0.10-₹0.10-₹0.24
EPS - Basic₹1.89₹1.92-₹1.97-₹4.90
EPS - Diluted₹1.89₹1.92-₹1.97-₹4.90

Cash Flow · Consolidated

Cash Flow · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Profit before tax₹0.16₹0.13-₹0.10-₹0.24
Income before WC changes-₹0.26-₹0.40-₹0.51-₹0.49
Change in Assets₹2.30₹1.09-₹4.92₹5.47
Change in Liabilities-₹1.59-₹1.66₹5.01-₹5.23
Change in WC₹0.71-₹0.57₹0.09₹0.24
Cash flow from Operations₹0.39-₹1.00-₹0.43-₹0.25
Cash flow from Investing₹0.04₹0.04₹0.03₹0.04
Cash flow from Financing₹0.09₹0.93₹0.40₹0.31
Total Cash Flow₹0.52-₹0.03₹0.00₹0.10
Cash (Start of the year)₹0.14₹0.17₹0.16₹0.06
Cash (End of the year)₹0.66₹0.14₹0.17₹0.16

Balance Sheet · Consolidated

Balance Sheet · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹1.35₹1.39₹1.46₹1.49
Current Assets₹15.29₹17.07₹18.19₹13.54
Total Assets₹16.64₹18.46₹19.65₹15.03
Current Liabilities₹2.36₹3.96₹5.62₹0.89
Net Current Asset₹12.93₹13.11₹12.57₹12.66
Non-Current Liabilities₹0.10₹0.43₹0.05₹0.07
Equity Capital₹14.17₹14.07₹13.98₹14.08
Total Equity & Liabilities₹16.64₹18.46₹19.65₹15.03

Income Statement · Standalone

Income Statement · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue₹4.30₹7.96₹6.22₹6.78
Other Income₹0.53₹0.76₹0.45₹0.25
Total Revenue₹4.83₹8.72₹6.66₹7.03
Total Expenses₹4.63₹8.54₹6.73₹7.21
Profit Before Tax₹0.20₹0.18-₹0.07-₹0.18
Tax₹0.06₹0.05₹0.00₹0.00
Profit After Tax₹0.15₹0.13-₹0.07-₹0.18
EPS - Basic₹2.91₹2.66-₹1.40-₹3.54
EPS - Diluted₹2.91₹2.66-₹1.40-₹3.54

Cash Flow · Standalone

Cash Flow · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Profit before tax₹0.20₹0.18-₹0.07-₹0.18
Income before WC changes-₹0.21-₹0.35-₹0.49-₹0.42
Change in Assets₹2.30₹1.09-₹4.92₹5.47
Change in Liabilities-₹1.61-₹1.65₹5.01-₹5.23
Change in WC₹0.70-₹0.56₹0.09₹0.24
Cash flow from Operations₹0.43-₹0.95-₹0.40-₹0.19
Cash flow from Investing₹0.00-₹0.01₹0.00-₹0.02
Cash flow from Financing₹0.09₹0.93₹0.40₹0.31
Total Cash Flow₹0.52-₹0.03₹0.00₹0.10
Cash (Start of the year)₹0.14₹0.17₹0.16₹0.06
Cash (End of the year)₹0.66₹0.14₹0.17₹0.16

Balance Sheet · Standalone

Balance Sheet · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹1.53₹1.53₹1.55₹1.56
Current Assets₹15.29₹17.07₹18.19₹13.54
Total Assets₹16.82₹18.60₹19.75₹15.10
Current Liabilities₹2.36₹3.97₹5.62₹0.89
Net Current Asset₹12.93₹13.10₹12.57₹12.66
Non-Current Liabilities₹0.10₹0.43₹0.05₹0.07
Equity Capital₹14.35₹14.21₹14.07₹14.14
Total Equity & Liabilities₹16.82₹18.60₹19.75₹15.10
* All values are in INR Crore
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About PET PLASTICS LTD.

PET PLASTICS LTD. logo
ISIN
INE704F01018
Sector Market Cap
₹ 6.18 Cr

PET PLASTICS LTD. Financial Highlights

  • Revenue: PET PLASTICS LTD. reported revenue of ₹24.22 crore in FY26 vs ₹4.83 crore in FY25. It showed an increase of 401.45% on a yearly basis.
  • Operating Profit: PET PLASTICS LTD. reported an operating loss of ₹14.58 crore in FY26 vs ₹0.16 crore in FY25. It showed a decrease of 9,212.50% on a year-on-year basis.
  • Net Profit: PET PLASTICS LTD. reported a net loss of ₹14.52 crore in FY26 vs ₹0.09 crore in FY25. It showed a decrease of 16,233.33% on a yearly basis.

PET PLASTICS LTD. Quarterly Result Highlights

  • PET PLASTICS LTD. reported revenue of ₹21.43 crore in Mar 2026, compared with ₹0.02 crore in Dec 2025, representing an increase of 1,07,050.00% on a quarter-on-quarter (QoQ) basis.
  • PET PLASTICS LTD. reported an operating loss of ₹12.01 crore in Mar 2026, compared with ₹1.35 crore in Dec 2025, representing a decrease of 789.63% on a quarter-on-quarter (QoQ) basis.
  • PET PLASTICS LTD. reported a loss of ₹11.96 crore in Mar 2026, compared with ₹1.35 crore in Dec 2025, reflecting a decrease of 785.93% on a QoQ basis.
  • The earnings per share (EPS) of PET PLASTICS LTD. stood at ₹1.89 during Mar 2026.
Know more
Promoters
63.18%
FII
0.00%
Other DII
21.44%
Retail and other
15.38%
Mutual funds
0.00%
Foreign institutions - FII
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