Q.1
Revenue growth of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd revenue growth is 10.8% for FY-2025 , which is below its 5 year CAGR of 28.2% , indicating slower growth.
Q.2
Gross Profit margin of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Gross profit margin which is the profit after deduction of direct costs, is 0.7% for FY-2025 , which is below its 5 year median of 8% , indicating decreasing margins.
Q.3
Operating Profit Margin of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Operating Profit Margin which is the profit after deduction of all operating costs, is 5.76% for FY-2025 , which is below its 5 year median of 10.54% indicating decreasing margins.
Q.4
Net Profit Margin of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Net Profit Margin is -2.54% for FY-2025 , is below with its 5 year median of 3.08%, indicating decreasing margins.
|
Current Level |
Historic Median |
|
Gross Profit Margin |
0.7 |
8 |
|
Operating Profit Margin |
5.76 |
10.54 |
|
Net Profit Margin |
-2.54 |
3.08 |
Q.5
Return on Asset of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Return on Asset is -1.76%, which is below its 5 year historical median of 2.66%, indicating deteriorated asset utilization efficiency.
Q.6
Return on Equity (ROE) of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Return on equity is -82.9% for FY-2025 , which is below its historical median of 0%, indicating the business is making worse use of its shareholders capital.
Q.7
Return on capital employed (ROCE) of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Return on capital employed is 3.59% for FY-2025 , which is below its estimated weighted average cost of capital(WACC) 13.5%, indicating value preservation.
Q.8
Cash conversion cycle of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Cash conversion cycle is -78 days, above its historical median of -93 days, indicating deteriorated working capital management. However, you need to compare this with its peers in the industry.
|
Current Level |
Historic Median |
|
Asset Turnover |
0.69 |
0.86 |
|
ROE |
-82.9 |
- |
|
ROCE |
3.59 |
28.51 |
|
Cash Conversion Cycle |
-78 days |
-93 days |
Q.9
Debt to Equity ratio of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Debt-to-Equity ratio is 16.93 , which is above with the industry average of 0.13 , indicating higher debt levels in the industry.
Q.10
Debt to cash flow from operations of Chemplast Sanmar Ltd?
Chemplast Sanmar Ltd Debt to cash flow from operations is 10.92 , which is at a unhealthy level.