SEBI Reg. Investment Advisor

Download App

MoneyWorks4Me

Check Before You Invest : TCPL Packaging Ltd

BSE: 523301 NSE: TCPLPACK ISIN: INE822C01015
  |   Sector:  FMCG   |   Industry:  Packaging

Snapshot

Q.1 Which industry/sub-sector does TCPL Packaging Ltd belong to?
TCPL Packaging Ltd belongs to the FMCG sector, operating specifically within the Packaging segment.
Q.2 Is TCPL Packaging Ltd a good quality company?
TCPL Packaging Ltd is a average quality company, based on a somewhat consistent 5-year financial track record.
Q.3 Is TCPL Packaging Ltd undervalued or overvalued?
TCPL Packaging Ltd appears Somewhat overvalued, as its key valuation ratios are above with their past averages.
Q.4 Is TCPL Packaging Ltd a good buy now?
TCPL Packaging Ltd is a neutral opportunity now, based on stable price trend analysis suggesting prices may move sideways. However, you need to check its quality and valuation before making a decision

Performance Analysis

Q.1 Return on capital employed (ROCE) of TCPL Packaging Ltd?
TCPL Packaging Ltd Return on capital employed is 20.67% for FY-2025, which is above its 5-year historical median of 19.62%. The current ROCE is above its estimated weighted average cost of capital (WACC) of 14%, indicating value creation.
Q.2 Return on Asset of TCPL Packaging Ltd?
TCPL Packaging Ltd Return on Asset is 9.48%, which is above its 5-year historical median of 7.6%, indicating improved asset utilization efficiency.
Q.3 Return on Equity (ROE) of TCPL Packaging Ltd?
TCPL Packaging Ltd Return on equity is 24.54% for FY-2025, which is above its 5-year historical median of 20.62%, indicating the business is making better use of its shareholders capital.
Q.4 Gross Profit margin of TCPL Packaging Ltd?
TCPL Packaging Ltd Gross profit margin which is the profit after deduction of direct costs, is 14.1% for FY-2025, which is above its 5-year median of 13.4%, indicating increasing margins.
Q.5 Operating Profit Margin of TCPL Packaging Ltd?
TCPL Packaging Ltd Operating Profit Margin which is the profit after deduction of all operating costs, is 17.07% for FY-2025, which is above its 5-year median of 16.06% indicating increasing margins.
Q.6 Net Profit Margin of TCPL Packaging Ltd?
TCPL Packaging Ltd Net Profit Margin is 8.08% for FY-2025, is above with its 5-year median of 6.45%, indicating increasing margins.
Current Level 5-year
Historic Median
Gross Profit Margin 14.1 13.4
Operating Profit Margin 17.07 16.06
Net Profit Margin 8.08 6.45
Q.7 Debt to Equity ratio of TCPL Packaging Ltd?
TCPL Packaging Ltd Debt-to-Equity ratio is 0.92, which is above with the industry average of 0.46, indicating higher debt levels in the industry.
Q.8 Debt to cash flow from operations of TCPL Packaging Ltd?
TCPL Packaging Ltd Debt to cash flow from operations is 4.44, which is at a unhealthy level.

Ownership & governance

Q.1 Promoter shareholding and pledge status of TCPL Packaging Ltd?
Promoters hold 55.74% of the TCPL Packaging Ltd, with 0.00% of their stake pledged, indicating no pledge risk.

Peer comparison (industry-wise, mcap)

Q.1 Revenue growth of TCPL Packaging Ltd vs industry peers?
TCPL Packaging Ltd revenue CAGR is 0.00%, compared to the industry median CAGR of 12.30%, indicating slower growth and losing its market share.
Profit Metrics
Current Level 5-year
Industry Median
Revenue Growth - 12.3
Gross Profit Growth 20.9 7.1
Operating Profit Growth 16.3 8.4
Net Profit Growth 44.4 6.9
Operating Efficiency
Current Level 5-year
Industry Median
Asset Turnover 1.17 1.4
ROE 24.54 12.7
ROCE 20.67 12
Cash Conversion Cycle (days) 78.27 68

Valuation & price assessment

Q.1 Stock return of TCPL Packaging Ltd over the last decade?
Over the last 9 year(s), the stock has delivered a CAGR of 17.6% based on the current price.
Q.2 What return has the stock given over the last decade?
9Y 5Y 3Y 1Y
Share Price
CAGR
17.6% 42.5% 22.9% -22.1%
Q.3 Valuation ratios of TCPL Packaging Ltd vs historical?
The current P/E is higher that its historical median.
Q.4 How do the current valuation ratios compare with 5-year historical median and industry numbers?
Valuation Ratios Current 5-year
Historic Median
5-year
Industry Median
Price to Earnings 21.1 18.82 21.97
Price to Book 3.47 4.03 2.21
Price to Sales 1.37 1.36 1.17
EV to EBITDA 9.67 9.80 11.41

About MoneyWorks4Me

MoneyWorks4Me is a SEBI-registered Investment Adviser (IA) dedicated to helping investors build long-term wealth through transparent, research-driven, conflict-free guidance. Founded in 2008, we started our journey as a Research Analyst (RA), providing deep fundamental analysis, intrinsic value insights, and long-term investing frameworks for Indian equities. In 2017, we transitioned to a full-fledged SEBI-registered Investment Adviser, strengthening our commitment to acting as a fiduciary—always putting the investor’s interest first.

Our Vision

To become India’s most trusted, research-powered fiduciary advisory platform—where every investor, regardless of experience, can make calm, confident, and well-reasoned investment decisions.

What Makes MoneyWorks4Me Different

Our Approach: Ensuring compounding work its magic on client portfolio.

MoneyWorks4Me ensures this through:

×