Chemplast Sanmar Income Statement

Quarterly

Yearly

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20222023
EBITDA1,2540
EBIT1,1170
Earning Per Share4310
Expenses4,6954,473
Net Profit649152
Net Profit Margin113
Operating Profit Margin2111
Profit Before Tax796172
Dividends Per Share00
Operation Revenue5,9495,021

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
2023002,436NA2,742
2022241.71290.05176.101,273.85240.60
2022182.64212.26127.90585.59176.10
2022235.68299.64167.901,491.45222.20
2023196.79205.88135.93NA194.79
The EBITDA of Chemplast Sanmar is 0 as of 11/28/2023
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20182019202020212022
Operating Activities4452341661,076901
Investing Activities-370-311-4382,152108
Financing Activities16-3298-3,017-313
Others00000
Net Cash Flow91-8026211696

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
20232,971-1,186-2,076-291
2023281.98-216.78-53.7711.43
2023237.93-142.74-112.48-17.30
2023285.83-204.44-91.42-10.03
2023140.11-15.32-49.7775.02
The cash flow from Operating Activities of Chemplast Sanmar is 901 as of 11/28/2023