Market cap
₹747 Cr
Market cap
₹747 Cr
Revenue (TTM)
₹591 Cr
P/E Ratio
10.4
P/B Ratio
2.1
Div. Yield
0 %
Quality Score
0/0
Growth Score
0/0
Valuation Score
0/0
Momentum Score
0/0
Today’s Range
52 Week Range
Liquidity
Net Profit (TTM)
₹72 Cr
ROE
23.8 %
ROCE
30.1 %
Industry P/E
27.9
EV/EBITDA
7
Debt to Equity
0
Book Value
₹60.2
EPS
₹12.3
Face value
10
Shares outstanding
58,846,400
CFO
₹294.80 Cr
EBITDA
₹410.94 Cr
Net Profit
₹279.65 Cr
|
Company
|
YTD
|
1 Month
|
3 Months
|
1 Year
|
3 Years
|
5 Years
|
10 Years
|
|---|---|---|---|---|---|---|---|
|
Kothari PetroChem
| -2.6 | 16.9 | 5.9 | -22.4 | 25.7 | 38.3 | 19.8 |
|
BSE Commodities
| 4.8 | 10.5 | 2.0 | 16.7 | 17.5 | 13.2 | 16.1 |
|
Company
|
2025
|
2024
|
2023
|
2022
|
2021
|
2020
|
2019
|
|---|---|---|---|---|---|---|---|
|
Kothari PetroChem
| -35.2 | 33.2 | 111.0 | 7.7 | 171.5 | 42.9 | -27.2 |
|
BSE Small Cap
| -6.6 | 29.0 | 47.5 | -1.8 | 62.8 | 32.1 | -6.8 |
|
BSE Commodities
| 12.5 | 8.1 | 17.5 | 1.2 | 61.5 | 26.1 | -4.6 |
Is there a threat to the company's solvency?
Can creative accounting be detected through the financial numbers?
How did the company perform in the last one year?
5Y Avg -- 3Y Avg -- TTM --
P/E Ratio
--
--Min --Median --Max
P/B Ratio
--
--Min --Median --Max
Earnings Yield (%)
--
Earnings Yield (%) = EBIT / Enterprise value
PEG Ratio
--
Price = Price / Earnings to growth ratio
Company |
Price (₹) | Market Cap (₹ Cr) | Revenue (TTM) | Net Profit (TTM) | OPM (%) | ROE (%) | P/E | P/B |
|---|---|---|---|---|---|---|---|---|
|
Kothari PetroChem
|
127.0 | 747.3 | 591.5 | 72.0 | 14.9 | 22.5 | 10.4 | 2.1 |
| 6,598.5 | 19,421.4 | 6,055.1 | 602.4 | 10.7 | 10.3 | 32.7 | 3.2 | |
| 1,185.0 | 18,479.2 | 13,910.2 | 664.1 | 7.7 | 9.8 | 27.9 | 2.5 | |
| 852.5 | 15,172.5 | 37,474.8 | 2,223.8 | 7.2 | 12.8 | 12.8 | 1.7 | |
| 4,641.3 | 3,507.8 | 604.0 | 75.2 | 15.9 | 11.6 | 48.5 | -- | |
| 67.8 | 3,075.5 | 1,175.2 | 140.3 | 11.9 | 14.5 | 21.9 | 3.0 | |
| 964.3 | 6,460.0 | 9,655.3 | 225.1 | 5.0 | 11.6 | 23.9 | 2.2 | |
| 640.2 | 3,958.2 | 2,418.0 | 180.1 | 10.9 | 35.8 | 22 | 7.1 | |
| 548.2 | 4,803.3 | 1,769.1 | 104.7 | 10.5 | 24.3 | 45.9 | 9.8 | |
| 1,502.5 | 3,978.0 | 818.2 | 19.4 | 12.6 | 3.7 | 201.6 | 5.0 |
No Review & Analysis are available.
Kothari Petrochemicals Limited produces and sells petrochemical products in India and internationally. It offers polyisobutylene, a polymer used in lubricants, adhesives, stretch/silage, sealants and caulks, polymer modification, construction... chemicals and rubber, optical fibre, personal care, dispersants, fuel additives, greases, masterbatch compounding, PVC pipes and fittings, and other applications under the KVIS name. The company was incorporated in 1989 and is headquartered in Chennai, India. Kothari Petrochemicals Limited is a subsidiary of BHK Trading LLP. Read more
Incorporated
1989
Chairman
Nina B Kothari
Managing Director
Arjun B Kothari
Headquarters
Chennai, Tamil Nadu
Website
Annual Reports
Announcements
View AnnouncementsLoss/Duplicate-Share Certificate-XBRL
08-Feb-2024Loss/Duplicate-Share Certificate-XBRL
25-Jan-2024Loss/Duplicate-Share Certificate-XBRL
19-Jan-2024No News & Announcements are available.
The share price of Kothari Petrochemicals Ltd is ₹126.99 (NSE) as of 16-Apr-2026 IST. Kothari Petrochemicals Ltd has given a return of 25.69% in the last 3 years.
The P/E ratio of Kothari Petrochemicals Ltd is 10.38 times as on 16-Apr-2026, a 63 discount to its peers’ median range of 27.90 times.
The P/B ratio of Kothari Petrochemicals Ltd is 2.11 times as on 16-Apr-2026, a 24 discount to its peers’ median range of 2.76 times.
PE & PB ratio at the end of financial year.
| Year | P/E Ratio | P/B Ratio |
|---|---|---|
|
2025
|
14.07
|
3.03
|
|
2024
|
11.28
|
2.92
|
|
2023
|
8.48
|
1.73
|
|
2022
|
15.39
|
3.25
|
|
2021
|
6.80
|
1.25
|
The 52-week high and low of Kothari Petrochemicals Ltd are Rs 191.95 and Rs 94.75 as of 17-Apr-2026.
Kothari Petrochemicals Ltd has a market capitalisation of ₹ 747 Cr as on 16-Apr-2026. As per SEBI classification, it is a Small Cap company.
Before investing in Kothari Petrochemicals Ltd, assess your goals, risk tolerance, and if the company aligns with your long-term plan. Carefully review its business model, financials, and valuation. Avoid making decisions based on tips or short-term trends.