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CHEMPLASTS.BO
(CHEMPLASTS.BO)
CHEMPLASTS.BO
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CHEMPLASTS.BO
(CHEMPLASTS.BO)
$228.65
▼
-7.85 (-3.32%)
Chart
Share
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CHEMPLASTS.BO
CHEMPLASTS.BO
(CHEMPLASTS.BO)
BSE
$228.65
▼
-7.85 (-3.32%)
Chart Studio
Share
CHEMPLASTS.BO
As of
2025
• vs 2024
Annual
Quarterly
Core Metrics
Market Cap
$68.95B
-5.2%
P/E Ratio
-62.48
-36.0%
P/S Ratio
1.59
-14.6%
ROE
-5.34%
+42.7%
ROIC
0.73%
+145.1%
FCF Yield
-3.05%
+74.3%
Debt/Equity
0.89
-2.2%
Current Ratio
0.65
-11.8%
Interest Coverage
0.22x
+142.1%
Per Share
Revenue/Share
$272.52
+10.0%
Net Income/Share
$-6.92
+30.9%
Operating CF/Share
$10.76
+169.5%
Free CF/Share
$-13.20
+75.8%
Cash/Share
$47.42
+2.6%
Book Value/Share
$129.70
+20.6%
Tangible Book/Share
$129.28
+20.2%
Equity/Share
$129.70
+20.6%
Interest Debt/Share
$130.27
+19.2%
Valuation
Market Cap
$68.95B
-5.2%
Enterprise Value
$80.13B
-1.1%
P/E Ratio
-62.48
-36.0%
P/S Ratio
1.59
-14.6%
P/OCF Ratio
40.16
+235.2%
P/FCF Ratio
-32.75
-288.7%
P/B Ratio
3.33
-22.1%
P/TB Ratio
3.33
-22.1%
EV/Sales
1.84
-10.9%
EV/EBITDA
36.64
-51.9%
Profitability
Earnings Yield
-1.60%
+26.5%
FCF Yield
-3.05%
+74.3%
ROE
-5.34%
+42.7%
ROIC
0.73%
+145.1%
Return on Tangible Assets
-1.70%
+35.3%
Capital Allocation
CapEx/OCF
222.65%
+188.1%
CapEx/Revenue
8.79%
-44.4%
CapEx/Depreciation
1.92
-53.0%
SBC/Revenue
0.00%
Balance Sheet
Debt/Equity
0.89
-2.2%
Debt/Assets
0.28
+10.4%
Net Debt/EBITDA
5.11
-34.0%
Current Ratio
0.65
-11.8%
Interest Coverage
0.22x
+142.1%
Income Quality
-1.56
-200.6%
Efficiency
Days Sales Outstanding
15 days
-45.8%
Days Payables Outstanding
221 days
-2.7%
Days Inventory
87 days
+17.8%
Receivables Turnover
24.63x
+84.5%
Payables Turnover
1.65x
+2.8%
Inventory Turnover
4.19x
-15.1%
Special Valuations
Graham Number
--
Graham Net-Net
$-201.75
-3.1%