Pocl Enterprises [POEL] vs Chemplast Sanmar [CHEMPLASTS] Detailed Stock Comparison

TLDR: Quick Comparison Summary

Based on 20 vital metrics comparison: Pocl Enterprises Ltd. wins in 14 metrics, Chemplast Sanmar Ltd. wins in 4 metrics, with 0 ties. Pocl Enterprises Ltd. appears stronger overall.

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Vital Metrics Comparison

Metric Pocl Enterprises Ltd. Chemplast Sanmar Ltd. Better
P/E Ratio (TTM) 14.30 210.40 Pocl Enterprises Ltd.
Price-to-Book Ratio 2.69 2.02 Chemplast Sanmar Ltd.
Debt-to-Equity Ratio 98.09 96.73 Chemplast Sanmar Ltd.
PEG Ratio 0.28 1.47 Pocl Enterprises Ltd.
EV/EBITDA 10.24 62.22 Pocl Enterprises Ltd.
Profit Margin (TTM) 2.61% -7.01% Pocl Enterprises Ltd.
Operating Margin (TTM) 4.09% -13.16% Pocl Enterprises Ltd.
EBITDA Margin (TTM) 4.09% N/A N/A
Return on Equity 31.85% -5.34% Pocl Enterprises Ltd.
Return on Assets (TTM) 13.82% -1.70% Pocl Enterprises Ltd.
Free Cash Flow (TTM) $265.20M $-2.11B Pocl Enterprises Ltd.
Dividend Yield 0.56% N/A N/A
1-Year Return -25.36% -53.14% Pocl Enterprises Ltd.
Price-to-Sales Ratio (TTM) 0.39 0.95 Pocl Enterprises Ltd.
Enterprise Value $7.36B $52.84B Chemplast Sanmar Ltd.
EV/Revenue Ratio 0.50 1.28 Pocl Enterprises Ltd.
Gross Profit Margin (TTM) 10.59% 31.44% Chemplast Sanmar Ltd.
Revenue per Share (TTM) $505 $260 Pocl Enterprises Ltd.
Earnings per Share (Diluted) $13.07 $-18.05 Pocl Enterprises Ltd.
Beta (Stock Volatility) 0.00 0.01 Pocl Enterprises Ltd.

Pocl Enterprises Ltd. vs Chemplast Sanmar Ltd. Stock Performance Analysis

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Performance Comparison

Short-term Returns

Stock1D1W1M3M6MYTD
Pocl Enterprises Ltd.6.24%6.30%-4.51%1.66%5.05%-15.22%
Chemplast Sanmar Ltd.-0.85%2.62%-12.27%-23.76%-23.33%-21.41%

Long-term Returns

Stock1Y3Y5Y10Y15Y20Y
Pocl Enterprises Ltd.-25.36%-14.40%212.75%110.30%110.30%110.30%
Chemplast Sanmar Ltd.-53.14%-55.34%-62.63%-62.63%-62.63%-62.63%

Performance & Financial Health Analysis: Pocl Enterprises Ltd. vs Chemplast Sanmar Ltd.

MetricPOELCHEMPLASTS
Market Information
Market Cap i₹5.87B₹38.60B
Market Cap CategorySmall capSmall cap
10 Day Avg. Volume i38,542363,895
90 Day Avg. Volume i48,016432,557
Last Close₹174.60₹201.22
52 Week Range₹142.00 - ₹290.00₹193.11 - ₹477.75
% from 52W High-39.79%-57.88%
All-Time High₹895.00 (Oct 14, 2024)₹826.00 (Oct 11, 2021)
% from All-Time High-80.49%-75.64%
Growth Metrics
Quarterly Revenue Growth0.07%-0.21%
Quarterly Earnings Growth0.62%-0.21%
Financial Health
Profit Margin (TTM) i0.03%-0.07%
Operating Margin (TTM) i0.04%-0.13%
Return on Equity (TTM) i0.32%-0.05%
Debt to Equity (MRQ) i98.0996.73
Cash & Liquidity
Book Value per Share (MRQ)₹69.41₹122.81
Cash per Share (MRQ)₹2.29₹35.59
Operating Cash Flow (TTM) i₹533.21M₹-16,100,000
Levered Free Cash Flow (TTM) i₹311.79M₹-1,103,600,000
Dividends
Last 12-Month Dividend Yield i0.56%N/A
Last 12-Month Dividend i₹1.10N/A

Valuation & Enterprise Metrics Analysis: Pocl Enterprises Ltd. vs Chemplast Sanmar Ltd.

MetricPOEL (Apr 24, 2026)CHEMPLASTS (Apr 24, 2026)
Price Ratios
P/E Ratio (TTM) i14.30210.40
Forward P/E iN/A35.91
PEG Ratio i0.281.47
Price to Sales (TTM) i0.390.95
Price to Book (MRQ) i2.692.02
Market Capitalization
Market Capitalization i₹5.87B₹38.60B
Enterprise Value i₹7.36B₹52.84B
Enterprise Value Metrics
Enterprise to Revenue i0.501.28
Enterprise to EBITDA i10.2462.22
Risk & Other Metrics
Beta i0.000.01
Book Value per Share (MRQ) i₹69.41₹122.81

Financial Statements Comparison: Pocl Enterprises Ltd. vs Chemplast Sanmar Ltd.

Financial Metrics

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Revenue

Operating Margin

Profit Margin

Long Term Debt

Income Flow Analysis

Financial Statements Comparison

Income Statement

MetricPOEL (2025)CHEMPLASTS (2025)
Revenue/Sales i14.49B43.28B
Cost of Goods Sold i13.13B28.56B
COGS % of Revenue i90.6%66.0%
Gross Profit i1.36B14.72B
Gross Margin i9.4%34.0%
Research & Development iN/AN/A
Operating Income (EBIT) i621.10M530.00M
Operating Margin i4.3%1.2%
EBITDA i666.32M1.55B
EBITDA Margin i4.6%3.6%
Pre-Tax Income i417.96M-1.69B
Pre-Tax Income % of Revenue i2.9%-3.9%
Income Tax i106.18M-587.10M
Income Tax % of Revenue i0.7%-1.4%
Net Income (Profit) i311.79M-1.10B
Profit Margin i2.2%-2.5%

Balance Sheet & Liquidity Metrics

MetricPOEL (2025)CHEMPLASTS (2025)
Cash & Equivalents i193,0005.55B
Total Current Assets i1.77B17.75B
Total Current Assets % of Revenue i12.2%41.0%
Total Current Liabilities i1.16B27.15B
Total Current Liabilities % of Revenue i8.0%62.7%
Long-Term Debt i95.46M11.02B
Long-Term Debt % of Revenue i0.7%25.5%
Total Shareholders Equity i978.98M20.68B
Retained Earnings i902.98M16.89B
Retained Earnings % of Revenue i6.2%39.0%
Property, Plant & Equipment i37.67M44.93B

Cash Flow Statement Comparison

MetricPOEL (2025)CHEMPLASTS (2025)
Operating Cash Flow i533.21M-16.10M
Operating Cash Flow % of Revenue i3.7%0.0%
Capital Expenditures i-136.76M-3.60B
Free Cash Flow i265.20M-2.11B
FCF Margin i1.8%-4.9%
Debt Repayment iN/A-15.34B
Common Stock Repurchase iN/AN/A

Short Interest & Institutional Ownership Analysis

MetricPOELCHEMPLASTS
Shares Short iN/AN/A
Short Ratio iN/AN/A
Short % of Float iN/AN/A
Shares Outstanding i30.77M158.11M
Float Shares i14.46M61.38M
% Held by Insiders i50.91%54.99%
% Held by Institutions i0.00%36.24%
% Held by Public i49.09%8.77%

Dividend Analysis & Yield Comparison: Pocl Enterprises Ltd. vs Chemplast Sanmar Ltd.

MetricPOELCHEMPLASTS
Last 12-Month Dividend i₹1.10N/A
Last 12-Month Dividend Yield i0.56%N/A
3-Year Avg Annual Dividend i₹0.67N/A
3-Year Avg Dividend Yield i0.18%N/A
3-Year Total Dividends i₹2.00N/A
Ex-Dividend DateNov 20, 2025N/A