MarketFriction

Patel Chem Specialities Ltd

BSE 544460 · Specialty Chemicals
₹120.55 +4.96%
BSE close2026-10-01
Market cap₹272 Cr.
P/E21.7

Price

Drag to pan, scroll or pinch to zoom. Ruler (or Shift + drag) measures a move.Dashed lines: 52 week high and low. Prices adjusted for splits and bonuses.

Financials

Standalone, Rs crore
Sep 2024Mar 2025Sep 2025Mar 2026
Revenue from operations50556176
Operating costs42475367
EBITDA8889
EBITDA margin %15%14%14%11%
Depreciation & amortisation0001
Finance costs0010
Non-operating income0001
Pre-tax profit7789
Effective tax rate %25%25%24%28%
Profit after tax5566
Earnings per share (Rs)2.992.462.58
Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue from operations42606982105137
Operating costs4056647190120
EBITDA245121517
EBITDA margin %6%7%8%14%15%12%
Depreciation & amortisation001111
Finance costs011111
Non-operating income000002
Pre-tax profit244101417
Effective tax rate %20%35%30%26%25%26%
Profit after tax12381113
Earnings per share (Rs)5.915.05
Paid out as dividend %0%0%0%0%0%0%
10 Years5 Years3 YearsTTM1 YearLast Year
Revenue CAGR%26%26%31%
Profit CAGR%57%63%19%
Share price CAGR%%%14%
Average return on equity%28%28%19%
Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Net block (property, plant)61014141430
Capital work in progress00021215
Investments000000
Current & other assets131323313998
Total assets1823374765142
Share capital11111825
Reserves & surplus6811191875
Total debt6812151415
Other liabilities & provisions5713121628
Equity + liabilities1823374765142
Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Operating cash flow-24226210
Investing cash flow-1,978-4-3-6-7-19
Free cash flow (after capex)-24-3-23-9-9
Financing cash flow332010545
Net change in cash-1,670-1-00036
Cash conversion (OCF / EBITDA) %13,954%56%58%62%32%61%
Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Return on capital employed %28%26%39%36%22%
Receivable days565879687379
Inventory days151245646161
Payable days473577525167
Cash cycle (days)253547798373
Working capital days-1619295751
Sep 2025Mar 2026
Promoter group %68.36%68.64%
Foreign investors %8.19%6.41%
Domestic institutions %1.81%1.70%
Retail & others %21.64%23.23%
Shareholder count9241,089

Fundamentals

Market value₹ 272 Cr.
Last price₹ 109
P/E (trailing)21.7
Book value / share₹ 40.0
Return on capital21.8 %
Return on equity18.6 %
Dividend yield0.00 %
Face value₹ 10.0
Revenue CAGR (TTM)31%
Profit CAGR (TTM)19%
Standalone figures.
Valuation
Market capRs 300 Cr
Enterprise valueRs 307 Cr
P/E (TTM)131.50x
Price to book33.39x
Price to sales4.96x
EV / EBITDA66.92x
EV / EBIT73.66x
EV / sales5.08x
Price to cash flow141.42x
Earnings yield0.76%
Profitability
Operating margin (excl. other income)7.36%
Operating margin (incl. other income)7.59%
EBITDA margin7.59%
Pre-tax margin5.80%
Net profit margin3.77%
ROE29.08%
ROCE27.81%
ROA10.94%
ROIC (approx.)16.59%
Tax rate35.04%
Other income / net worth1.56%
Growth
Sales growth (latest year)42.34%
Profit growth (latest year)72.73%
Per share
EPS (TTM)Rs 0.92
EPS (latest year)Rs 22.80
Book value per shareRs 3.61
Sales per shareRs 24.32
Cash flow per shareRs 0.85
Efficiency
Asset turnover2.58x
Fixed asset turnover5.91x
Inventory turnover30.21x
Inventory days12 days
Debtor days58 days
Debtors turnover6.31x
Leverage
Total debtRs 8 Cr
Cash and bankRs 1 Cr
Net debtRs 7 Cr
Debt to equity0.88x
Net debt / EBITDA1.60x
Interest coverage6.32x
Owners' fund to total sources38.28%
Debt to assets33.72%
Cash flow
Operating cash flow (latest year)Rs 2 Cr
Investing cash flow (latest year)Rs -4 Cr
Financing cash flow (latest year)Rs 0 Cr
Net change in cash (latest year)Rs -1 Cr
Sales to cash flow28.53x
Statement figures
Net sales (TTM)Rs 60 Cr
Net sales (latest year)Rs 60 Cr
Operating profit excl. other income (latest year)Rs 4 Cr
Other income (TTM)Rs 0 Cr
EBITDA (TTM)Rs 5 Cr
PBDT (TTM)Rs 4 Cr
Profit before tax (TTM)Rs 4 Cr
Tax (latest year)Rs 1 Cr
Net profit (TTM)Rs 2 Cr
Net profit (latest year)Rs 2 Cr
Depreciation (TTM)Rs 0 Cr
Interest (TTM)Rs 1 Cr
Cost of goods sold (latest year)Rs 49 Cr
Total expenditure (latest year)Rs 56 Cr
Total income (latest year)Rs 61 Cr
Share capitalRs 1 Cr
ReservesRs 8 Cr
Shareholders' fundsRs 9 Cr
Total assetsRs 23 Cr
Net blockRs 10 Cr
InvestmentsRs 0 Cr
ReceivablesRs 10 Cr
InventoryRs 2 Cr
Other liabilitiesRs 7 Cr
Shares outstanding (crore)2.49
Computed by MarketFriction from the standalone statements. Returns use average balances.
Not enough history to build valuation bands (needs two years of profits and prices).
Period544460Nifty 50Difference
1 week+7.6%-2.8% +10.4 pts
1 month+14.1%-6.8% +20.9 pts
3 months+25.8%-7.6% +33.5 pts

Red flags

F-score 7 of 8
explainWeak cash conversion Cash from operations was -613% of net profit over the last 2 years
Checks on the latest reported years: cash vs profit, accruals, receivables and inventory vs sales, dilution, debt, interest cover, equity, other income, losses, and auditor, top-management, insolvency and regulator filings in the last 12 months. A flag asks for an explanation; it is not a verdict.

Latest quarter

No quarterly results published.

Activity

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No bulk or block deals on record.
No corporate actions on record.
No announcements in our files yet.
Company filings to NSE, newest first. Routine notices (trading window, newspaper copies) are left out. Click a row for the filing.
No short selling reported to NSE in our files.
Short sales disclosed by brokers to NSE, by trade date. Collected since late September 2026.
Not on any NSE surveillance list in the latest file.

Quick answers

What is the market cap of Patel Chem Specialities Ltd?

Patel Chem Specialities Ltd (544460) has a market capitalisation of Rs 272 Cr. at the 2026-10-01 close.

What is the P/E ratio of Patel Chem Specialities Ltd?

Patel Chem Specialities Ltd trades at a P/E of 21.7 on trailing twelve-month profit, at the 2026-10-01 close.

Data: NSE and BSE daily reports, company filings. Numbers only, not investment advice, not a SEBI-registered research service.AboutMethodologyFAQResearchContactTermsPrivacyDisclaimerUpdated 2026-10-03