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Kothari petchems

NSE: KOTHARIPETBSE: 532096CHEMICALS & PETROCHEMICALSPETROCHEMICALS
Market Cap
--
P/E Ratio
0.00
P/B Ratio
0.00
ROE
0.00%
ROA
0.00%
Debt/Equity
0.00
Book Value
₹0.0
EPS
₹0.0

About Kothari petchems

Kothari Petrochemicals is the Manufacturer of Poly Iso Butylene.(Source : 202503 Annual Report Page No: 60) Kothari Petrochemicals Limited (KPL), incorporated in April, 1989 is the manufacturer of Polyisobutylene (PIB), with the capacity of 37,995 tones per annum. The Company holds a valid Consent to Operate (CTO) for Polyisobutylene (PIB) manufacturing, valid until 31st March, 2028. Polyisobutylene (PIB) is a highly versatile liquid polymer derived from isobutylene, used extensively across diverse industries, including automotive, adhesives, sealants, rubber chemicals, explosives, plastic masterbatches, and personal care. In the automotive sector, PIB serves as a key additive in fuel and lubricants, enhancing combustion efficiency and optimizing dispersant performance. Another segment of key focus is cosmetics, with a focus on skin care. During the period 2016-17, the Company acquired the entire share capital of KPL HK held by KPL SG and thereby KPL HK has become the wholly owned subsidiary of the Company. Both subsidiary companies have filed application for striking off / de-registration in their respective host countries and the companies are under the process of winding up. Investments made in both the subsidiaries were repatriated to India during the period under review. The Company informed the Stock Exchange on winding up / de-registration application filed the subsidiary by companies. To augment supply of raw material from the local source, the Company commissioned Lean Poly Iso Butylene Feed Stock (LBPFS) plant in September 2016 and meet additional requirement of steam and power for this plant as well as the existing PIB plant, a 2 MW captive power plant was commissioned in December 2017 with all necessary statutory clearances to meet 100% requirement of quality power and steam at a controlled cost. An Effluent Water Recycle Plant commissioned in 2019 costing Rs. 4 Crores to comply the PCB's stringent effluent disposal norms as well as reduce the dependency of water supply from Metro Water Board which is a costlier resource. The Company completed the Debottlenecking Project. Post this project, the plant production capacity was revised to 48,000 MT per year in 2023. An existing mud pond has been revamped and lined with a geomembrane, enabling it to store approximately 4,000 KL of rainwater in FY 2025.

Price Action • KOTHARIPET

Financial Statements

Consolidated & Standalone Reports

MetricTTMMar '25Mar '24Mar '23Mar '22Mar '21Mar '20Mar '19Mar '18Mar '17Mar '16Mar '15
Total Revenue
596.17588.83611.36488.58386.07232.77276.04302.21196.36222.08216.52282.27
Operating Expenses
498.82497.11507.06425.22331.74194.9245.55278.65176.87207.5198.33260.88
Operating Profit
89.0780.2396.0856.9349.7933.9927.621.1717.7911.9715.2618.38
Operating Margin (%)
-13.6315.7211.6512.914.6107.019.065.397.056.51
Total Expenses
-506.62515.87434.39337.89201.3253.13286.25181.89212.12202.27265.9
EBITDA
-91.72104.3163.3654.3337.8730.4823.5619.514.5718.221.39
EBITDA Margin (%)
-15.5817.0612.9714.0716.2711.047.89.936.568.47.58
Interest Expenses
0.961.11.192.560.620.892.043.071.421.521.212.48
Depreciation
8.578.417.626.65.545.515.544.533.613.12.742.54
Profit Before Tax (PBT)
87.5782.2195.0855.2148.1831.4824.3515.9614.479.9514.2516.36
Tax Expenses
21.4516.3931.316.0313.188.936.023.774.894.145.075.06
PAT Before Extraordinary Items
-65.8263.7839.1834.9922.5418.3312.199.585.819.1811.3
Net Profit
66.1265.8263.7839.1832.8922.5418.3312.199.585.819.1811.3
Net Profit Margin (%)
-11.410.578.128.619.846.714.064.912.644.34.04
EPS (Adjusted)
-11.1810.846.665.593.833.112.071.630.991.561.92

Valuation & Key Ratios

Performance Metrics

MetricTTMMar '25Mar '24Mar '23Mar '22Mar '21Mar '20Mar '19Mar '18Mar '17Mar '16Mar '15
Book Value Per Share
-51.7341.6632.4526.3320.816.9314.4413.2811.9711.2710.91
Return on Assets (ROA) %
-17.3819.9914.4914.7413.212.568.126.664.378.329.54
Return on Equity (ROE) %
-21.4925.8720.3921.118.318.2814.2512.178.1913.7717.5
Return on Capital Employed (ROCE) %
-25.8736.5525.6927.9823.9222.4519.2416.3913.321.5427.12
Profitability Ratios
------------
Liquidity Ratios
------------
Valuation Ratios
------------
Debt to Equity Ratio
-000.120.070.0100.260.360.480.270.35

Featured Insight

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Key People

M
Mr. P. Premapiriyan
Vice President - Operations,Plant Head
M
Mr. S. Sivamahesh
Chief Financial Officer
M
Mr. S. V. Ramesh
Deputy General Manager(Scm,Commercial.)
M
Mr. K. Sreekanteswaran
President(Legal & Taxation)
M
Mr. S. Chellappa
Assistant General Manager(It)
M
Mr. J. Janarthanan
Deputy General Manager(Taxation)
M
Mr. C. Srinivasa Rao
Senior Manager(Treasury)
M
Mr. N. Arumugam
Assistant General Manager(Captive Power Plant Business)
K
K. Priya
Company Secretary,Compliance Officer

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