Chemplast Sanmar Limited - chemicals and materials in Madras, Tamil Nadu, India. FY 2026 financials and compliance.
CIN L24230TN1985PLC011637 Incorporated 13 March 1985 ROC Chennai HQ Madras, Tamil Nadu, India
Active Listed - NSE: CHEMPLASTS · BSE: 543336 Public Limited Company chemicals and materials
Data last updated
Revenue · FY 2026
₹4,223.79 Cr
▼ 2.81% YoY
Computed EBITDA · FY 2026
₹226.05 Cr
▼ 14.93% YoY
Net profit · FY 2026
-₹279.87 Cr
▼ 153.6% YoY
Authorised capital
₹235 Cr
Registered with MCA
Paid-up capital
₹79.05 Cr
Issued & subscribed
Open charges
₹2,425.91 Cr
Satisfied ₹7,673.18 Cr
Company age
41 yrs
Est. 1985
Employees · EPFO
1,353
Latest available

About Chemplast Sanmar Limited

Data last updated: 22 December 2025

Chemplast Sanmar Limited is a public limited company based in Madras, Tamil Nadu, India, a subsidiary of Sanmar Holdings Limited. It specialises in specialty chemicals, a part of the broader chemicals and materials sector. Incorporated on 13 March 1985, the company has been in operation for over 41 years.

Registered with ROC Chennai under CIN L24230TN1985PLC011637. Listed on BSE: 543336 and NSE: CHEMPLASTS.

Capital: an authorised share capital of ₹235 Cr and a paid-up capital of ₹79.05 Cr. Formerly known as Chemicals and Plastics India Ltd and Urethanes India Ltd. It is led by directors including Ramkumar Shankar and Aditya Jain.

Last AGM: 12 August 2025. Financial statements filed for year ended 31 March 2025. Office: 9 Cathedral Rd, Madras, Tamil Nadu, India – 600086.

As per NSE-filed consolidated financials for FY 2026, the company reported a revenue of ₹4,223.79 Cr, a decline of 2.81% compared to the previous year. The net worth stands at ₹1,754.63 Cr (down 15.17% YoY). Total assets are valued at ₹6,315.23 Cr (down 2.89% YoY).

The company has a workforce of approximately 1,353 employees as per the latest available data. It operates as a subsidiary of Sanmar Holdings Limited. Its group structure includes 1 subsidiary.

The company is associated with 1 brand - Chemplast Sanmar. As per MCA filings, the company has open charges of ₹2,425.91 Cr and satisfied charges of ₹7,673.18 Cr on record.

The current compliance status is marked as compliant by the Registrar of Companies. For more details, the company can be reached via its website chemplastsanmar.com.

Company Details of Chemplast Sanmar Limited
CIN L24230TN1985PLC011637
Registration Number 011637
Incorporation Date 13 March 1985
ROC Chennai
Listing Status Listed (BSE: 543336, NSE: CHEMPLASTS)
Company Status Active
Date of Last AGM 12 August 2025
Date of Balance Sheet 31 March 2025
Parent Company Sanmar Holdings Limited
Compliance Status Active Compliant
Contact Details
  • Email
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  • Telephone
    Locked
  • Social Media
    Locked
  • Registered Address
    9 Cathedral Rd, Madras, Tamil Nadu, India – 600086
  • Industry
    Chemicals and Materials, Specialty Chemicals
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Financials, compliance, directors, charges, ownership and filings for Chemplast Sanmar Limited in one report.

10-year financials Directors & ownership Charges & compliance

Name History of Chemplast Sanmar Limited

Chemplast Sanmar Limited has undergone 4 name changes throughout its history. The current legal name is Chemplast Sanmar Limited, reflecting the company's evolution and rebranding over time.

Company Name Status
Chemplast Sanmar Limited Current
Chemicals And Plastics India Ltd Previous
Urethanes India Ltd Previous
Chemicals And Plastics India Limited Previous
Urethanes India Limited Previous

CIN History of Chemplast Sanmar Limited

Chemplast Sanmar Limited has one previous CIN (Corporate Identification Number): U24230TN1985PLC011637. The current CIN is L24230TN1985PLC011637, which is the unique identifier assigned by the Registrar of Companies.

CIN Status
L24230TN1985PLC011637 Current
U24230TN1985PLC011637 Previous

Associated Brands with Chemplast Sanmar Limited

Chemplast Sanmar Limited operates one associated brand: Chemplast Sanmar. These brands represent Chemplast Sanmar Limited's diversified market presence and brand portfolio.

Brand Description Website
Caustic soda, chlorochemicals, agrochemicals, and other chemicals are manufactured. chemplastsanmar.com

Business Activity of Chemplast Sanmar Limited

Chemplast Sanmar Limited is engaged in the principal business activity of manufacturing, with detailed activities including chemical and chemical products, pharmaceuticals, medicinal chemical and botanical products.

Main Activity Group Code Description of Main Activity Business Activity Code Description of Business Activity Turnover Percentage
C Manufacturing C6 Chemical and chemical products, pharmaceuticals, medicinal chemical and botanical products Locked
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Business activity turnover details for Chemplast Sanmar Limited

Turnover contribution percentages and historical activity changes require an active report plan.

  • Turnover contribution
  • Historical classifications
  • Filing-level activity changes

Verified entity values are shown only after access is granted.

Auditor Details of Chemplast Sanmar Limited

Chemplast Sanmar Limited is audited by B S R & Co. LLP (ICAI peer reviewed, certificate valid till 2028-07-31) for the financial year 2026, as reported in its NSE exchange filings. The statutory auditor is responsible for expressing an independent opinion on whether the financial statements present a true and fair view in accordance with applicable accounting standards.

Name Financial year Audit opinion
B S R & Co. LLP (ICAI peer reviewed, certificate valid till 2028-07-31) FY 2026 Declaration of unmodified opinion

Board of Directors and KMP of Chemplast Sanmar Limited

Chemplast Sanmar Limited currently reports 8 directors and 2 key managerial personnel. 18 former directors have served the organization.

Current Directors and KMP
Name Designation Appointment Date Tenure Status
Ramkumar Shankar Managing Director 01 Feb 2021 5 Years 5 Months Current
Aditya Jain Director 26 Apr 2021 5 Years 2 Months Current
Vijayakumar Lakshmi Director 26 Apr 2021 5 Years 2 Months Current
Vijay Sankar Director 26 Apr 2021 5 Years 2 Months Current
Prasad Raghava Menon Director 26 Apr 2021 5 Years 2 Months Current
Raman Mahadevan Company Secretary 15 May 2020 6 Years 1 Months Current
Showing 6 of 10 current directors and KMP. View all directors and KMP

Financials of Chemplast Sanmar Limited FY 2026 filings available

Chemplast Sanmar Limited reported revenue of ₹4,223.79 Cr (down 2.81% YoY) for FY 2026.

Revenue · FY 2026
₹4,223.79 Cr ▼ 2.81%
Profit · FY 2026
-₹279.87 Cr ▼ 153.6%
Computed EBITDA · FY 2026
₹226.05 Cr ▼ 14.93%
Revenue₹ Cr · Consolidated02,0004,0006,000FY 2022: ₹5,892 Cr5,892FY 2022FY 2023: ₹4,941 Cr · -16.1% YoY4,941-16.1%FY 2023FY 2024: ₹3,923 Cr · -20.6% YoY3,923-20.6%FY 2024FY 2025: ₹4,346 Cr · +10.8% YoY4,346+10.8%FY 2025FY 2026: ₹4,224 Cr · -2.8% YoY4,224-2.8%FY 2026
Net Profit₹ Cr · Consolidated-500-2500250500750FY 2022: ₹649 Cr649FY 2022FY 2023: ₹152 Cr · -76.5% YoY152-76.5%FY 2023FY 2024: ₹158 Cr (loss) · -204% YoY-158FY 2024FY 2025: ₹110 Cr (loss) · +30.3% YoY-110FY 2025FY 2026: ₹280 Cr (loss) · -153.6% YoY-280FY 2026
Quarterly Revenue₹ Cr · vs same quarter last year05001,0001,500Q1'25: ₹1,145 Cr · +14.9% YoY1,145+14.9%Q1'25Q2'25: ₹993 Cr · +0.5% YoY993+0.5%Q2'25Q3'25: ₹1,058 Cr · +19.1% YoY1,058+19.1%Q3'25Q4'25: ₹1,151 Cr · +9.5% YoY1,151+9.5%Q4'25Q1'26: ₹1,100 Cr · -3.9% YoY1,100-3.9%Q1'26Q2'26: ₹1,033 Cr · +4.1% YoY1,033+4.1%Q2'26Q3'26: ₹835 Cr · -21% YoY835-21%Q3'26Q4'26: ₹1,256 Cr · +9.1% YoY1,256+9.1%Q4'26
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022
Revenue from Operations ₹4,223.79 Cr ₹4,346.07 Cr ₹3,922.98 Cr ₹4,941.08 Cr ₹5,891.99 Cr
Other Income ₹28.14 Cr ₹47.05 Cr ₹80.47 Cr ₹79.89 Cr ₹57.48 Cr
Total Income ₹4,251.93 Cr ₹4,393.12 Cr ₹4,003.45 Cr ₹5,020.97 Cr ₹5,949.47 Cr
Cost of Materials Consumed ₹2,550.79 Cr ₹2,918.46 Cr ₹2,715.81 Cr ₹3,205.58 Cr ₹3,703.62 Cr
Purchases of Stock-in-Trade ₹0 ₹0 ₹85 Lakh ₹0 ₹26.9 Cr
Changes in Inventories ₹122.7 Cr -₹165.54 Cr -₹8.49 Cr ₹6.12 Cr -₹16.93 Cr
Employee Benefit Expense ₹264.93 Cr ₹259.31 Cr ₹170.22 Cr ₹147.21 Cr ₹120.06 Cr
Finance Costs ₹235.39 Cr ₹235.88 Cr ₹180.52 Cr ₹154.02 Cr ₹321.6 Cr
Depreciation & Amortisation ₹213.15 Cr ₹198.91 Cr ₹151.36 Cr ₹142 Cr ₹137.13 Cr
Other Expenses ₹1,087.46 Cr ₹1,115.17 Cr ₹1,018.75 Cr ₹1,114.03 Cr ₹861.54 Cr
Total Expenses ₹4,474.42 Cr ₹4,562.19 Cr ₹4,229.02 Cr ₹4,768.96 Cr ₹5,153.92 Cr
Profit Before Exceptional Items & Tax -₹222.49 Cr -₹169.07 Cr -₹225.57 Cr ₹252.01 Cr ₹795.55 Cr
Exceptional Items -₹149.92 Cr ₹0 ₹0 -₹80.5 Cr ₹0
Profit Before Tax -₹372.41 Cr -₹169.07 Cr -₹225.57 Cr ₹171.51 Cr ₹795.55 Cr
Total Tax Expense -₹92.54 Cr -₹58.71 Cr -₹67.14 Cr ₹19.16 Cr ₹146.9 Cr
Net Profit -₹279.87 Cr -₹110.36 Cr -₹158.43 Cr ₹152.35 Cr ₹648.65 Cr
  attributable to Owners ₹0 -₹110.36 Cr -₹157.88 Cr ₹152.35 Cr -
  attributable to NCI ₹0 ₹0 ₹0 ₹0 -
Other Comprehensive Income ₹39 Lakh ₹478.21 Cr ₹55 Lakh ₹52 Lakh ₹134.81 Cr
Total Comprehensive Income -₹279.48 Cr ₹367.85 Cr -₹157.88 Cr ₹152.87 Cr ₹783.46 Cr
EBITDA (computed) ₹226.05 Cr ₹265.72 Cr ₹106.31 Cr ₹548.03 Cr ₹1,254.28 Cr
Basic EPS ₹-17.70 ₹-6.92 ₹-10.02 ₹9.64 ₹43.66
Diluted EPS ₹-17.70 ₹-6.92 ₹-10.02 ₹9.64 ₹43.66
Metrics FY 2026 FY 2025 FY 2024 FY 2023
Total Assets ₹6,315.23 Cr ₹6,503.19 Cr ₹6,030.3 Cr ₹5,836.77 Cr
Non-current Assets ₹4,833.78 Cr ₹4,728.02 Cr ₹4,151 Cr ₹3,672.16 Cr
Current Assets ₹1,481.45 Cr ₹1,775.17 Cr ₹1,879.3 Cr ₹2,164.61 Cr
Property, Plant & Equipment ₹4,381.85 Cr ₹4,492.6 Cr ₹3,906.83 Cr ₹3,185.92 Cr
Inventories ₹601.68 Cr ₹657.29 Cr ₹568.63 Cr ₹643.1 Cr
Trade Receivables ₹92.22 Cr ₹155.43 Cr ₹190.05 Cr ₹142.64 Cr
Cash & Equivalents ₹430.39 Cr ₹554.83 Cr ₹724.44 Cr ₹1,110.98 Cr
Equity (Net Worth) ₹1,754.63 Cr ₹2,068.43 Cr ₹1,700.58 Cr ₹1,858.47 Cr
Equity Share Capital ₹79.06 Cr ₹79.06 Cr ₹79.06 Cr ₹79.06 Cr
Borrowings (Non-current) ₹1,104.95 Cr ₹1,102.47 Cr ₹1,102.14 Cr ₹929.42 Cr
Borrowings (Current) ₹846.89 Cr ₹738.13 Cr ₹440.14 Cr ₹78.55 Cr
Total Debt (computed) ₹1,951.84 Cr ₹1,840.6 Cr ₹1,542.28 Cr ₹1,007.97 Cr
Current Liabilities ₹2,937.8 Cr ₹2,714.84 Cr ₹2,483.54 Cr ₹2,234.34 Cr
Total Liabilities ₹4,560.6 Cr ₹4,434.76 Cr ₹4,329.72 Cr ₹3,978.3 Cr
The balance sheet became part of the exchange results-filing format in FY2023 - earlier years were not filed and are hidden.
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022
Operating Cash Flow ₹294.29 Cr ₹171.67 Cr -₹244.93 Cr ₹355.43 Cr ₹900.96 Cr
Investing Cash Flow -₹232.14 Cr -₹407.37 Cr -₹524.01 Cr -₹217.21 Cr ₹108.18 Cr
Financing Cash Flow -₹186.59 Cr ₹66.09 Cr ₹382.4 Cr -₹26.99 Cr -₹312.87 Cr
Capital Expenditure ₹316.08 Cr ₹382.23 Cr ₹618.94 Cr ₹419.59 Cr ₹112.47 Cr
Free Cash Flow (computed) -₹21.79 Cr -₹210.56 Cr -₹863.87 Cr -₹64.16 Cr ₹788.49 Cr
Dividends Paid ₹0 ₹0 ₹0 ₹0 ₹0
Net Change in Cash -₹124.44 Cr -₹169.61 Cr -₹386.54 Cr ₹111.23 Cr ₹696.27 Cr
Metrics Q4 FY26 Q3 FY26 Q2 FY26 Q1 FY26 Q4 FY25 Q3 FY25 Q2 FY25 Q1 FY25 Q4 FY24 Q3 FY24 Q2 FY24 Q1 FY24
Revenue from Operations ₹1,255.55 Cr ₹835.14 Cr ₹1,033.2 Cr ₹1,099.9 Cr ₹1,150.88 Cr ₹1,057.55 Cr ₹992.75 Cr ₹1,144.89 Cr ₹1,050.72 Cr ₹888.1 Cr ₹987.75 Cr ₹996.41 Cr
Other Income ₹6.77 Cr ₹5.38 Cr ₹6.99 Cr ₹9 Cr ₹13.89 Cr ₹10.81 Cr ₹10.85 Cr ₹11.5 Cr ₹12.62 Cr ₹12.65 Cr ₹37.23 Cr ₹17.97 Cr
Total Income ₹1,262.32 Cr ₹840.52 Cr ₹1,040.19 Cr ₹1,108.9 Cr ₹1,164.77 Cr ₹1,068.36 Cr ₹1,003.6 Cr ₹1,156.39 Cr ₹1,063.34 Cr ₹900.75 Cr ₹1,024.98 Cr ₹1,014.38 Cr
Cost of Materials Consumed ₹623.48 Cr ₹565.53 Cr ₹649.37 Cr ₹712.41 Cr ₹743.24 Cr ₹696.72 Cr ₹715.35 Cr ₹763.15 Cr ₹699.96 Cr ₹642.12 Cr ₹657.57 Cr ₹716.16 Cr
Purchases of Stock-in-Trade ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹85 Lakh
Changes in Inventories ₹100.93 Cr ₹7.04 Cr -₹5.55 Cr ₹20.28 Cr ₹17.83 Cr -₹13.55 Cr -₹91.24 Cr -₹78.58 Cr ₹23.7 Cr -₹38.84 Cr -₹1.31 Cr ₹7.96 Cr
Employee Benefit Expense ₹70.03 Cr ₹65.03 Cr ₹64.75 Cr ₹65.12 Cr ₹68.04 Cr ₹66.77 Cr ₹66.17 Cr ₹58.33 Cr ₹51.05 Cr ₹41.98 Cr ₹39.04 Cr ₹38.15 Cr
Finance Costs ₹57.62 Cr ₹58.24 Cr ₹60.33 Cr ₹59.2 Cr ₹61.66 Cr ₹58.78 Cr ₹56.79 Cr ₹58.65 Cr ₹50.95 Cr ₹46.81 Cr ₹38.6 Cr ₹44.16 Cr
Depreciation & Amortisation ₹54.59 Cr ₹53.18 Cr ₹52.1 Cr ₹53.28 Cr ₹61.85 Cr ₹47.05 Cr ₹45.3 Cr ₹44.71 Cr ₹45.97 Cr ₹37.61 Cr ₹35.33 Cr ₹32.45 Cr
Other Expenses ₹266.77 Cr ₹254.29 Cr ₹281.38 Cr ₹285.02 Cr ₹285.04 Cr ₹275.56 Cr ₹276.69 Cr ₹277.9 Cr ₹255.03 Cr ₹249.41 Cr ₹246.5 Cr ₹267.81 Cr
Total Expenses ₹1,173.42 Cr ₹1,003.31 Cr ₹1,102.38 Cr ₹1,195.31 Cr ₹1,237.66 Cr ₹1,131.33 Cr ₹1,069.06 Cr ₹1,124.16 Cr ₹1,126.66 Cr ₹979.09 Cr ₹1,015.73 Cr ₹1,107.54 Cr
Profit Before Exceptional Items & Tax ₹88.9 Cr -₹162.79 Cr -₹62.19 Cr -₹86.41 Cr -₹72.89 Cr -₹62.97 Cr -₹65.46 Cr ₹32.23 Cr -₹63.32 Cr -₹78.34 Cr ₹9.25 Cr -₹93.16 Cr
Exceptional Items -₹149.92 Cr ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0
Profit Before Tax -₹61.02 Cr -₹162.79 Cr -₹62.19 Cr -₹86.41 Cr -₹72.89 Cr -₹62.97 Cr -₹65.46 Cr ₹32.23 Cr -₹63.32 Cr -₹78.34 Cr ₹9.25 Cr -₹93.16 Cr
Total Tax Expense -₹15.64 Cr -₹43.59 Cr -₹11.15 Cr -₹22.16 Cr -₹18.72 Cr -₹14.15 Cr -₹34.18 Cr ₹8.34 Cr -₹32.19 Cr ₹11.04 Cr -₹16.8 Cr -₹29.19 Cr
Net Profit -₹45.38 Cr -₹119.2 Cr -₹51.04 Cr -₹64.25 Cr -₹54.17 Cr -₹48.82 Cr -₹31.28 Cr ₹23.89 Cr -₹31.13 Cr -₹89.38 Cr ₹26.05 Cr -₹63.97 Cr
  attributable to Owners ₹0 ₹0 ₹0 -₹64.44 Cr -₹54.17 Cr - -₹31.26 Cr ₹24.12 Cr -₹31.24 Cr -₹89.38 Cr ₹26.05 Cr -₹63.97 Cr
  attributable to NCI ₹0 ₹0 ₹0 ₹0 ₹0 - ₹0 ₹0 ₹0 ₹0 ₹0 ₹0
Other Comprehensive Income ₹1.52 Cr -₹76 Lakh -₹18 Lakh -₹19 Lakh ₹432.29 Cr ₹30 Lakh ₹45.39 Cr ₹23 Lakh -₹11 Lakh ₹22 Lakh ₹21 Lakh ₹22 Lakh
Total Comprehensive Income -₹43.86 Cr -₹119.96 Cr -₹51.22 Cr -₹64.44 Cr ₹378.12 Cr -₹48.52 Cr ₹14.11 Cr ₹24.12 Cr -₹31.24 Cr -₹89.16 Cr ₹26.26 Cr -₹63.75 Cr
EBITDA (computed) ₹201.11 Cr -₹51.37 Cr ₹50.24 Cr ₹26.07 Cr ₹50.62 Cr ₹42.86 Cr ₹36.63 Cr ₹135.59 Cr ₹33.6 Cr ₹6.08 Cr ₹83.18 Cr -₹16.55 Cr
Basic EPS ₹-2.87 ₹-7.45 ₹-3.21 ₹-4.02 ₹-3.39 ₹-3.06 ₹-1.95 ₹1.51 ₹-1.97 ₹-5.65 ₹1.65 ₹-4.05
Diluted EPS ₹-2.87 ₹-7.45 ₹-3.21 ₹-4.02 ₹-3.39 ₹-3.06 ₹-1.95 ₹1.51 ₹-1.97 ₹-5.65 ₹1.65 ₹-4.05
Latest 12 quarters shown of 19 on record.
Segment · Q4 FY26 (latest quarter) Revenue Result (PBIT) Assets Liabilities
Specialities ₹612.24 Cr ₹46.24 Cr ₹4,920.55 Cr ₹2,385.11 Cr
Commodity ₹669.72 Cr -₹49.99 Cr ₹1,559.59 Cr ₹2,340.4 Cr
Segment · FY 2026 (annual) Revenue Result (PBIT) Assets Liabilities
Specialities ₹2,169.98 Cr -₹33.66 Cr - -
Commodity ₹2,261.64 Cr -₹104.21 Cr - -
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022
Revenue from Operations ₹2,169.98 Cr ₹2,387.61 Cr ₹1,655.58 Cr ₹2,196.67 Cr ₹2,012.15 Cr
Other Income ₹14.57 Cr ₹21.13 Cr ₹41.71 Cr ₹25.75 Cr ₹32.66 Cr
Total Income ₹2,184.55 Cr ₹2,408.74 Cr ₹1,697.29 Cr ₹2,222.42 Cr ₹2,044.81 Cr
Cost of Materials Consumed ₹895.08 Cr ₹991.05 Cr ₹726.19 Cr ₹739.95 Cr ₹701.9 Cr
Purchases of Stock-in-Trade ₹127.47 Cr ₹287.37 Cr ₹160.56 Cr ₹241.18 Cr ₹0
Changes in Inventories ₹22.64 Cr -₹44.47 Cr -₹38.4 Cr -₹3.91 Cr -₹1.51 Cr
Employee Benefit Expense ₹179.08 Cr ₹184.04 Cr ₹117.61 Cr ₹99.84 Cr ₹77.2 Cr
Finance Costs ₹106.91 Cr ₹86.81 Cr ₹32.7 Cr ₹22.64 Cr ₹135.75 Cr
Depreciation & Amortisation ₹156.38 Cr ₹148.16 Cr ₹106.73 Cr ₹92.4 Cr ₹90.82 Cr
Other Expenses ₹837.54 Cr ₹867.68 Cr ₹748.07 Cr ₹813.83 Cr ₹607.02 Cr
Total Expenses ₹2,325.1 Cr ₹2,520.64 Cr ₹1,853.46 Cr ₹2,005.93 Cr ₹1,611.18 Cr
Profit Before Exceptional Items & Tax -₹140.55 Cr -₹111.9 Cr -₹156.17 Cr ₹216.49 Cr ₹433.63 Cr
Exceptional Items -₹898 Cr ₹0 ₹0 -₹49.8 Cr ₹0
Profit Before Tax -₹1,038.55 Cr -₹111.9 Cr -₹156.17 Cr ₹166.69 Cr ₹433.63 Cr
Total Tax Expense -₹35.16 Cr -₹46.33 Cr -₹52.3 Cr ₹21.12 Cr ₹54.15 Cr
Net Profit -₹1,003.39 Cr -₹65.57 Cr -₹103.87 Cr ₹145.57 Cr ₹379.48 Cr
Other Comprehensive Income ₹18 Lakh ₹421.99 Cr ₹41 Lakh ₹36 Lakh ₹126 Cr
Total Comprehensive Income -₹1,003.21 Cr ₹356.42 Cr -₹103.46 Cr ₹145.93 Cr ₹505.48 Cr
EBITDA (computed) ₹122.74 Cr ₹123.07 Cr -₹16.74 Cr ₹331.53 Cr ₹660.2 Cr
Basic EPS ₹-63.46 ₹-4.15 ₹-6.57 ₹9.21 ₹25.54
Diluted EPS ₹-63.46 ₹-4.15 ₹-6.57 ₹9.21 ₹25.54
Metrics FY 2026 FY 2025 FY 2024 FY 2023
Total Assets ₹5,578.58 Cr ₹6,438.85 Cr ₹5,830.26 Cr ₹5,494.21 Cr
Non-current Assets ₹4,487.71 Cr ₹5,232.8 Cr ₹4,712.92 Cr ₹4,211.53 Cr
Current Assets ₹1,090.87 Cr ₹1,206.05 Cr ₹1,117.34 Cr ₹1,282.68 Cr
Property, Plant & Equipment ₹3,405.83 Cr ₹3,462.89 Cr ₹2,929.31 Cr ₹2,199.9 Cr
Inventories ₹391.4 Cr ₹395.76 Cr ₹381.67 Cr ₹392.59 Cr
Trade Receivables ₹169.8 Cr ₹143.83 Cr ₹182.66 Cr ₹255.98 Cr
Cash & Equivalents ₹275.86 Cr ₹404.39 Cr ₹282.72 Cr ₹512.24 Cr
Equity (Net Worth) ₹3,193.47 Cr ₹4,196.68 Cr ₹3,840.26 Cr ₹3,943.72 Cr
Equity Share Capital ₹79.06 Cr ₹79.06 Cr ₹79.06 Cr ₹79.06 Cr
Borrowings (Non-current) ₹688.38 Cr ₹581.22 Cr ₹499.31 Cr ₹203.97 Cr
Borrowings (Current) ₹491.5 Cr ₹408.2 Cr ₹151.46 Cr ₹2.87 Cr
Total Debt (computed) ₹1,179.88 Cr ₹989.42 Cr ₹650.77 Cr ₹206.84 Cr
Current Liabilities ₹1,331.32 Cr ₹1,254.82 Cr ₹962.32 Cr ₹763.02 Cr
Total Liabilities ₹2,385.11 Cr ₹2,242.17 Cr ₹1,990 Cr ₹1,550.49 Cr
The balance sheet became part of the exchange results-filing format in FY2023 - earlier years were not filed and are hidden.
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022
Operating Cash Flow ₹119.59 Cr ₹218.81 Cr -₹97.98 Cr ₹270.59 Cr ₹430 Cr
Investing Cash Flow -₹319.01 Cr -₹349.38 Cr -₹537.18 Cr -₹286.25 Cr -₹50.85 Cr
Financing Cash Flow ₹70.89 Cr ₹252.24 Cr ₹405.64 Cr ₹170.64 Cr -₹95.89 Cr
Capital Expenditure ₹308.22 Cr ₹345.77 Cr ₹601.57 Cr ₹397.11 Cr ₹93.92 Cr
Free Cash Flow (computed) -₹188.63 Cr -₹126.96 Cr -₹699.55 Cr -₹126.52 Cr ₹336.08 Cr
Dividends Paid ₹0 ₹0 ₹0 ₹0 ₹0
Net Change in Cash -₹128.53 Cr ₹121.67 Cr -₹229.52 Cr ₹154.98 Cr ₹283.26 Cr
Metrics Q4 FY26 Q3 FY26 Q2 FY26 Q1 FY26 Q4 FY25 Q3 FY25 Q2 FY25 Q1 FY25 Q4 FY24 Q3 FY24 Q2 FY24 Q1 FY24
Revenue from Operations ₹612.24 Cr ₹504.34 Cr ₹558.12 Cr ₹495.28 Cr ₹725.62 Cr ₹585.92 Cr ₹516.25 Cr ₹559.82 Cr ₹516 Cr ₹439.11 Cr ₹350.62 Cr ₹349.85 Cr
Other Income ₹3.84 Cr ₹2.37 Cr ₹2.98 Cr ₹5.38 Cr ₹7.61 Cr ₹4.49 Cr ₹4.83 Cr ₹4.2 Cr ₹5.06 Cr ₹4.18 Cr ₹25.8 Cr ₹6.67 Cr
Total Income ₹616.08 Cr ₹506.71 Cr ₹561.1 Cr ₹500.66 Cr ₹733.23 Cr ₹590.41 Cr ₹521.08 Cr ₹564.02 Cr ₹521.06 Cr ₹443.29 Cr ₹376.42 Cr ₹356.52 Cr
Cost of Materials Consumed ₹191.75 Cr ₹206.03 Cr ₹208.36 Cr ₹288.94 Cr ₹279.25 Cr ₹250.99 Cr ₹233.09 Cr ₹227.72 Cr ₹228.35 Cr ₹175.8 Cr ₹154.63 Cr ₹167.41 Cr
Purchases of Stock-in-Trade ₹17.79 Cr ₹12.6 Cr ₹94.49 Cr ₹2.59 Cr ₹128.36 Cr ₹51.63 Cr ₹0 ₹107.38 Cr ₹31.02 Cr ₹128.69 Cr ₹0 ₹85 Lakh
Changes in Inventories ₹68.03 Cr ₹55.95 Cr -₹24 Cr -₹77.34 Cr ₹9.37 Cr ₹4.48 Cr ₹13.03 Cr -₹71.35 Cr ₹48.06 Cr -₹69.18 Cr -₹3.21 Cr -₹14.07 Cr
Employee Benefit Expense ₹47.39 Cr ₹46.9 Cr ₹43.73 Cr ₹41.06 Cr ₹52.69 Cr ₹46.85 Cr ₹44.78 Cr ₹39.72 Cr ₹37.1 Cr ₹29.43 Cr ₹25.6 Cr ₹25.48 Cr
Finance Costs ₹26.81 Cr ₹25.74 Cr ₹27.99 Cr ₹26.37 Cr ₹26.11 Cr ₹21.46 Cr ₹19.65 Cr ₹19.59 Cr ₹13.02 Cr ₹10.85 Cr ₹4.02 Cr ₹4.81 Cr
Depreciation & Amortisation ₹40.13 Cr ₹39.07 Cr ₹38.01 Cr ₹39.17 Cr ₹46.3 Cr ₹34.99 Cr ₹33.56 Cr ₹33.31 Cr ₹34.54 Cr ₹26.72 Cr ₹24.14 Cr ₹21.33 Cr
Other Expenses ₹204.73 Cr ₹197.15 Cr ₹217.59 Cr ₹218.07 Cr ₹227.52 Cr ₹217.4 Cr ₹211.26 Cr ₹211.5 Cr ₹187.78 Cr ₹184.33 Cr ₹181.68 Cr ₹194.28 Cr
Total Expenses ₹596.63 Cr ₹583.44 Cr ₹606.17 Cr ₹538.86 Cr ₹769.6 Cr ₹627.8 Cr ₹555.37 Cr ₹567.87 Cr ₹579.87 Cr ₹486.64 Cr ₹386.86 Cr ₹400.09 Cr
Profit Before Exceptional Items & Tax ₹19.45 Cr -₹76.73 Cr -₹45.07 Cr -₹38.2 Cr -₹36.37 Cr -₹37.39 Cr -₹34.29 Cr -₹3.85 Cr -₹58.81 Cr -₹43.35 Cr -₹10.44 Cr -₹43.57 Cr
Exceptional Items -₹898 Cr ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0
Profit Before Tax -₹878.55 Cr -₹76.73 Cr -₹45.07 Cr -₹38.2 Cr -₹36.37 Cr -₹37.39 Cr -₹34.29 Cr -₹3.85 Cr -₹58.81 Cr -₹43.35 Cr -₹10.44 Cr -₹43.57 Cr
Total Tax Expense ₹4.39 Cr -₹20.23 Cr -₹9.54 Cr -₹9.78 Cr -₹11.16 Cr -₹7.64 Cr -₹26.42 Cr -₹1.11 Cr -₹29.1 Cr ₹16.56 Cr -₹24.17 Cr -₹15.59 Cr
Net Profit -₹882.94 Cr -₹56.5 Cr -₹35.53 Cr -₹28.42 Cr -₹25.21 Cr -₹29.75 Cr -₹7.87 Cr -₹2.74 Cr -₹29.71 Cr -₹59.91 Cr ₹13.73 Cr -₹27.98 Cr
Other Comprehensive Income ₹76 Lakh -₹39 Lakh -₹9 Lakh -₹10 Lakh ₹376.25 Cr ₹23 Lakh ₹45.33 Cr ₹18 Lakh -₹5 Lakh ₹16 Lakh ₹14 Lakh ₹16 Lakh
Total Comprehensive Income -₹882.18 Cr -₹56.89 Cr -₹35.62 Cr -₹28.52 Cr ₹351.04 Cr -₹29.52 Cr ₹37.46 Cr -₹2.56 Cr -₹29.76 Cr -₹59.75 Cr ₹13.87 Cr -₹27.82 Cr
EBITDA (computed) ₹86.39 Cr -₹11.92 Cr ₹20.93 Cr ₹27.34 Cr ₹36.04 Cr ₹19.06 Cr ₹18.92 Cr ₹49.05 Cr -₹11.25 Cr -₹5.78 Cr ₹17.72 Cr -₹17.43 Cr
Basic EPS ₹-55.84 ₹-3.57 ₹-2.25 ₹-1.80 ₹-1.59 ₹-1.88 ₹-0.50 ₹-0.17 ₹-1.88 ₹-3.79 ₹0.87 ₹-1.77
Diluted EPS ₹-55.84 ₹-3.57 ₹-2.25 ₹-1.80 ₹-1.59 ₹-1.88 ₹-0.50 ₹-0.17 ₹-1.88 ₹-3.79 ₹0.87 ₹-1.77
Latest 12 quarters shown of 19 on record.
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Shareholding Pattern of Chemplast Sanmar Limited

As per the shareholding pattern filed with NSE for the quarter ended Mar 2026, promoters hold 54.99%, foreign institutional investors hold 12.48%, domestic institutional investors hold 25.62%, retail and other public shareholders hold 6.91% of Chemplast Sanmar Limited. The company had 62,594 shareholders on record.

Promoters: 54.99%DII (Domestic Institutional): 25.62%FII (Foreign Institutional): 12.48%Retail & Others: 6.91%
Mar 2026
QUARTER
54.99% Promoters
25.62% DII (Domestic Institutional)
12.48% FII (Foreign Institutional)
6.91% Retail & Others
Promoter holding - history
Now 54.99% · Mar 2026High 54.99% · Sep 2021Low 54.99% · Sep 2021
53%53.8%54.5%55.3%56%Sep 2021Sep 2022Sep 2023Sep 2024Sep 2025Sep 2021: 54.99%Dec 2021: 54.99%Mar 2022: 54.99%Jun 2022: 54.99%Sep 2022: 54.99%Dec 2022: 54.99%Mar 2023: 54.99%Jun 2023: 54.99%Sep 2023: 54.99%Dec 2023: 54.99%Mar 2024: 54.99%Jun 2024: 54.99%Sep 2024: 54.99%Dec 2024: 54.99%Mar 2025: 54.99%Jun 2025: 54.99%Sep 2025: 54.99%Dec 2025: 54.99%Mar 2026: 54.99%54.99%54.99%
Shareholding trend - last 6 quarters
Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024
Promoters54.99%54.99%54.99%54.99%54.99%54.99%
Public45.01%45.01%45.01%45.01%45.01%45.01%
Shareholding history - year on year (as at 31 March)
Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Promoters54.99%54.99%54.99%54.99%54.99%
Public45.01%45.01%45.01%45.01%45.01%
Promoter change (YoY, %pts)+0.00+0.00+0.00+0.00-

Board & Governance of Chemplast Sanmar Limited

As per the corporate governance filing with NSE for the quarter ended 31-MAR-2026, the board of Chemplast Sanmar Limited has 8 directors - 5 independent and 1 executive. The board is chaired by VIJAY SANKAR.

DirectorPositionOn board sinceListed boards
VIJAY SANKAR Non-Executive - Non Independent Director · Chairperson 2021-04-26 4
RAMKUMAR SHANKAR Executive Director · MD 2021-02-01 1
SUMIT MAHESHWARI Non-Executive - Non Independent Director 2024-05-20 4
VIKRAM TARANATH HOSANGADY Non-Executive - Independent Director 2023-05-16 5
LAKSHMI VIJAYAKUMAR Non-Executive - Independent Director 2021-04-26 1
ADITYA JAIN Non-Executive - Independent Director 2021-04-26 2
SANJAY VIJAY BHANDARKAR Non-Executive - Independent Director 2021-04-26 4
PRASAD RAGHAVA MENON Non-Executive - Independent Director 2021-04-26 3
Board Committees
CommitteeMembers
Audit Committee SANJAY VIJAY BHANDARKAR (Chairperson), VIJAY SANKAR, PRASAD RAGHAVA MENON, VIKRAM TARANATH HOSANGADY
Nomination and remuneration committee ADITYA JAIN (Chairperson), VIJAY SANKAR, SANJAY VIJAY BHANDARKAR
Stakeholders Relationship Committee ADITYA JAIN (Chairperson), VIJAY SANKAR, VIKRAM TARANATH HOSANGADY
Risk Management Committee ADITYA JAIN (Chairperson), VIJAY SANKAR, SANJAY VIJAY BHANDARKAR, VIKRAM TARANATH HOSANGADY

Group Structure of Chemplast Sanmar Limited

Chemplast Sanmar Limited has 1 subsidiary company. This group structure data is as of FY 2023. The corporate group structure reflects Chemplast Sanmar Limited's business expansion strategy and organizational complexity.

1
Subsidiary companies
Key Subsidiaries
Company Name CIN Shares Held
Chemplast Cuddalore Vinyls Limited U24100TN1991PLC020589 -

Showing major subsidiaries. Total: 1.

Charges & Borrowings of Chemplast Sanmar Limited

Open charges
₹2,425.91 Cr
Satisfied charges
₹7,673.18 Cr
Breakdown by lending institutions
Others₹935.04 Cr
State Bank of India₹425.00 Cr
Yes Bank Limited₹400.00 Cr
Idbi Trusteeship Services Limited₹310.00 Cr
Idbi Bank Limited₹180.50 Cr
Others₹175.37 Cr
Latest charge details
DateLenderAmountStatus
21 Mar 2025 Idbi Bank Limited ₹19.5 Cr Open
27 Feb 2025 Yes Bank Limited ₹200 Cr Open
12 Mar 2024 Indian Overseas Bank ₹10.6 Lakh Open
08 Mar 2024 Indian Overseas Bank ₹26.6 Lakh Open
26 Apr 2023 Idbi Trusteeship Services Limited ₹150 Cr Open

Total charge records: 82 View all charges

Employees and EPFO Compliance at Chemplast Sanmar Limited

Chemplast Sanmar Limited has a workforce of 1,353 employees as of Apr 04, 2024.

Employee count
1,353
Active EPFO establishments
14
Employee growth
12.38%
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Employee and EPFO history for Chemplast Sanmar Limited

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GST Compliance of Chemplast Sanmar Limited

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Credit Ratings, Litigation & Regulatory Alerts for Chemplast Sanmar Limited

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MSME Payment Delays by Chemplast Sanmar Limited

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MSME payment history for Chemplast Sanmar Limited

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Subsidiaries & Group Companies of Chemplast Sanmar Limited

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Corporate group structure for Chemplast Sanmar Limited

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MCA Filings & Documents of Chemplast Sanmar Limited

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MCA filings and documents for Chemplast Sanmar Limited

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Recent Activity on Chemplast Sanmar Limited

Activity
12 Aug 2025
Chemplast Sanmar Limited last Annual general meeting of members was held on 12 Aug 2025 as per latest MCA records.
Charges
03 Jun 2025
A charge with Others of Rs. 120.00 Cr registered on 21 Feb 2020 with Charge ID 100326679 was modified on 03 Jun 2025.
Activity
31 Mar 2025
Chemplast Sanmar Limited has filed its annual Financial statements for the year ended 31 Mar 2025 with Roc Chennai.
Charges
21 Mar 2025
A charge with Idbi Bank Limited amounted to Rs. 19.50 Cr with Charge ID 101076864 was registered on 21 Mar 2025.
Charges
18 Mar 2025
A charge with Idbi Bank Limited of Rs. 161.00 Cr registered on 05 Dec 2022 with Charge ID 100658150 was modified on 18 Mar 2025.
Charges
27 Feb 2025
A charge with Yes Bank Limited amounted to Rs. 200.00 Cr with Charge ID 101062117 was registered on 27 Feb 2025.

Frequently Asked Questions about Chemplast Sanmar Limited

Chemplast Sanmar Limited is an active public limited company in the chemicals and materials sector based in Madras, Tamil Nadu, India. It was incorporated on 13 March 1985 (41+ years old) and is registered under CIN L24230TN1985PLC011637. Listed on BSE: 543336 and NSE: CHEMPLASTS. The company has 1,353 employees.

Chemplast Sanmar Limited reported revenue of ₹4,223.79 Cr for FY 2026 (down 2.81% YoY) based on consolidated NSE filings.

The current directors and KMP of Chemplast Sanmar Limited are:

The primary industry of Chemplast Sanmar Limited is chemicals and materials. The company specifically operates in specialty chemicals. The company is currently active in this sector.

Yes. Chemplast Sanmar Limited is listed on both BSE (code: 543336) and NSE (symbol: CHEMPLASTS).

Chemplast Sanmar Limited can be reached at the registered office: 9 Cathedral Rd, Madras, Tamil Nadu, India – 600086, or through the website chemplastsanmar.com.

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Financials, directors, compliance, charges and shareholding - sourced from MCA, SEBI and RBI filings.

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