View Past PerformanceSPP Polymer バランスシートの健全性財務の健全性 基準チェック /66SPP Polymerの総株主資本は₹461.4M 、総負債は₹129.1Mで、負債比率は28%となります。総資産と総負債はそれぞれ₹817.5Mと₹356.0Mです。主要情報27.98%負債資本比率₹129.11m負債インタレスト・カバレッジ・レシオn/a現金₹645.00kエクイティ₹461.44m負債合計₹356.02m総資産₹817.47m財務の健全性に関する最新情報更新なしすべての更新を表示Recent updatesReported Earnings • May 17Full year 2026 earnings released: ₹2.70 loss per share (vs ₹0.73 profit in FY 2025)Full year 2026 results: ₹2.70 loss per share (down from ₹0.73 profit in FY 2025). Revenue: ₹1.13b (up 5.4% from FY 2025). Net loss: ₹41.6m (down 470% from profit in FY 2025).お知らせ • May 12SPP Polymer Limited to Report Second Half, 2026 Results on May 15, 2026SPP Polymer Limited announced that they will report second half, 2026 results on May 15, 2026Buy Or Sell Opportunity • Apr 30Now 24% undervalued after recent price dropOver the last 90 days, the stock has fallen 11% to ₹13.50. The fair value is estimated to be ₹17.70, however this is not to be taken as a buy recommendation but rather should be used as a guide only. Revenue has grown by 7.6% over the last year. Meanwhile, the company became loss making.Buy Or Sell Opportunity • Mar 04Now 20% undervalued after recent price dropOver the last 90 days, the stock has fallen 11% to ₹14.35. The fair value is estimated to be ₹18.02, however this is not to be taken as a buy recommendation but rather should be used as a guide only. Revenue has grown by 7.6% over the last year. Meanwhile, the company became loss making.分析記事 • Feb 11A Look At The Intrinsic Value Of SPP Polymer Limited (NSE:SPPPOLY)Key Insights Using the 2 Stage Free Cash Flow to Equity, SPP Polymer fair value estimate is ₹17.95 With ₹16.50 share...New Risk • Dec 03New major risk - Revenue and earnings growthEarnings have declined by 30% per year over the past 5 years. This is considered a major risk. Ultimately, shareholders want to see a good return on their investment and that generally comes from sharing in the company's profits. If profits are declining over an extended period, then in most cases the share price will decline over time unless the company can turn around its fortunes. A trend of falling earnings can be very difficult to turn around. If the company is well already established it may also be a sign the company has matured and is in decline. In addition, if the company pays dividends it will also likely need to reduce or cut them, striking a dual blow to total shareholder returns. Currently, the following risks have been identified for the company: Major Risks Earnings have declined by 30% per year over the past 5 years. Market cap is less than US$10m (₹259.3m market cap, or US$2.88m).お知らせ • Nov 14SPP Polymer Limited to Report First Half, 2026 Results on Nov 14, 2025SPP Polymer Limited announced that they will report first half, 2026 results on Nov 14, 2025お知らせ • Jul 28SPP Polymer Limited, Annual General Meeting, Aug 18, 2025SPP Polymer Limited, Annual General Meeting, Aug 18, 2025, at 11:00 Indian Standard Time. Location: bearing no dpt212, dlf prime, tower, okhla industrial estate, okhla industrial area phase-i, new delhi - 110020., IndiaReported Earnings • Jul 28Full year 2025 earnings released: EPS: ₹0.73 (vs ₹0.93 in FY 2024)Full year 2025 results: EPS: ₹0.73. Revenue: ₹1.09b (up 19% from FY 2024). Net income: ₹11.3m (up 8.2% from FY 2024). Profit margin: 1.0% (in line with FY 2024).Valuation Update With 7 Day Price Move • May 15Investor sentiment improves as stock rises 17%After last week's 17% share price gain to ₹18.55, the stock trades at a trailing P/E ratio of 27.5x. Average trailing P/E is 21x in the Packaging industry in India.New Risk • Apr 09New minor risk - Share price stabilityThe company's share price has been volatile over the past 3 months. It is more volatile than 75% of Indian stocks, typically moving 8.6% a week. This is considered a minor risk. Share price volatility indicates the stock is highly sensitive to market conditions or economic conditions rather than being sensitive to its own business performance, which may also be inconsistent. It also increases the risk of potential losses in the short term as the stock tends to have larger drops in price more frequently than other stocks. Currently, the following risks have been identified for the company: Major Risks Interest payments are not well covered by earnings (1.6x net interest cover). Market cap is less than US$10m (₹280.1m market cap, or US$3.23m). Minor Risks Latest financial reports are more than 6 months old (reported March 2024 fiscal period end). Share price has been volatile over the past 3 months (8.6% average weekly change).Valuation Update With 7 Day Price Move • Apr 08Investor sentiment improves as stock rises 16%After last week's 16% share price gain to ₹17.35, the stock trades at a trailing P/E ratio of 25.7x. Average trailing P/E is 19x in the Packaging industry in India.Valuation Update With 7 Day Price Move • Mar 25Investor sentiment deteriorates as stock falls 17%After last week's 17% share price decline to ₹17.00, the stock trades at a trailing P/E ratio of 25.2x. Average trailing P/E is 20x in the Packaging industry in India.財務状況分析短期負債: SPPPOLYの 短期資産 ( ₹574.8M ) が 短期負債 ( ₹354.1M ) を超えています。長期負債: SPPPOLYの短期資産 ( ₹574.8M ) が 長期負債 ( ₹1.9M ) を上回っています。デット・ツー・エクイティの歴史と分析負債レベル: SPPPOLYの 純負債対資本比率 ( 27.8% ) は 満足できる 水準であると考えられます。負債の削減: SPPPOLYの負債対資本比率は、過去 5 年間で34.1%から28%に減少しました。貸借対照表キャッシュ・ランウェイ分析過去に平均して赤字であった企業については、少なくとも1年間のキャッシュ・ランウェイがあるかどうかを評価する。安定したキャッシュランウェイ: 利益は出ていないものの、 SPPPOLYは現在のプラスの フリーキャッシュフロー レベルを維持すれば、3 年以上は十分な キャッシュランウェイ を有しています。キャッシュランウェイの予測: SPPPOLYは利益は出ていませんが、フリーキャッシュフローがプラスであり、年間28.5 % 増加しているため、3 年以上は十分なキャッシュランウェイがあります。健全な企業の発掘7D1Y7D1Y7D1YMaterials 業界の健全な企業。View Dividend企業分析と財務データの現状データ最終更新日(UTC時間)企業分析2026/06/19 13:22終値2026/06/19 00:00収益2026/03/31年間収益2026/03/31データソース企業分析に使用したデータはS&P Global Market Intelligence LLC のものです。本レポートを作成するための分析モデルでは、以下のデータを使用しています。データは正規化されているため、ソースが利用可能になるまでに時間がかかる場合があります。パッケージデータタイムフレーム米国ソース例会社財務10年損益計算書キャッシュ・フロー計算書貸借対照表SECフォーム10-KSECフォーム10-Qアナリストのコンセンサス予想+プラス3年予想財務アナリストの目標株価アナリストリサーチレポートBlue Matrix市場価格30年株価配当、分割、措置ICEマーケットデータSECフォームS-1所有権10年トップ株主インサイダー取引SECフォーム4SECフォーム13Dマネジメント10年リーダーシップ・チーム取締役会SECフォーム10-KSECフォームDEF 14A主な進展10年会社からのお知らせSECフォーム8-K* 米国証券を対象とした例であり、非米国証券については、同等の規制書式および情報源を使用。特に断りのない限り、すべての財務データは1年ごとの期間に基づいていますが、四半期ごとに更新されます。これは、TTM(Trailing Twelve Month)またはLTM(Last Twelve Month)データとして知られています。詳細はこちら。分析モデルとスノーフレークこのレポートを生成するために使用した分析モデルの詳細は、当社の Github ページ でご覧いただけます。また、レポートの使い方に関する ガイド や YouTube の チュートリアル もご用意しています。シンプリー・ウォールストリート分析モデルを設計・構築した世界トップクラスのチームについてご紹介します。業界およびセクターの指標私たちの業界とセクションの指標は、Simply Wall Stによって6時間ごとに計算されます。アナリスト筋SPP Polymer Limited 0 これらのアナリストのうち、弊社レポートのインプットとして使用した売上高または利益の予想を提出したのは、 。アナリストの投稿は一日中更新されます。0
Reported Earnings • May 17Full year 2026 earnings released: ₹2.70 loss per share (vs ₹0.73 profit in FY 2025)Full year 2026 results: ₹2.70 loss per share (down from ₹0.73 profit in FY 2025). Revenue: ₹1.13b (up 5.4% from FY 2025). Net loss: ₹41.6m (down 470% from profit in FY 2025).
お知らせ • May 12SPP Polymer Limited to Report Second Half, 2026 Results on May 15, 2026SPP Polymer Limited announced that they will report second half, 2026 results on May 15, 2026
Buy Or Sell Opportunity • Apr 30Now 24% undervalued after recent price dropOver the last 90 days, the stock has fallen 11% to ₹13.50. The fair value is estimated to be ₹17.70, however this is not to be taken as a buy recommendation but rather should be used as a guide only. Revenue has grown by 7.6% over the last year. Meanwhile, the company became loss making.
Buy Or Sell Opportunity • Mar 04Now 20% undervalued after recent price dropOver the last 90 days, the stock has fallen 11% to ₹14.35. The fair value is estimated to be ₹18.02, however this is not to be taken as a buy recommendation but rather should be used as a guide only. Revenue has grown by 7.6% over the last year. Meanwhile, the company became loss making.
分析記事 • Feb 11A Look At The Intrinsic Value Of SPP Polymer Limited (NSE:SPPPOLY)Key Insights Using the 2 Stage Free Cash Flow to Equity, SPP Polymer fair value estimate is ₹17.95 With ₹16.50 share...
New Risk • Dec 03New major risk - Revenue and earnings growthEarnings have declined by 30% per year over the past 5 years. This is considered a major risk. Ultimately, shareholders want to see a good return on their investment and that generally comes from sharing in the company's profits. If profits are declining over an extended period, then in most cases the share price will decline over time unless the company can turn around its fortunes. A trend of falling earnings can be very difficult to turn around. If the company is well already established it may also be a sign the company has matured and is in decline. In addition, if the company pays dividends it will also likely need to reduce or cut them, striking a dual blow to total shareholder returns. Currently, the following risks have been identified for the company: Major Risks Earnings have declined by 30% per year over the past 5 years. Market cap is less than US$10m (₹259.3m market cap, or US$2.88m).
お知らせ • Nov 14SPP Polymer Limited to Report First Half, 2026 Results on Nov 14, 2025SPP Polymer Limited announced that they will report first half, 2026 results on Nov 14, 2025
お知らせ • Jul 28SPP Polymer Limited, Annual General Meeting, Aug 18, 2025SPP Polymer Limited, Annual General Meeting, Aug 18, 2025, at 11:00 Indian Standard Time. Location: bearing no dpt212, dlf prime, tower, okhla industrial estate, okhla industrial area phase-i, new delhi - 110020., India
Reported Earnings • Jul 28Full year 2025 earnings released: EPS: ₹0.73 (vs ₹0.93 in FY 2024)Full year 2025 results: EPS: ₹0.73. Revenue: ₹1.09b (up 19% from FY 2024). Net income: ₹11.3m (up 8.2% from FY 2024). Profit margin: 1.0% (in line with FY 2024).
Valuation Update With 7 Day Price Move • May 15Investor sentiment improves as stock rises 17%After last week's 17% share price gain to ₹18.55, the stock trades at a trailing P/E ratio of 27.5x. Average trailing P/E is 21x in the Packaging industry in India.
New Risk • Apr 09New minor risk - Share price stabilityThe company's share price has been volatile over the past 3 months. It is more volatile than 75% of Indian stocks, typically moving 8.6% a week. This is considered a minor risk. Share price volatility indicates the stock is highly sensitive to market conditions or economic conditions rather than being sensitive to its own business performance, which may also be inconsistent. It also increases the risk of potential losses in the short term as the stock tends to have larger drops in price more frequently than other stocks. Currently, the following risks have been identified for the company: Major Risks Interest payments are not well covered by earnings (1.6x net interest cover). Market cap is less than US$10m (₹280.1m market cap, or US$3.23m). Minor Risks Latest financial reports are more than 6 months old (reported March 2024 fiscal period end). Share price has been volatile over the past 3 months (8.6% average weekly change).
Valuation Update With 7 Day Price Move • Apr 08Investor sentiment improves as stock rises 16%After last week's 16% share price gain to ₹17.35, the stock trades at a trailing P/E ratio of 25.7x. Average trailing P/E is 19x in the Packaging industry in India.
Valuation Update With 7 Day Price Move • Mar 25Investor sentiment deteriorates as stock falls 17%After last week's 17% share price decline to ₹17.00, the stock trades at a trailing P/E ratio of 25.2x. Average trailing P/E is 20x in the Packaging industry in India.