View Past PerformanceSPP Polymer 대차대조표 건전성재무 건전성 기준 점검 6/6SPP Polymer 의 총 주주 지분은 ₹461.4M 이고 총 부채는 ₹129.1M, 이는 부채 대 자기자본 비율을 28% 로 가져옵니다. 총자산과 총부채는 각각 ₹817.5M 및 ₹356.0M 입니다.핵심 정보27.98%부채/자본 비율₹129.11m부채이자보상배율n/a현금₹645.00k자본₹461.44m총부채₹356.02m총자산₹817.47m최근 재무 건전성 업데이트업데이트 없음모든 업데이트 보기Recent 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).공시 • 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.분석 기사 • 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).공시 • 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, 2025공시 • 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.재무 상태 분석단기부채: SPPPOLY 의 단기 자산 ( ₹574.8M )이 단기 부채( ₹354.1M ).장기 부채: SPPPOLY의 단기 자산(₹574.8M)이 장기 부채(₹1.9M)를 초과합니다.부채/자본 비율 추이 및 분석부채 수준: SPPPOLY 의 순부채 대 자기자본 비율( 27.8% )은 satisfactory로 간주됩니다.부채 감소: SPPPOLY의 부채 대비 자본 비율은 지난 5년 동안 34.1%에서 28%로 감소했습니다.대차대조표현금 보유 기간 분석과거에 평균적으로 손실을 기록해 온 기업의 경우, 최소 1년 이상의 현금 보유 기간이 있는지 평가합니다.안정적인 현금 활주로: 수익성이 없는 SPPPOLY 현재의 플러스 무료 현금 흐름 수준을 유지한다면 3년 이상 충분한 현금 활주로를 보유하고 있습니다.예측 현금 활주로: SPPPOLY 은(는) 수익성이 없지만 잉여 현금 흐름이 긍정적이고 매년 28.5 %씩 성장하기 때문에 3년 이상 충분한 현금 활주로를 보유하고 있습니다.건전한 기업 찾아보기7D1Y7D1Y7D1YMaterials 산업의 건실한 기업.View Dividend기업 분석 및 재무 데이터 상태데이터최종 업데이트 (UTC 시간)기업 분석2026/05/22 12:34종가2026/05/22 00:00수익2026/03/31연간 수익2026/03/31데이터 소스당사의 기업 분석에 사용되는 데이터는 S&P Global Market Intelligence LLC에서 제공됩니다. 아래 데이터는 이 보고서를 생성하기 위해 분석 모델에서 사용됩니다. 데이터는 정규화되므로 소스가 제공된 후 지연이 발생할 수 있습니다.패키지데이터기간미국 소스 예시 *기업 재무제표10년손익계산서현금흐름표대차대조표SEC 양식 10-KSEC 양식 10-Q분석가 컨센서스 추정치+3년재무 예측분석가 목표주가분석가 리서치 보고서Blue Matrix시장 가격30년주가배당, 분할 및 기타 조치ICE 시장 데이터SEC 양식 S-1지분 구조10년주요 주주내부자 거래SEC 양식 4SEC 양식 13D경영진10년리더십 팀이사회SEC 양식 10-KSEC 양식 DEF 14A주요 개발10년회사 공시SEC 양식 8-K* 미국 증권에 대한 예시이며, 비(非)미국 증권에는 해당 국가의 규제 서식 및 자료원을 사용합니다.별도로 명시되지 않는 한 모든 재무 데이터는 연간 기간을 기준으로 하지만 분기별로 업데이트됩니다. 이를 TTM(최근 12개월) 또는 LTM(지난 12개월) 데이터라고 합니다. 자세히 알아보기.분석 모델 및 스노우플레이크이 보고서를 생성하는 데 사용된 분석 모델에 대한 자세한 내용은 당사의 Github 페이지에서 확인하실 수 있습니다. 또한 보고서 활용 방법에 대한 가이드와 YouTube 튜토리얼도 제공합니다.Simply Wall St 분석 모델을 설계하고 구축한 세계적 수준의 팀에 대해 알아보세요.산업 및 섹터 지표산업 및 섹터 지표는 Simply Wall St가 6시간마다 계산하며, 프로세스에 대한 자세한 내용은 Github에서 확인할 수 있습니다.분석가 소스SPP Polymer Limited는 0명의 분석가가 다루고 있습니다. 이 중 0명의 분석가가 우리 보고서에 입력 데이터로 사용되는 매출 또는 수익 추정치를 제출했습니다. 분석가의 제출 자료는 하루 종일 업데이트됩니다.
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).
공시 • 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.
분석 기사 • 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).
공시 • 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
공시 • 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.