Chemplast Sanmar Limited
Chemplast Sanmar Limited engages in manufacturing and selling of specialty chemicals in India. The company offers specialty paste PVC resins; custom manufactured chemicals, such as organic chemicals, and phyto chemicals comprising colchicine and thiocolchicoside; and hydrogen peroxide. It also provides caustic chlor products, including caustic soda lye and flakes, chlorine, hydrochloric acid, and… Read more
Chemplast Sanmar Limited (CHEMPLASTS) - Total Assets
Latest total assets as of September 2025: ₹64.73 Billion INR
Based on the latest financial reports, Chemplast Sanmar Limited (CHEMPLASTS) holds total assets worth ₹64.73 Billion INR as of September 2025.
Total assets represent everything the company owns and controls, combining both current assets—like cash and cash equivalents, accounts receivable, and inventories—and non-current assets such as property, plant, equipment (PP&E), intangible assets, and long-term investments.
Chemplast Sanmar Limited - Total Assets Trend (2006–2025)
This chart illustrates how Chemplast Sanmar Limited’s total assets have evolved over time, based on quarterly financial data. Explore and compare other companies by total assets.
Chemplast Sanmar Limited - Asset Composition Analysis
Current Asset Composition (March 2025)
Chemplast Sanmar Limited's total assets of ₹64.73 Billion consist of 27.3% current assets and 72.7% non-current assets.
| Asset Category | Amount (INR) | % of Total Assets |
|---|---|---|
| Cash & Equivalents | ₹0.00 | 11.1% |
| Accounts Receivable | ₹1.76 Billion | 2.7% |
| Inventory | ₹6.57 Billion | 10.1% |
| Property, Plant & Equipment | ₹0.00 | 0.0% |
| Intangible Assets | ₹66.30 Million | 0.1% |
| Goodwill | ₹0.00 | 0.0% |
Asset Composition Trend (2006–2025)
This chart illustrates how Chemplast Sanmar Limited's asset composition has evolved over time. Understanding changes in asset allocation can provide insights into the company's strategic shifts, capital allocation priorities, and business focus evolution.
Key Asset Composition Facts
- Current vs. Non-Current Assets: Chemplast Sanmar Limited's current assets represent 27.3% of total assets in 2025, a decrease from 28.8% in 2006.
- Cash Position: Cash and equivalents constituted 11.1% of total assets in 2025, up from 0.8% in 2006.
- Tangible vs. Intangible: Intangible assets (including goodwill) make up 0.0% of total assets, a decrease from 13.0% in 2006.
- Asset Diversification: The largest asset category is inventory at 10.1% of total assets.
Chemplast Sanmar Limited Competitors by Total Assets
Key competitors of Chemplast Sanmar Limited based on total assets are shown below.
| Company | Country | Total Assets |
|---|---|---|
|
Renxin New Material Co. Ltd. A
SHE:301395
|
China | CN¥1.99 Billion |
|
Engro Corporation Ltd
KAR:ENGRO
|
Pakistan | PKRs765.68 Billion |
|
Fatima Fertilizer Company Ltd
KAR:FATIMA
|
Pakistan | PKRs256.23 Billion |
|
North Huajin Chemical Industries Co Ltd
SHE:000059
|
China | CN¥24.47 Billion |
|
Jiangsu Wujiang China Eastern Silk Market Co Ltd
SHE:000301
|
China | CN¥212.80 Billion |
|
Zangge Holding Co Ltd
SHE:000408
|
China | CN¥16.36 Billion |
|
Sichuan Jinlu Group Co Ltd
SHE:000510
|
China | CN¥2.53 Billion |
|
Jilin Gpro Titanium Industry Co Ltd
SHE:000545
|
China | CN¥2.48 Billion |
Chemplast Sanmar Limited - Asset Efficiency Metrics
Asset efficiency metrics measure how effectively a company uses its assets to generate revenue and profits. These indicators help investors evaluate management's ability to deploy capital efficiently.
Asset Turnover Ratio
Measures how efficiently a company uses its assets to generate sales
Moderate asset utilization - Chemplast Sanmar Limited generates 0.67x its asset value in annual revenue.
Return on Assets (ROA)
Measures how efficiently a company uses its assets to generate profits
Negative ROA - Chemplast Sanmar Limited is currently not profitable relative to its asset base.
Chemplast Sanmar Limited - Liquidity and Working Capital Analysis
Liquidity ratios measure a company's ability to pay off its short-term debts as they come due, using the company's current or quick assets. Working capital represents the operational liquidity available.
Key Liquidity Metrics
| Metric | Current | 1 Year Ago | 5 Years Ago |
|---|---|---|---|
| Current Ratio | 0.59 | 0.71 | 0.96 |
| Quick Ratio | 0.34 | 0.43 | 0.73 |
| Cash Ratio | 0.00 | 0.00 | 0.00 |
| Working Capital | ₹-11.57 Billion | ₹ -7.60 Billion | ₹ -97.85 Million |
Chemplast Sanmar Limited - Advanced Valuation Insights
This section examines the relationship between Chemplast Sanmar Limited's asset base and its market valuation, helping to identify whether the company's assets are efficiently translated into market value.
Key Valuation Metrics
| Current Price-to-Book Ratio | 2.23 |
| Latest Market Cap to Assets Ratio | 0.00 |
| Asset Growth Rate (YoY) | 7.8% |
| Total Assets | ₹65.03 Billion |
| Market Capitalization | $183.76 Million USD |
Valuation Analysis
Below Book Valuation: The market values Chemplast Sanmar Limited's assets below their book value (0.00 x), which may indicate investor concerns about asset quality or future growth.
Positive Asset Growth: Chemplast Sanmar Limited's assets grew by 7.8% over the past year, showing continued investment in the company's operational capacity.
Annual Total Assets for Chemplast Sanmar Limited (2006–2025)
The table below shows the annual total assets of Chemplast Sanmar Limited from 2006 to 2025.
| Year | Total Assets | Change |
|---|---|---|
| 2025-03-31 | ₹65.03 Billion | +7.84% |
| 2024-03-31 | ₹60.30 Billion | +3.32% |
| 2023-03-31 | ₹58.37 Billion | +4.21% |
| 2022-03-31 | ₹56.01 Billion | +24.85% |
| 2021-03-31 | ₹44.86 Billion | +9.22% |
| 2020-03-31 | ₹41.08 Billion | +8.05% |
| 2019-03-31 | ₹38.02 Billion | +42.67% |
| 2018-03-31 | ₹26.65 Billion | +10.40% |
| 2017-03-31 | ₹24.14 Billion | +29.96% |
| 2014-03-31 | ₹18.57 Billion | -3.15% |
| 2013-03-31 | ₹19.18 Billion | -0.03% |
| 2012-03-31 | ₹19.18 Billion | -10.36% |
| 2011-03-31 | ₹21.40 Billion | +0.99% |
| 2010-03-31 | ₹21.19 Billion | +17.31% |
| 2009-03-31 | ₹18.06 Billion | +27.65% |
| 2008-03-31 | ₹14.15 Billion | +54.81% |
| 2007-03-31 | ₹9.14 Billion | +37.51% |
| 2006-03-31 | ₹6.65 Billion | -- |