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Coromandel International Limited

NSE: COROMANDEL
Chemicals Chemicals
₹2,038.1
-1.19%EOD · 19 Aug

Coromandel International Limited is a listed Chemicals company on NSE/BSE. Detailed profile data is being compiled — check BSE filings for the latest disclosures.

Market Cap
₹60,021 Cr
52W Range
₹2500 / ₹1707
Volume
49K
49.3% delivery
1Y Return
-8.1%
P/E Ratio
33.8
P/B Ratio
4.9
ROE
15.6%
Debt / Equity
11.47

Peers in Chemicals

Top 8 by market cap
CompanyLTP30DMarket CapP/EP/BROE %Div Yld %
Coromandel International Limited(this stock)₹2,038.1₹60,021 Cr33.84.915.6%0.53%
Solar Industries India LimitedSOLARINDS₹19,721₹1.78 L Cr90.928.831.2%0.06%
Pidilite Industries LimitedPIDILITIND₹1,650₹1.68 L Cr65.215.923.5%0.68%
SRF LimitedSRF₹2,578.6₹76,431 Cr35.75.513.8%0.39%
Linde India LimitedLINDEINDIA₹6,702.5₹57,162 Cr104.313.413.6%0.06%
Gujarat Fluorochemicals LimitedFLUOROCHEM₹4,689.1₹51,510 Cr85.26.87.5%0.07%
Fertilizers and Chemicals Travancore LimitedFACT₹787.15₹50,934 Cr2006.938.00.05%
UPL LimitedUPL₹568₹47,949 Cr23.11.45.6%1.05%
Navin Fluorine International LimitedNAVINFLUOR₹8,277.5₹42,457 Cr53.410.620.1%0.18%

Technical Indicators

Full analysis · objective math, not advice
Returns
1D
-1.2%
1W
-2.4%
1M
+2.9%
3M
+13.4%
6M
-1.2%
1Y
-8.1%
Weinstein Stage
Stage 4 — Declining (downtrend)
RSI (14)
29 Oversold
Trend Template
1/7weak
RS vs Nifty (3M)
+14.3pp
Moving Averages (price vs MA)
20-DMA
₹2077
below
50-DMA
₹2043
below
150-DMA
₹2024
above
200-DMA
₹2096
below
From 52W High
-18.4%
From 52W Low
+19.4%
Support (20D)
1985
Resistance (20D)
2130

Technical indicators are objective calculations from historical EOD prices (RSI, moving averages, Weinstein stage, Minervini trend-template, relative strength). For educational reference only — not a buy/sell recommendation.

Quality Signals

Multi-year consistency · Source: Screener annual data
🌀

Cyclical-Peak Risk: Cyclical-peak risk: strong revenue growth (+27%) but the price is falling — the market may be pricing a cycle peak. A "cheap" P/E on peak earnings can be a value trap. Verify where the sector is in its cycle.

ROE Consistency
0/0 years ≥15%
Revenue Growth
+9.5% CAGR
Up 8 of last 11 years
Earnings Quality
Mostly cash-backed
OCF / Net Profit = 0.72x · 12/12 yrs +ve cash flow

Quality signals derived from multi-year annual financials. ROE consistency = years with ≥15% return on equity. Cash-backed = operating cash flow vs reported net profit (≥1x means earnings are converted to real cash, not just accruals). Educational reference only — not investment advice.

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