Chemplast Sanmar Ltd. IPO

An organization focused on manufacturing specialty chemicals like specialty paste PVC resin, and custom-manufactured chemicals for various sectors.

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Chemplast Sanmar Ltd. IPO Details

Check out the issue details for Chemplast Sanmar Ltd. IPO as disclosed in SEBI.

IPO Price

₹ 541

Price Band

₹ 530 - 541

Issue Size

3,850.00 Cr.

Issue Type

Book Built

Open

2021-08-10

Close

2021-08-12

Listing price

₹ 550

Listing Gain

1.66%

Listing Date

2021-08-24

CMP

₹ 209.9

Current Return

-61.20%

Company Financials

You can get the following financial statements of Chemplast Sanmar Ltd. as of now.

The valuation of Chemplast Sanmar IPO company based on its price band and RHP is:

Particulars Value
Upper Price Band Rs 541
Existing Shares (Qty) 13.4 Cr
Fresh Issue (Qty)  2.4 Cr
Market Cap ~8548 Cr
EPS  Rs 30.60 
PE Ratio ~18x
Industry PE ~43x

 

Chemplast Sanmar IPO issue size is 3850 Cr

Issue Amount
Fresh Issue 1300 Cr
Offer For Sale 2550 Cr

 

An Individual can apply for a minimum 1 lot of 27 shares and a maximum of 13 lots of 351 shares. Find the details below:

Application Lot Shares Amount
 Minimum  1 27 Rs 14,607 
 Maximum 13 351 Rs 1,89,891

 

Chemplast Sanmar IPO is subscribed 2.17 times till 12th August. It is Oversubscribed as of now. The category-wise subscription is as follows:

Category % Offered Subscription 
Qualified Institutional Minimum 75% 2.70 Times
Non-Institutional Maximum 15% 1.03 Times
Retail Individual Maximum 10% 2.29 Times
Total   2.17 Times

Once you have subscribed to an IPO, you have to wait for its allotment to your account. Find below the dates of allotment of Chemplast Sanmar IPO:

Schedule Date
Basis of Allotment 18 August 2021
Refunds 20 August 2021
Credit to Demat Account 23 August 2021
IPO Listing Date 24 August 2021

 

When the allotment is out, you can check it from the registrar's website. Find the Chemplast Sanmar IPO allotment status here.

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Profit & Loss (All Figures in Cr. Adjusted EPS in Rs.)

PARTICULARS Mar 2022 Mar 2023 Mar 2024 Mar 2025 Mar 2026
Net Sales 2012.15 2196.67 1655.58 2387.61 2169.98
Total Expenditure 1384.61 1890.89 1714.03 2285.67 2061.81
Operating Profit 627.54 305.78 -58.45 101.94 108.17
Other Income 32.66 25.75 41.71 21.13 14.57
Interest 135.75 22.64 32.7 86.81 106.91
Depreciation 90.82 92.4 106.73 148.16 156.38
Exceptional Items 0 -49.8 0 0 -898
Profit Before Tax 433.63 166.69 -156.17 -111.9 -1038.55
Provision for Tax 54.15 21.12 -52.3 -46.33 -35.16
Net Profit 379.48 145.57 -103.87 -65.57 -1003.39
Adjusted EPS (Rs.) 2.4 0.92 -0.66 -0.41 -6.35

Balance Sheet (All Figures are in Crores.)

Particulars Mar 2022 Mar 2023 Mar 2024 Mar 2025 Mar 2026
Equity and Liabilities
Share Capital 79.06 79.06 79.06 79.06 79.06
Total Reserves 3718.18 3864.66 3761.2 4117.62 3114.41
Borrowings 0 203.97 499.31 581.22 688.38
Other N/C liabilities 612.16 583.5 528.37 406.13 365.41
Current liabilities 544.38 763.02 962.32 1254.82 1331.32
Total Liabilities 4953.78 5494.21 5830.26 6438.85 5578.58
Assets
Net Block 2232.71 2199.9 2929.31 3469.52 3409.95
Capital WIP 27.21 387.84 185.65 135.69 335.62
Intangible WIP 0 0 0 0 0
Investments 1555.72 1555.72 1555.72 1555.72 663.07
Loans & Advances 36.51 66.4 48 65.48 76.04
Other N/C Assets 5.11 4.24 4.03 6.39 3.03
Current Assets 1096.52 1280.11 1107.55 1206.05 1090.87
Total Assets 4953.78 5494.21 5830.26 6438.85 5578.58
* Other Non-current Liabilities include Net deferred Liabilities

Quarterly Result (All Figures in Cr.)

PARTICULARS Mar 2025 Jun 2025 Sep 2025 Dec 2025 Mar 2026
Other Income 7.61 5.38 2.98 2.37 3.84
Profit Before Tax -36.37 -38.2 -45.07 -76.73 -878.55
Tax -11.16 -9.78 -9.54 -20.23 4.39
Profit After Tax -25.21 -28.42 -35.53 -56.5 -882.94
Adjusted EPS (Rs) -1.59 -1.8 -2.25 -3.57 -55.84

Share Holding Pattern

Promoter Pledging %

Date Promoter % Pledge %
Jun 2026 54.99 0
Mar 2026 54.99 0
Dec 2025 54.99 0
Sep 2025 54.99 0
Jun 2025 54.99 0
* Figures given above are % of equity capital

Cash Flows (All Figures are in Crores.)

PARTICULARS Mar 2022 Mar 2023 Mar 2024 Mar 2025 Mar 2026
Profit from operations 433.63 166.69 -156.17 -111.9 -1038.55
Adjustment 194.3 141.67 95.88 221.69 1146.15
Changes in Assets & Liabilities -122.82 10.12 -28.79 106.73 12.74
Tax Paid -75.14 -47.89 -8.9 2.29 -0.75
Operating Cash Flow 429.97 270.59 -97.98 218.81 119.59
Investing Cash Flow -50.83 -286.25 -537.18 -349.38 -319.01
Financing Cash Flow -95.89 170.64 405.64 252.24 70.89
Net Cash Flow 283.25 154.98 -229.52 121.67 -128.53
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