Silkflex Polymers
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Silkflex Polymers

110.45
-1.55
(-1.38%)
Market Cap
128.20 Cr
PE Ratio
13.84
Volume
0.00
Day High - Low
- - -
52W High-Low
146.30 - 67.10
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Key Fundamentals
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Market Cap
128.20 Cr
EPS
6.26
PE Ratio
13.84
PB Ratio
3.33
Book Value
33.64
EBITDA
12.10
Dividend Yield
0.00 %
Industry
Chemicals
Return on Equity
19.66
Debt to Equity
1.07
Forecast For
Actual
Competitors
LTP
Market Cap (₹ Cr.)
P/E Ratio
Revenue (₹ Cr.)
YoY Revenue Growth %
Net Profit (₹ Cr.)
YoY Profit Growth %
RSI
1,314.90
#1 1,33,819.22
58.98
13,387.50
6.91
#1 2,096
11.97
35.42
2,391.50
70,890.00
40.89
#1 14,825.80
12.13
1,251
59.61
36.33
3,248.20
35,681.48
53.32
4,853.20
10.61
546
-19.05
49.34
5,886.50
30,152.14
57.50
2,393.10
12.83
289
121.77
39.04
438.15
22,104.45
32.47
4,664.30
10.33
555
36.07
40.72
1,317.50
17,969.78
35.57
8,365.80
7.84
697
1.73
24.54
6,102.50
17,966.83
#1 30.19
5,692.40
18.99
499
39.62
41.96
405.15
14,690.49
40.97
7,285.40
14.16
331
#1 189.13
42.96
1,085.05
14,389.15
71.41
880.30
#1 38.11
158
48.62
59.16
1,241.80
14,137.68
62.19
1,448.50
-3.77
160
11.81
45.27
Growth Rate
Revenue Growth
59.41 %
Net Income Growth
79.49 %
Cash Flow Change
-452.33 %
ROE
-38.66 %
ROCE
-52.74 %
EBITDA Margin (Avg.)
3.86 %

Yearly Financial Results

Annual Financials
2020
2021
2022
2023
2024
2025
TTM
Revenue
21
21
28
45
51
81
85
Expenses
20
20
26
42
43
68
68
EBITDA
1
2
2
3
7
12
17
Operating Profit %
4 %
6 %
6 %
5 %
14 %
15 %
19 %
Depreciation
0
0
0
0
1
0
1
Interest
0
1
1
1
2
2
3
Profit Before Tax
1
1
1
1
5
9
13
Tax
0
0
0
0
1
2
3
Net Profit
0
1
1
1
4
7
9
EPS in ₹
2.32
0.68
0.85
3.32
4.84
6.26
8.10

Balance Sheet

Balance Sheet
2020
2021
2022
2023
2024
2025
Total Assets
10
13
20
24
38
83
Fixed Assets
1
2
4
4
11
16
Current Assets
7
9
15
18
24
64
Capital Work in Progress
0
1
0
0
1
1
Investments
0
0
0
0
0
0
Other Assets
8
11
16
20
26
66
Total Equity & Liabilities
10
13
20
24
38
83
Current Liabilities
5
4
10
13
23
28
Non Current Liabilities
2
4
2
2
3
19
Total Equity
3
5
7
8
12
36
Reserve & Surplus
1
3
5
6
4
24
Share Capital
2
2
3
3
8
12

Cash Flow

Cash Flow
2020
2021
2022
2023
2024
2025
Net Cash Flow
0
0
0
0
0
0
Investing Activities
-2
-2
-0
-1
-9
-5
Operating Activities
-0
-0
-4
-1
9
-30
Financing Activities
2
2
5
2
0
35

Share Holding

% Holding
Jan 2024
May 2024
Sept 2024
Dec 2024
Mar 2025
Jun 2025
Sept 2025
Dec 2025
Promoter
99.84 %
69.89 %
69.89 %
69.89 %
69.89 %
69.89 %
69.89 %
69.89 %
FIIs
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
DIIs
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
8.94 %
Government
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
Public / Retail
0.00 %
23.45 %
17.52 %
17.69 %
16.85 %
16.17 %
16.12 %
16.23 %
Others
0.16 %
6.67 %
12.60 %
12.42 %
13.27 %
13.94 %
13.99 %
4.95 %
No of Share Holders
8
8
456
472
486
413
407
390

Technical Indicators

RSI(14)
Neutral
42.79
ATR(14)
Less Volatile
5.76
STOCH(9,6)
Neutral
21.43
STOCH RSI(14)
Oversold
0.00
MACD(12,26)
Bearish
-3.07
ADX(14)
Weak Trend
24.82
UO(9)
Bearish
35.50
ROC(12)
Downtrend And Accelerating
-11.64
WillR(14)
Oversold
-95.68