Nocil share price

Balanced risk
  • 41%Low risk
  • 41%Moderate risk
  • 41%Balanced risk
  • 41%High risk
  • 41%Extreme risk
  • 186.65(1.44%)
    May 19, 2025 15:41:35 PM IST
    • NSE
    • BSE
  • Vol : 1.30M (NSE + BSE)
    Last 20 day avg : 466.31 K

Nocil is trading 1.44% upper at Rs 186.65 as compared to its last closing price. Nocil has been trading in the price range of 188.95 & 181.05. Nocil has given -23.27% in this year & -0.36% in the last 5 days. Nocil has TTM P/E ratio 28.36 as compared to the sector P/E of 17.07.There are 6 analysts who have initiated coverage on Nocil. There are 1 analysts who have given it a strong buy rating & 1 analysts have given it a buy rating. 2 analysts have given the stock a sell rating.The company posted a net profit of 20.79 Crores in its last quarter.Listed peers of Nocil include Tanfac Industries (1.25%), Vishnu Chemicals (6.47%), Nocil (1.44%).The Mutual Fund holding in Nocil was at 4.00% in 31 Mar 2025. The MF holding has decreased from the last quarter. The FII holding in Nocil was at 8.15% in 31 Mar 2025. The FII holding has increased from the last quarter.

  • Overview
  • Financials
  • Forecast
  • Technical Analysis
  • Peers
  • Shareholding
  • About the company
  • FAQ

Overview

  • 1 D
  • 5 D
  • 1 M
  • 3 M
  • 6 M
  • 1 Y
  • 5 Y
  • MAX
Key Metrics

Updated on May 20, 2025, 12:54 AM UTC

  • Dividend Yield
    Annual dividends as a percentage of the stock price.
    1.07
    Inline with the industry
  • P/B
    The P/B ratio shows how a stock's market price compares to its book value. It helps gauge whether a stock is undervalued or overvalued relative to its net assets.
    1.77
    Lower than historical values
  • P/E
    Price-to-earnings ratio based on trailing 12-month earnings
    30.41
    Higher than historical values
  • Beta
    Beta measures a stock's volatility compared to the overall market. A beta > 1 indicates higher volatility than the market.
    1.10
    Medium volatility
  • Debt To Equity
    The debt-to-equity ratio, indicating a company's financial leverage.
    0.01
    Lower than industry
  • PEG Ratio
    The PEG ratio evaluates a stock's valuation by comparing its P/E ratio to its earnings growth rate. A lower PEG suggests better value relative to growth
    -
Price range
Day Range
Lowest
181.05
Highest
188.95
52 week range
Lowest
155.00
Highest
336.10
Nocil Financials
Financials
Financials include key reports like the Profit & Loss Statement (P&L), Balance Sheet, and Cash Flow Statement, providing insights into a company's performance, financial health, and liquidity
View all
  • Income
  • Balance Sheet
  • Cash Flow
Loading...
Units in the chart are in crores
Insights
  • Financial
  • Valuation
    • financial-insightsCompany is profitable
    • financial-insightsThe company's revenue fell during March quarter by 4.72% from Rs 356.50 crore to Rs 339.69 crore, year-on-year
    • financial-insightsThe company's profit declined by 49.96% year-on-year during the March quarter, dropping from Rs 41.55 crore to Rs 20.79 crore
    • financial-insightsThe debt to equity of the company is lower than the industry median
    • financial-insightsCompany can comfortably pay off its interest obligations with its earnings
Nocil Technical Analysis
Pivot Level - classic
Info
Key price levels (support and resistance) calculated using the previous day's high, low, and close, aiding in technical analysis and trading decisions
  • R1
  • 192.03
  • R2
  • 207.72
  • R3
  • 217.73
Pivot182.02
  • S1
  • 166.33
  • S2
  • 156.32
  • S3
  • 140.63
Short Term
Info
Considers price movement over the last 1-2 weeks
Not Available
Long Term
Info
Considers price movement over the last 6 months
Not Available
  • Very Bearish
  • Bearish
  • Neutral
  • Very Bullish
  • Bullish
Trends unavailable at the moment.
Nocil Peers
Return Comparison
Peers Comparison
Names
Technical ratingPrice%ChangeMarket CapP/EP/BDividend YieldDebt to Equity
Tanfac Industries
Bullish
3,262.501.253,251.6136.4610.30.22-
Vishnu Chemicals
Bullish
487.906.473,286.4628.784.280.0722.10
Nocil
Neutral
186.651.443,117.5229.951.751.090.40
Fineotex Chemical
Neutral
265.05-3,037.3824.496.560.30-
Foseco India
Bullish
4,530.00-1.912,888.9040.268.60.540.38
Nocil Shareholding
View All
Shareholding Pattern
Breakdown of a company's ownership structure, showing stakes held by Promoters, Mutual Funds, FII(s) & Others.
    No Data
    Shareholding pattern for Nocil is currently unavailable
    Please check back later.
    Shareholding Insights
    • InsightsPledged found - Promoter(s) have pledged 10.33% of shares.
    • InsightsPromoter(s) have increased pledged shares to 6.82% from 10.33% earlier.
    • InsightsPromoter(s) holding is moderate at 33.76%
    • InsightsPromoter(s) have decreased the stake in the company in last 12 months
    • InsightsFIIs are invested in this company
    • InsightsFIIs holding has increased by 0.33 percentage points from previous quarter
    • InsightsMutual Funds holding has decreased by 0.16 percentage points from previous quarter
    Mutual Fund Ownership
    View all
    LIC MF Childrens Fund
    NA
    • Amount Invested (Cr.) 0.18
    • % of AUM 1.20
    LIC MF Value Fund Growth
    1/5
    • Amount Invested (Cr.) 1.74
    • % of AUM 1.14
    Canara Robeco Manufacturing Fund Regular Growth
    NA
    • Amount Invested (Cr.) 16.70
    • % of AUM 1.08
    Aditya Birla Sun Life Business Cycle Fund Regular Growth
    NA
    • Amount Invested (Cr.) 15.85
    • % of AUM 0.92
    Aditya Birla Sun Life Manufacturing Equity Fund Regular Plan Growth
    NA
    • Amount Invested (Cr.) 7.90
    • % of AUM 0.80
    Nocil Corporate Actions
    View all
    • Board Meetings
    • AGM
    • Dividends
    • Bonus
    • Split
    • Rights
    Meeting DatePurpose
    2025-05-15Audited Results & Final Dividend
    2025-02-06Quarterly Results
    2024-10-28Quarterly Results
    2024-08-08Quarterly Results
    2024-05-29Audited Results & Final Dividend
    About the company Nocil
    • IndustryChemical Manufacturing
    • ISININE163A01018
    • BSE Code500730
    • NSE CodeNOCIL
    NOCIL Limited is an India-based rubber chemicals manufacturer. The Company manufactures rubber chemicals for the tire and other rubber product manufacturing industry. The Company’s products find use in various other areas, such as pre-vulcanization inhibition, post-vulcanization stabilization and latex-based applications. Its solutions also extend to enhancing the thermal stability of cross-links in rubber products. The Company’s brands are PILFLEX anti-degradants, PILNOX antioxidants, PILCURE accelerators, post-vulcanization stabilizers and PILGARD pre-vulcanization inhibitors. Its products include PILFLEX 13, PILNOX TDQ, PILNOX TDQ (HP), PILNOX SP, PILCURE MBT, PILCURE MBTS, PILCURE ZMBT, PILCURE F, PILCURE CBS, PILCURE NS, PILCURE MOR, PILCURE TMT, PILCURE ZDC, PILCURE ZDBC, PILCURE SDBC, PILCURE ZBZDC, PILGARD PVI, PILCURE TBzTD and PILCURE DHTS. PIL Chemicals Ltd., is a subsidiary of the Company.
    • Management Info
    • Hrishikesh MafatlalExecutive Chairman of the Board
    • P. SrinivasanChief Financial Officer, President - Finance
    • Prasanna PanditPresident Operations & Technical
    • Amit VyasCompliance Officer, Assistant Vice President (Legal), Company Secretary
    • Anand V. S.Managing Director, Executive Director
    Nocil Share Price FAQs

    Nocil is trading at 186.65 as on Mon May 19 2025 10:11:35. This is 1.44% upper as compared to its previous closing price of 184.00.

    The market capitalization of Nocil is 3117.52 Cr as on Mon May 19 2025 10:11:35.

    The average broker rating on Nocil is Hold. The breakup of analyst rating is given below -

    • 1 analysts have given a strong buy rating
    • 1 analysts have given a buy rating
    • 1 analysts have given a hold rating
    • 2 analysts have given a sell rating
    • 1 analysts have given a strong sell rating

    The 52 wk high for Nocil is 336.10 whereas the 52 wk low is 155.00

    Nocil can be analyzed on the following key metrics -

    • TTM P/E: 28.36
    • Sector P/E: 17.07
    • Dividend Yield: 1.07%
    • D/E ratio: 0.01

    Nocil reported a net profit of 102.86 Cr in 2025.

    The Mutual Fund Shareholding was 4.00% at the end of 31 Mar 2025.