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Hindalco Inds.:967.45+4.05 (+0.42%)
Hind. Unilever:2,150.60+6.00 (+0.28%)
ITC:281.75-0.31 (-0.11%)
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M & M:3,129.40+44.12 (+1.43%)
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Bajaj Finserv:1,916.00+21.03 (+1.11%)
Interglobe Aviat:5,312.00+82.62 (+1.58%)
Eternal:289.65-2.81 (-0.96%)
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HCP Plastene Bulkpack Ltd

HCP Plastene | 526717

Market Closed
185.30
5.20 (-2.73%)
As on 11/07/26, 5:00 AM
Market Cap--- CR
Current Price₹---
High / Low₹--- / ---
PE Ratio11.45
Book Value₹55.81
Dividend Yield0.00%
ROCE12.16%
ROE8.66%
Face Value₹2.00
Current Vol.---
Average Vol.---
ISININE136C01044
PB Ratio1.85
Debt to Equity3.19
Net Profit Margin2.88
Operating Margin8.65

Share Price Chart - HCP Plastene Bulkpack Ltd

+0.00 (+0.00%)6M

Stock Performance

190.5197.45
185.3
Previous CloseToday's Open
140.1284.45
185.3
52W Low52W High
₹197.45Today's Open
₹190.5Previous Close
71,610Volume
₹140.152W Low
₹284.4552W High

Ratios

No data available

About Company

  • HCP Plastene Bulkpack Limited, formerly known as Gopala Polyplast Limited was incorporated on June 11, 1984
  • In 2019, Gopala Polyplast Limited was admitted to CIRP under the provision of IBC, 2016 due to default in payment by its erstwhile promoters to Financial and Operational Creditors
  • Subsequently, M/s Plastene India Limited submitted a Resolution Plan and the same was approved by Hon'ble National Company Law Tribunal at Ahmedabad Bench
  • Under the new ownership and management of Plastene India Limited Group, Gopala Polyplast Limited was renamed as HCP Plastene Bulkpack Limited with effect from September 22, 2021
  • Since then, Company is involved in plastics packaging industry and in the technical textile industry
  • Its product portfolio includes Woven Sacks, Woven Fabric, AD Star Bags, BOPP Laminated Bags, LLDPE+LDPE Liner and woven label
  • Presently, the Company is a part of Plastene Group of Companies, a reputed FIBC manufacturer and exporter from India with a diverse portfolio comprising of FIBCs and small bags
  • The Company is operating mainly in Woven Sacks Division
  • The Company is also in manufacturing of Labels
  • The Company has two manufacturing facilities in Ahmedabad that manufacture a wide array of products catering to diverse user sectors

Research Calls

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Technical Indicators

RSIN/A
SMA 20N/A
SMA 50N/A
SMA 100N/A
SMA 200N/A
SMA 10N/A
MACD_12_26_DaysN/A
EMA10DayN/A
EMA20DayN/A
EMA50DayN/A
MACD_12_26_9_DaysN/A
EMA100DayN/A
EMA200DayN/A

Pivot Points

Volume Analysis
📊

No Information Available

Volume Analysis data is not available at this time.

Growth Rate

Revenue Growth57.33%
ROE14.31%
EBITDA Margin8.65%

All figures in ₹ Crores

Indicators20252024202320222021
Revenue
463.44
294.56
351.52
112.20
15.87
Interest
14.62
11.73
9.40
3.90
1.27
Expenses
428.22
277.89
334.11
106.86
19.62
Financing Profit
39.89
19.23
17.77
5.98
-3.50
Financing Margin %
9%
7%
5%
5%
-22%
Other Income
4.68
2.56
0.36
0.65
0.24
Depreciation
7.29
7.30
7.39
5.24
5.12
Profit before tax
17.98
0.20
1.18
-3.16
43.53
Tax %
26%
-54%
36%
22%
-46%
Net Profit
13.33
0.31
0.76
-2.45
63.62
EPS in Rs
12.57
0.29
0.74
-2.39
65.80
Show % Change
ShareHolding
📊

No Information Available

No shareholding data available at this time.

📊

No Data Available

No Block Deals data available for this company.

News

📊

No Information Available

No news available for this company.
Record Date
Corporate Action
Information
Announcement Day
15 Nov 2025
Interim Dividend (₹1)
Board of Directors of the Company at their meeting held on November 11, 2025. The Board has also approved Interim Dividend of Re.1/- per equity share, on the 10674837 equity shares of fully paid-up equity shares of 2 10/- each, amounting to an aggregate dividend of 21,06,74,837/- (Rupees One Crores Six Lakh Seventy Four Thousand Eight Hundred Thirty Seven only);
11 Nov 2025
25 Sept 2025
AGM
AGM
03 Sept 2025
30 Sept 2024
AGM
AGM
28 Aug 2024
29 Sept 2023
AGM
AGM
05 Sept 2023
26 Sept 2022
AGM
AGM
10 Aug 2022
12 May 2022
EGM
EGM
16 Apr 2022
18 Mar 2022
Rights Issue (3:5)
3:5 Right Issue of Equity Shares
15 Mar 2022
27 Sept 2021
AGM
AGM
14 Aug 2021

Peers

LTP(₹)
Market Cap(₹ Cr.)
P/E Ratio(Ratio)
P/B Ratio(Ratio)
Cash Earnings(Ratio)
Debt to Equity(Ratio)
Net Profit Ratio(%)
185
198
8
2
6
3
2.88%
1,978
17,953
69
16
61
0
16.25%
6,972
16,198
48
6
42
0
15.70%
238
7,607
19
3
10
0
8.63%
713
4,612
13
2
9
0
12.75%
1,457
3,419
178
5
110
0
3.87%
1,061
3,330
74
1
8
0
5.20%
450
3,252
10
0
3
1
1.60%
2,997
2,727
25
4
14
1
8.08%
210
2,569
27
4
21
1
10.02%
Showing 10 of 48 Results

Frequently Asked Questions

What is Share Price of HCP Plastene Bulkpack Ltd?

The current share price of HCP Plastene Bulkpack Ltd (HCP Plastene) is ₹185.30. This price reflects the latest market valuation and is updated in real-time during trading hours.

What is the P/E Ratio of HCP Plastene Bulkpack Ltd?

The Price-to-Earnings (P/E) ratio of HCP Plastene Bulkpack Ltd is 185.30. This indicates how much investors are willing to pay per rupee of earnings, helping assess if the stock is overvalued or undervalued.

What is the 52-week high and low of HCP Plastene Bulkpack Ltd?

HCP Plastene Bulkpack Ltd has a 52-week high of ₹284.45 and a 52-week low of ₹140.10. This range shows the stock's price volatility over the past year.

What is the Dividend Yield of HCP Plastene Bulkpack Ltd?

HCP Plastene Bulkpack Ltd offers a dividend yield of 0.52%. This represents the annual dividend payment as a percentage of the current stock price, indicating the income return for investors.

What is the EPS of HCP Plastene Bulkpack Ltd?

The Earnings Per Share (EPS) of HCP Plastene Bulkpack Ltd is ₹21.86. EPS indicates the company's profitability on a per-share basis and is a key metric for evaluating financial performance.

What is the ROE of HCP Plastene Bulkpack Ltd?

HCP Plastene Bulkpack Ltd has a Return on Equity (ROE) of 8.66%. ROE measures how effectively the company uses shareholders' equity to generate profits, with higher values generally indicating better performance.

Disclaimer:

Please note that the above list and information is for research purposes only and are not recommendations. Do your own due diligence or consult an investment advisor before investing. The above data is dynamic in nature and subject to real-time changes and is derived from CMOTS.

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