Cochin Minerals & Rutile Ltd Stock Price Today (NSE: COCHINM)

Cochin Minerals & Rutile Ltd

250.00+3.95 (+1.61%)
Market Closed

Fundamental Score

...

Cochin Minerals & Rutile Ltd Share Price — Live NSE/BSE Price, Fundamentals & Analysis

Cochin Minerals & Rutile Ltd share price today is 250.00, up +1.61% on NSE/BSE as of 17 June 2026. Cochin Minerals & Rutile Ltd (COCHINM) is a Small-cap company in the Specialty Chemicals sector with a market capitalisation of 205.06 (Cr). The 52-week high for COCHINM share price is 356.00 and the 52-week low is 197.10. At a P/E ratio of 12.24x, COCHINM is currently trading below its industry average P/E of 29.20x. The company has a Return on Equity (ROE) of 15.01% and a debt-to-equity ratio of 0.01.

Cochin Minerals & Rutile Ltd Share Price Chart — NSE/BSE Historical Performance

No data
High
307.90
Low
250.00
Volume
4.5K
Change
-6.05%

Cochin Minerals & Rutile Ltd share price chart: -6.05% return over the past month. 52-week high ₹356.00, 52-week low ₹197.10.

Cochin Minerals & Rutile Ltd — Last 10 Trading Days

DateOpenHighLowCloseVolume
253.00265.00246.00258.603.11K (Cr)
268.00281.00250.00253.0514.70K (Cr)
269.50269.50253.00255.8021.56K (Cr)
266.00275.00262.00269.508.94K (Cr)
270.00275.00263.20265.552.39K (Cr)
270.00280.00270.00273.804.71K (Cr)
270.00270.00257.00262.401.82K (Cr)
260.00265.85257.00260.402.18K (Cr)
262.90262.95253.00256.003.54K (Cr)
262.00268.50255.70262.904.12K (Cr)

Cochin Minerals & Rutile Ltd — Last 12 Months Price History

MonthOpenHighLowCloseChange
268.00281.00246.00258.60-3.51%
298.00307.90253.00255.80-14.16%
202.00304.80202.00297.05+47.05%
243.50249.90197.10201.65-17.19%
275.50289.80242.00249.05-9.60%
287.00309.00236.00274.45-4.37%
266.00304.00252.05287.00+7.89%
294.90298.95245.00265.05-10.12%
296.90305.25280.05292.25-1.57%
293.95308.00284.40290.55-1.16%
321.00333.00291.15294.15-8.36%
320.00356.00312.00327.05+2.20%

AI Research Briefing

Powered by Gemini · 2026-04-09

COCHINM is a micro-cap value trap with deteriorating financials and potential governance headwinds; stay away.

Research Confidence
8.0/10High
DEBT TRAP TURNAROUNDBreakdown. 1M: -10.38%, 3M: -11.67%, 6M: -14.51%.P/E of 12.24x looks cheap vs. industry P/E of 29.2x, but earnings are collapsing. A value trap.

WHAT'S HAPPENING NOW (last 2-4 weeks)

Cochin Minerals & Rutile (COCHINM) has been under pressure, hitting a 52-week low of on March 30, 2026, a 43.2% drop from its 52-week high. The trading window closed on April 1, 2026, in compliance with SEBI regulations, and will reopen 48 hours after the audited financial results for the year ending March 31, 2026, are announced.

CORE STORY (THE REAL GAME)

A falling knife. COCHINM isn't riding the specialty chemical wave; it's getting crushed by it. The market sees a commodity play struggling with profitability, not a high-value specialty chemical innovator.

Why Now
  • Stock at 52-week low
  • Trading window closed ahead of results
  • GST demand order of ₹8.95 crore
Potential Catalysts
  • Positive surprise in annual results
  • Successful appeal against GST demand
  • New order wins
Key Risks
  • Micro/SME cap = liquidity risk
  • Declining profitability and revenue
  • GST demand order suggests potential compliance issues
Institutional Activity

FII and DII holdings are negligible (0.0% and 0.07% respectively) and unchanged. No institutional support.

Macro Context

Specialty chemicals sector in India has tailwinds, but COCHINM is missing the ride.

Cash Flow Quality

Negative. Free Cash Flow 5Y: ₹-3.75 Cr. Not converting profits to cash.

3–6 Month Outlook

Next 3-6 months depend on the annual results. Need to see a clear turnaround in revenue and profitability to justify any investment.

Primary Thesis Risk

Continued earnings decline will lead to stock collapse.

For educational purposes only. Not investment advice. Consult a SEBI-registered advisor before investing.

Returns & Performance

Average

Return on Equity (ROE)

15.01%

Profit generated per ₹1 of shareholder equity

Excellent

Return on Capital (ROCE)

23.32%

Returns generated on total capital deployed

Average

Oper. Profit Margin (5Y Avg)

10.79%

Average operating profit margin over 5 years

Good

Dividend Yield

3.05%

Annual dividend as % of current share price

Cochin Minerals & Rutile Ltd Valuation Check

Excellent

Price to Earnings (P/E)

12.24x

Share price ÷ earnings per share. Lower = cheaper

Poor

Industry Avg P/E

29.20x

Average P/E of all peers in this sector

Market-cap Classification
Small-cap
Higher growth potential with higher volatility.

Shareholding Pattern

Excellent

Promoter Holding

51.17%

% shares held by company founders/management

Poor

FII Holding

0.00%

% shares held by foreign institutional investors

Poor

DII Holding

0.07%

% held by domestic mutual funds, LIC, banks

Excellent

Promoter Pledged %

0.00%

% of promoter shares pledged as collateral — lower is safer

Growth Engine

Poor

Profit Growth (Quarterly YoY)

-58.22%

Net profit growth vs same quarter last year

Poor

Revenue Growth (Quarterly YoY)

-26.62%

Revenue growth vs same quarter last year

Poor

Revenue Growth (5-Year CAGR)

3.92%

Compounded annual revenue growth over 5 years

Excellent

EPS Growth (5-Year CAGR)

31.51%

Earnings per share growth over 5 years

Excellent

Net Profit Growth (5-Year CAGR)

31.51%

Compounded annual net profit growth over 5 years

Balance Sheet Health

Excellent

Debt to Equity Ratio

0.01x

Total debt ÷ equity. Below 0.5 = financially healthy

Excellent

Interest Coverage Ratio

108.42x

EBIT ÷ interest expense. Above 2.5 = can pay interest comfortably

Free Cash Flow (5-Year Total)

-3.75 (Cr)

Cash left after capex over 5 years. Positive = self-funded growth

Labels (e.g., "Excellent", "Good") are peer-based vs industry/sector averages — data-only, not advice

Cochin Minerals & Rutile Ltd Fundamental Analysis & Valuation Benchmarking

Educational evaluation of COCHINM across key market metrics for learning purposes.

Positive Indicators

10 factors identified

Strong Return on Equity (15.01%)

Observation: Efficient use of shareholders' capital generating superior returns.

Analysis: ROE >15% indicates strong profitability and effective management. This metric suggests the company can generate substantial returns on invested capital.

Excellent ROCE Performance (23.32%)

Observation: Superior returns on capital employed across business operations.

Analysis: ROCE >15% demonstrates efficient capital deployment and strong operational performance.

Attractive Valuation (P/E: 12.24 vs Industry: 29.20)

Observation: Trading at discount to industry peers.

Analysis: P/E below industry average may present value opportunity.

Excellent EPS Growth (31.51% CAGR)

Observation: Outstanding 5-year earnings per share compound growth.

Analysis: EPS CAGR >15% indicates strong wealth creation potential.

Strong Profit Growth Track Record (31.51% CAGR)

Observation: Consistent 5-year profit compound annual growth rate.

Analysis: Profit CAGR >15% demonstrates scalable business model.

Conservative Debt Levels (D/E: 0.01)

Observation: Low leverage provides financial flexibility and reduced risk.

Analysis: Conservative debt structure offers resilience during economic downturns.

Strong Interest Coverage (108.42x)

Observation: Earnings comfortably cover interest obligations.

Analysis: Interest coverage >5x indicates low financial distress risk.

Balanced Promoter Holding (51.17%)

Observation: Optimal balance between promoter control and public float.

Analysis: Promoter holding in 50-75% range provides management alignment.

Zero Share Pledging Risk

Observation: No promoter shares pledged as collateral.

Analysis: Absence of share pledging eliminates potential forced-selling pressure.

Attractive Dividend Yield (3.05%)

Observation: Healthy dividend yield provides income component to returns.

Analysis: Dividend yield >3% offers income potential while indicating cash flow strength.

Risk Factors

5 factors identified

Profit Decline Concern (-58.22%)

Observation: Significant year-over-year profit contraction observed.

Analysis: Declining profitability requires investigation into underlying causes.

Revenue Contraction (-26.62%)

Observation: Sales decline may indicate market challenges or competitive pressures.

Analysis: Negative revenue growth requires analysis of market conditions.

Limited Growth History (3.92% CAGR)

Observation: Below-average 5-year sales growth trajectory.

Analysis: Low sales CAGR may indicate mature markets or limited growth opportunities.

Negative Free Cash Flow (₹-3.75 Cr over 5Y)

Observation: Cash outflows exceed inflows.

Analysis: Negative FCF requires analysis of capital expenditure cycle.

Limited Institutional Interest (FII+DII: 0.07%)

Observation: Low institutional participation may affect liquidity.

Analysis: Limited institutional interest may indicate size constraints or visibility issues.

Cochin Minerals & Rutile Ltd vs Specialty Chemicals Peers

Peer Comparison - Specialty Chemicals

Compare Cochin Minerals & Rutile Ltd with 10 other companies in the same sector

11 companies
Company Info
Fundamental
Valuation
Profitability
Financial Health
Growth
Dividend
Company
Company name
Score
Bull Run comprehensive fundamental score based on 20+ metrics
Price
Current trading price of the stock
Market Cap
Total value of all shares in the market
P/E
Price per share divided by earnings per share
ROE
Net income divided by shareholder equity
ROCE
Earnings before interest and tax divided by capital employed
Debt/Eq
Total debt divided by total equity
Profit 5Y
Average annual profit growth over 5 years
Sales 5Y
Average annual sales growth over 5 years
Dividend
Annual dividend per share divided by price per share
53/100
250
₹205.06
12.2
Average
15.01%
Good
23.32%
Excellent
0.0
Excellent
31.51%
Excellent
3.92%
Average
3.05%
60.4/100
1481
₹149466.57
66.6
Average
23.05%
Excellent
29.84%
Excellent
0.1
Excellent
12.63%
Good
12.49%
Good
0.68%
51.5/100
3682
₹37241.99
54.8
Average
8.29%
Poor
9.89%
Poor
0.2
Excellent
21.05%
Excellent
12.69%
Good
0.09%
40.6/100
7245
₹29462.02
66.3
Average
11.52%
Average
11.68%
Average
0.3
Excellent
-6.59%
Poor
17.22%
Excellent
0.21%
40.2/100
1715
₹21083.64
39.7
Average
13.36%
Average
16.28%
Good
0.2
Excellent
2.02%
Average
14.38%
Good
0.49%
52/100
3430
₹17807.40
46.3
Average
13.73%
Average
18.02%
Good
0.0
Excellent
57.98%
Excellent
14.83%
Good
0.49%
Atul Ltd...
ATUL500027
50.5/100
7003
₹17066.13
31.5
Average
9.10%
Poor
12.81%
Average
0.0
Excellent
-5.82%
Poor
6.41%
Good
0.43%
57.2/100
1325
₹16256.72
35.0
Average
15.75%
Good
20.61%
Excellent
0.0
Excellent
4.46%
Average
16.92%
Excellent
0.48%
37.5/100
1368
₹14036.52
92.8
Average
3.32%
Poor
7.33%
Poor
0.4
Excellent
11.97%
Good
22.13%
Excellent
0.06%
41.9/100
501
₹13796.68
51.3
Average
6.03%
Poor
6.32%
Poor
0.7
Good
-9.09%
Poor
11.68%
Good
0.26%
60.5/100
4677
₹13359.76
33.4
Average
19.47%
Good
26.39%
Excellent
0.0
Excellent
20.04%
Excellent
16.93%
Excellent
0.25%

Cochin Minerals & Rutile Ltd PE Ratio History

Historical price-to-earnings ratio for COCHINM — last 5 years

YearEPS (₹)Price (₹)P/E Ratio
FY 202530.09₹287.009.5x
FY 202410.98₹280.7025.6x

P/E = year-end price ÷ diluted EPS from annual filings. Source: NSE/BSE via Bull Run.

Cochin Minerals & Rutile Ltd Dividend History

Annual cash dividends paid by COCHINM — dividend yield 3.05%

Financial YearDividends Paid (₹ Cr)
FY 20256.26 Cr
FY 20246.26 Cr
FY 20231.17 Cr

Cash dividends from annual cash flow statements. Past dividends do not guarantee future payments. Not investment advice.

Cochin Minerals & Rutile Ltd Quarterly Performance

Latest quarterly metrics for COCHINM — revenue growth and profit growth vs same quarter last year

Revenue Growth (YoY)

-26.62%

Latest quarter vs same quarter previous year

Net Profit Growth (YoY)

-58.22%

Latest quarter net profit vs same quarter previous year

5-Year Revenue CAGR

3.92%

Compounded annual revenue growth over 5 years

5-Year Profit CAGR

31.51%

Compounded annual net profit growth over 5 years

Cochin Minerals & Rutile Ltd Technical Indicators

SMA 50, SMA 200, RSI and volume signals for COCHINM — calculated from daily price history

34RSI 14
Neutral — RSI 34

Momentum is balanced — neither overbought nor oversold.

SMA 50
256
▼ Price below SMA 50 — Short-term bearish
SMA 200
273
▼ Price below SMA 200 — Long-term downtrend
30-Day Avg Volume
7K shares/day
Average daily traded volume over last 30 trading sessions

Technical indicators are for educational purposes only. Not investment advice.

Cochin Minerals & Rutile Ltd Financial Statements

Annual income statement, balance sheet and cash flow for Cochin Minerals & Rutile Ltd (COCHINM) — sourced from NSE/BSE filings.

Loading Financial Statements...

Fetching financial data for Cochin Minerals & Rutile Ltd

About COCHINM (Cochin Minerals & Rutile Ltd)

Cochin Minerals & Rutile Ltd is a pioneering force within India's specialty chemicals landscape, carving a niche for itself through innovative mineral processing and a commitment t...o sustainable practices. The company distinguishes itself by transforming naturally occurring minerals into high-value products that serve as critical inputs for various industries. At the heart of their operations lies the production of synthetic rutile, a meticulously crafted material renowned for its exceptional purity and titanium dioxide content. This key product acts as a fundamental building block in the creation of titanium pigment, which imparts brightness and opacity to a wide array of applications from paints and coatings to plastics and paper. Moreover, their synthetic rutile is indispensable in the production of titanium sponge and metal, materials valued for their strength, lightweight properties, and corrosion resistance in demanding sectors like aerospace and defense. Beyond their core synthetic rutile production, Cochin Minerals & Rutile Ltd actively champions the responsible utilization of resources by carefully managing the by-products generated during their manufacturing processes. Ferric chloride, one such by-product, is meticulously refined and offered as an effective solution for industrial applications. Its unique properties make it highly sought after as an etching agent, playing a crucial role in the production of printed circuit boards and other electronic components. Additionally, ferric chloride serves as a powerful coagulant in the treatment of drinking water, ensuring the removal of impurities and safeguarding public health. The company also harnesses ferrous chloride, another valuable by-product, and markets it as a cost-effective coagulant for industrial waste water and sewage treatment, contributing to environmental protection and responsible waste management. Cochin Minerals & Rutile Ltd's success is rooted in a dedication to cutting-edge research and development, constantly seeking to improve product quality and optimize resource utilization. By investing in innovative technologies and processes, they strive to minimize waste and maximize the value extracted from their raw materials. This focus on sustainability, coupled with their commitment to meeting the evolving needs of their customers, positions Cochin Minerals & Rutile Ltd as a vital partner for industries reliant on high-performance specialty chemicals. Their unwavering dedication to excellence and responsible resource management makes them a key player in the advancement of India's specialty chemical sector.

Company Details

Symbol:COCHINM
Industry:Specialty Chemicals
Sector:Specialty Chemicals

Key Leadership

Mr. Saran Sasidharan Kartha
MD & Executive Director
Mr. K. S. Suresh Kumar
Chief General Manager of Legal & Taxation
Mr. Anil Ananda Panicker
Whole Time Director

COCHINM Share Price: Frequently Asked Questions

What is the current share price of Cochin Minerals & Rutile Ltd?

Cochin Minerals & Rutile Ltd (COCHINM) trades at ₹250.00 on NSE and BSE. Market cap ₹205.06 (Cr). Educational data only.

What is the P/E ratio of Cochin Minerals & Rutile Ltd?

Cochin Minerals & Rutile Ltd has a P/E of 12.24x vs industry average 29.20x.

What is the Bull Run score for Cochin Minerals & Rutile Ltd?

Cochin Minerals & Rutile Ltd has a Bull Run score of 53/100 based on 25+ financial parameters.

Does Cochin Minerals & Rutile Ltd pay dividends?

Cochin Minerals & Rutile Ltd has a dividend yield of 3.05%. Past dividends don't guarantee future payments.

What is the ROE of Cochin Minerals & Rutile Ltd?

Cochin Minerals & Rutile Ltd has ROE of 15.01%. Higher ROE indicates better use of shareholder equity.

What is the debt-to-equity ratio of Cochin Minerals & Rutile Ltd?

Cochin Minerals & Rutile Ltd has debt-to-equity of 0.01.

Is Cochin Minerals & Rutile Ltd a good investment?

Bull Run gives Cochin Minerals & Rutile Ltd a score of 53/100. This is not investment advice — consult a SEBI-registered advisor.