Cochin Minerals & Rutile Ltd

COCHINMSpecialty Chemicals
274.45+0.00 (+0.00%)
As on 30 Jan 2026, 01:41 pmMarket Closed

Fundamental Score

...

Cochin Minerals & Rutile Ltd Share Price Live NSE/BSE

No data
High
0.00
Low
0.00
Volume
0
Change
+0.00%

Profitability Metrics

Average

Return on Equity

15.01%
Excellent

Return on Capital Employed

23.32%
Average

Operating Profit Margin (5Y)

10.79%
Excellent

Dividend Yield

3.05%

Valuation Metrics

Excellent

Price to Earnings

12.24x

Market Capitalization

205.06 (Cr)

Industry P/E

29.20x

Growth Metrics

Poor

YoY Quarterly Profit Growth

-58.22%
Poor

YoY Quarterly Sales Growth

-26.62%
Poor

Sales Growth (5Y)

3.92%
Excellent

EPS Growth (5Y)

31.51%
Excellent

Profit Growth (5Y)

31.51%

Financial Health

Excellent

Debt to Equity

0.01x
Excellent

Interest Coverage

108.42x
Poor

Free Cash Flow (5Y)

-3.75 (Cr)

Ownership Structure

Good

Promoter Holding

51.17%
Poor

FII Holding

0.00%
Poor

DII Holding

0.07%
Excellent

Pledged Percentage

0.00%
Market-cap Classification
Small-cap
Higher growth potential with higher volatility.
51.17%
Promoter Holding
205.06 (Cr)
Market Cap

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

Market Data Analysis & Educational Insights

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. This indicates quality business fundamentals.

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 if fundamentals support the business case.

Excellent EPS Growth (31.51% CAGR)

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

Analysis: EPS CAGR >15% indicates strong wealth creation potential and effective capital allocation over extended periods.

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 and effective operational leverage over time.

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 and flexibility for growth investments.

Strong Interest Coverage (108.42x)

Observation: Earnings comfortably cover interest obligations.

Analysis: Interest coverage >5x indicates low financial distress risk and strong debt servicing capability.

Balanced Promoter Holding (51.17%)

Observation: Optimal balance between promoter control and public float.

Analysis: Promoter holding in 50-75% range provides management alignment while ensuring adequate liquidity.

Zero Share Pledging Risk

Observation: No promoter shares pledged as collateral, reducing forced-selling risk.

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

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 and shareholder-friendly policies.

Risk Factors

6 factors identified

Profit Decline Concern (-58.22%)

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

Analysis: Declining profitability requires investigation into underlying causes. Monitor for recovery signs and management guidance.

Revenue Contraction (-26.62%)

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

Analysis: Negative revenue growth requires analysis of market conditions and competitive positioning. Monitor recovery strategies.

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. Assess future growth catalysts.

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

Observation: Cash outflows exceed inflows, indicating capital intensity or working capital issues.

Analysis: Negative FCF requires analysis of capital expenditure cycle and working capital management efficiency.

Limited Institutional Interest (FII+DII: 0.07%)

Observation: Low institutional participation may affect liquidity and visibility.

Analysis: Limited institutional interest may indicate size constraints or visibility issues in the investment community.

Small Market Cap

Observation: Higher investment risk due to limited size.

Analysis: Small-cap stocks typically carry higher volatility and liquidity risks.

Financial Statements

Comprehensive financial data for Cochin Minerals & Rutile Ltd

About COCHINM

Business Overview

Cochin Minerals and Rutile Limited engages in the manufacturing, marketing, and research activities in the mineral processing sector in India. Its primary product is synthetic rutile, which is used as raw material to produce titanium pigment and titanium sponge/metal. The company also provides by-products, including ferric chloride, which is used as an etching agent, as well as a coagulant for purification of drinking water and industrial waste water/sewage treatment; ferrous chloride, a coagulant for waste water from paper and pulp and textile processing industries and chromium industries; iron hydroxide for use in cement, steel, and ceramic industries as a substitute for iron ore; recovered TiO2, a substitute for TiO2 for paint industry; CMRL BF protector for use as hearth-protecting material in the blast furnaces; and CMRL rutoweld, a flux for use in welding electrode industry. It also exports its products. The company was incorporated in 1989 and is based in Aluva, India.

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 Stock Details & Analysis

Key Financial Metrics

Return on Equity (ROE)15.01%
Return on Capital Employed23.32%
Operating Profit Margin (5Y)10.79%
Debt to Equity Ratio0.01
Interest Coverage Ratio108.42

Growth & Valuation

Sales Growth (5Y)3.92%
Profit Growth (5Y)31.51%
EPS Growth (5Y)31.51%
YoY Quarterly Profit Growth-58.22%
YoY Quarterly Sales Growth-26.62%

Frequently Asked Questions

What is the current price of Cochin Minerals & Rutile Ltd (COCHINM)?

As of 30 Jan 2026, 01:41 pm IST, Cochin Minerals & Rutile Ltd (COCHINM) is currently trading at ₹274.45. The stock has a market capitalization of ₹205.06 (Cr).

Is COCHINM share price Overvalued or Undervalued?

COCHINM is currently trading at a P/E ratio of 12.24x, compared to the industry average of 29.20x. Based on this relative valuation, the stock appears to be Undervalued against its sector peers.

What factors affect the Cochin Minerals & Rutile Ltd share price?

Key factors influencing COCHINM's price include its quarterly earnings growth (Sales Growth: -26.62%), raw material costs, government infrastructure spending, and institutional flows (FII/DII holding).

Is Cochin Minerals & Rutile Ltd a good stock for long-term investment?

Cochin Minerals & Rutile Ltd shows a 5-year Profit Growth of 31.51% and an ROE of 15.01%. Long-term investors should consider these fundamentals alongside the debt-to-equity ratio of 0.01 before investing.

How does Cochin Minerals & Rutile Ltd compare with its industry peers?

Cochin Minerals & Rutile Ltd competes with major peers in the Specialty Chemicals. Investors should compare COCHINM's P/E of 12.24x and ROE of 15.01% against the industry averages to determine its competitive standing.

What is the P/E ratio of COCHINM and what does it mean?

COCHINM has a P/E ratio of 12.24x compared to the industry average of 29.20x. The Price-to-Earnings (P/E) ratio is calculated by dividing the current share price by earnings per share (EPS). This means investors are paying ₹12 for every ₹1 of annual earnings.

How is COCHINM performing according to Bull Run's analysis?

COCHINM has a Bull Run fundamental score of 53/100, which indicates moderate strength with some areas for improvement. This comprehensive rating is based on 15+ financial parameters including profitability, growth metrics, and valuation ratios.

What sector and industry does COCHINM belong to?

COCHINM operates in the Specialty Chemicals industry. This classification helps understand the competitive landscape and sector-specific trends affecting Cochin Minerals & Rutile Ltd.

What is Return on Equity (ROE) and why is it important for COCHINM?

COCHINM has an ROE of 15.01%, which indicates excellent management efficiency and profitable operations. Return on Equity measures how efficiently Cochin Minerals & Rutile Ltd generates profits from shareholders' equity.

How is COCHINM's debt-to-equity ratio and what does it indicate?

COCHINM has a debt-to-equity ratio of 0.01, which indicates conservative financing with low financial risk. A ratio below 1.0 generally indicates conservative financing.

What is COCHINM's dividend yield and is it a good dividend stock?

COCHINM offers a dividend yield of 3.05%, which means you receive ₹3.05 annual dividend for every ₹100 invested.

How has COCHINM grown over the past 5 years?

COCHINM has achieved 5-year growth rates of: Sales Growth 3.92%, Profit Growth 31.51%, and EPS Growth 31.51%.

What is the promoter holding in COCHINM and why does it matter?

Promoters hold 51.17% of COCHINM shares, with 0.00% of promoter shares pledged. High promoter holding often indicates strong management confidence.

What is COCHINM's market capitalization category?

COCHINM has a market capitalization of ₹205 crores, placing it in the Small-cap category.

How volatile is COCHINM stock?

COCHINM has a beta of N/A. A beta > 1 suggests the stock is more volatile than the market, while a beta < 1 suggests it is less volatile.

What is the 52-week high and low for COCHINM?

COCHINM has a 52-week high of ₹N/A and low of ₹N/A.

What is COCHINM's operating profit margin trend?

COCHINM has a 5-year average Operating Profit Margin (OPM) of 10.79%, indicating the company's operational efficiency.

How is COCHINM's quarterly performance?

Recent quarterly performance shows YoY Sales Growth of -26.62% and YoY Profit Growth of -58.22%.

What is the institutional holding pattern in COCHINM?

COCHINM has FII holding of 0.00% and DII holding of 0.07%. Significant institutional holding often suggests professional confidence in the stock.