Kanchi Karpooram Ltd Stock Price Today (NSE: KANCHI)

Kanchi Karpooram Ltd

367.50+4.50 (+1.24%)
Market Closed

Fundamental Score

...

Kanchi Karpooram Ltd Share Price — Live NSE/BSE Price, Fundamentals & Analysis

Kanchi Karpooram Ltd share price today is 367.50, up +1.24% on NSE/BSE as of 19 June 2026. Kanchi Karpooram Ltd (KANCHI) is a Small-cap company in the Commodity Chemicals sector with a market capitalisation of 165.07 (Cr). The 52-week high for KANCHI share price is 491.00 and the 52-week low is 310.00. At a P/E ratio of 29.74x, KANCHI is currently trading above its industry average P/E of 20.98x. The company has a Return on Equity (ROE) of 6.94% and a debt-to-equity ratio of 0.06.

Kanchi Karpooram Ltd Share Price Chart — NSE/BSE Historical Performance

No data
High
451.35
Low
367.50
Volume
628.4545454545455
Change
-9.75%

Kanchi Karpooram Ltd share price chart: -9.75% return over the past month. 52-week high ₹491.00, 52-week low ₹310.00.

Kanchi Karpooram Ltd — Last 10 Trading Days

DateOpenHighLowCloseVolume
360.00370.00359.35367.50302.00 (Cr)
361.65371.00361.60363.00217.00 (Cr)
372.00372.00362.00371.95240.00 (Cr)
379.85379.85370.60372.0079.00 (Cr)
380.20380.20378.00378.0050.00 (Cr)
386.70386.70378.25378.25300.00 (Cr)
373.00386.00373.00385.1075.00 (Cr)
374.00385.00374.00375.3067.00 (Cr)
376.00378.50374.20375.00162.00 (Cr)
373.10380.00370.00378.50103.00 (Cr)

Kanchi Karpooram Ltd — Last 12 Months Price History

MonthOpenHighLowCloseChange
361.65371.00359.35367.50+1.62%
411.70416.45362.00371.95-9.66%
336.60463.25317.10402.70+19.64%
344.80345.00310.00313.90-8.96%
350.90382.00316.85332.95-5.12%
370.00373.50325.10342.35-7.47%
386.00388.00336.30374.00-3.11%
400.00402.00357.00384.90-3.78%
403.95420.00394.00399.00-1.23%
421.50439.80400.00407.70-3.27%
440.00491.00410.10422.55-3.97%
432.95471.00421.50435.80+0.66%

AI Research Briefing

Powered by Gemini · 2026-04-09

Kanchi Karpooram is a micro-cap commodity play with high revenue and regulatory risks, making it a speculative bet.

Research Confidence
5.0/10Moderate
MICRO-CAP DARK HORSEConsolidation - 1M: -4.76%, 3M: -9.11%, 6M: -13.55%.Expensive - P/E of 29.74x vs Industry P/E of 20.98x.

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

Kanchi Karpooram's board met on April 4, 2026, to approve changes to its business objectives, pending shareholder approval via postal ballot. The e-voting record date for shareholders was April 8, 2026. The company received a GST demand order of plus a penalty of from the Assistant Commissioner of GST & Central Excise for the period 2019-20 to 2023-24. Kanchi Karpooram is evaluating legal options and plans to appeal.

CORE STORY (THE REAL GAME)

Kanchi is a play on the cyclical commodity chemical sector, specifically camphor and allied products. The market is likely pricing in a recovery in demand after a weak Q3, coupled with potential benefits from expanded business objectives.

Why Now
  • Potential business expansion
  • Commodity chemical sector growth
  • Appeal of GST order
Potential Catalysts
  • Successful business diversification
  • Stronger than expected demand in the camphor market
  • Favorable outcome of GST appeal
Key Risks
  • Micro/SME cap - liquidity risk
  • Cyclical commodity business
  • GST demand and penalty of ~₹90 lakh
Institutional Activity

No significant FII/DII activity reported.

Macro Context

Moderate global growth in the chemical industry, driven by sustainability and digital transformation.

Cash Flow Quality

Yes - Free Cash Flow 5Y: ₹64.12 Cr

3–6 Month Outlook

Kanchi needs to demonstrate a strong turnaround in the next 2 quarters to justify its valuation. Focus on execution of business expansion and managing regulatory hurdles.

Primary Thesis Risk

Revenue volatility and regulatory challenges could derail the turnaround story.

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

Returns & Performance

Poor

Return on Equity (ROE)

6.94%

Profit generated per ₹1 of shareholder equity

Poor

Return on Capital (ROCE)

9.44%

Returns generated on total capital deployed

Excellent

Oper. Profit Margin (5Y Avg)

17.86%

Average operating profit margin over 5 years

Dividend Yield

0.26%

Annual dividend as % of current share price

Kanchi Karpooram Ltd Valuation Check

Poor

Price to Earnings (P/E)

29.74x

Share price ÷ earnings per share. Lower = cheaper

Poor

Industry Avg P/E

20.98x

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

50.06%

% shares held by company founders/management

Poor

FII Holding

0.00%

% shares held by foreign institutional investors

Poor

DII Holding

0.00%

% 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)

-73.85%

Net profit growth vs same quarter last year

Poor

Revenue Growth (Quarterly YoY)

-16.68%

Revenue growth vs same quarter last year

Poor

Revenue Growth (5-Year CAGR)

-5.67%

Compounded annual revenue growth over 5 years

Poor

EPS Growth (5-Year CAGR)

-11.64%

Earnings per share growth over 5 years

Poor

Net Profit Growth (5-Year CAGR)

-11.29%

Compounded annual net profit growth over 5 years

Balance Sheet Health

Excellent

Debt to Equity Ratio

0.06x

Total debt ÷ equity. Below 0.5 = financially healthy

Excellent

Interest Coverage Ratio

10.66x

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

Free Cash Flow (5-Year Total)

64.12 (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

Kanchi Karpooram Ltd Fundamental Analysis & Valuation Benchmarking

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

Positive Indicators

6 factors identified

Strong Operating Margins (17.86%)

Observation: Healthy 5-year operating margins indicate pricing power and cost control.

Analysis: OPM >15% suggests operational efficiency and competitive advantages.

Conservative Debt Levels (D/E: 0.06)

Observation: Low leverage provides financial flexibility and reduced risk.

Analysis: Conservative debt structure offers resilience during economic downturns.

Strong Interest Coverage (10.66x)

Observation: Earnings comfortably cover interest obligations.

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

Strong Cash Generation (₹64.12 Cr over 5Y)

Observation: Healthy free cash flow generation supports growth and returns.

Analysis: Strong FCF provides flexibility for dividends, debt reduction, and growth investments.

Balanced Promoter Holding (50.06%)

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.

Risk Factors

7 factors identified

Below-Average Return on Equity (6.94%)

Observation: Returns on equity are below industry benchmarks.

Analysis: ROE <10% may indicate inefficient capital utilization. Consider monitoring for operational improvements and management effectiveness.

Suboptimal ROCE (9.44%)

Observation: Returns on capital employed are below expectations.

Analysis: ROCE <10% suggests potential inefficiencies in capital allocation.

Profit Decline Concern (-73.85%)

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

Analysis: Declining profitability requires investigation into underlying causes.

Revenue Contraction (-16.68%)

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

Analysis: Negative revenue growth requires analysis of market conditions.

Limited Growth History (-5.67% CAGR)

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

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

Weak Earnings Growth (-11.64% CAGR)

Observation: Below-average 5-year EPS growth performance.

Analysis: Low EPS growth may not keep pace with inflation.

Stagnant Profit Growth (-11.29% CAGR)

Observation: Limited 5-year profit growth trajectory.

Analysis: Low profit growth may indicate scalability challenges or market maturity.

Kanchi Karpooram Ltd vs Commodity Chemicals Peers

Peer Comparison - Commodity Chemicals

Compare Kanchi Karpooram 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
25.8/100
368
₹165.07
29.7
Average
6.94%
Poor
9.44%
Poor
0.1
Excellent
-11.29%
Poor
-5.67%
Poor
0.26%
SRF Ltd...
SRF503806
49.8/100
2696
₹86606.52
53.5
Average
10.37%
Average
12.27%
Average
0.3
Excellent
4.40%
Average
15.30%
Excellent
0.25%
14.9/100
734
₹20261.08
62.2
Average
1.20%
Poor
3.96%
Poor
0.3
Excellent
-47.92%
Poor
7.53%
Good
1.38%
57/100
1411
₹17120.52
17.4
Average
15.56%
Good
15.67%
Good
0.7
Good
94.55%
Excellent
17.00%
Excellent
0.74%
52.8/100
499
₹7381.56
11.6
Average
7.08%
Poor
9.57%
Poor
0.0
Excellent
3.30%
Average
8.86%
Good
3.58%
Ghcl Ltd...
GHCL500171
40.4/100
460
₹5520.31
9.7
Average
18.57%
Good
24.19%
Excellent
0.0
Excellent
8.63%
Good
-0.75%
Poor
2.09%
19.7/100
16
₹5397.73
9306.4
Average
2.12%
Poor
2.57%
Poor
0.0
Excellent
173.71%
Excellent
0.00%
24.4/100
218
₹4503.74
-5.93%
Poor
1.83%
Poor
1.0
Good
28.15%
Excellent
0.00%
68.7/100
2063
₹4106.65
43.7
Average
32.05%
Excellent
41.76%
Excellent
0.1
Excellent
38.64%
Excellent
27.58%
Excellent
0.22%
28/100
679
₹3866.17
25774.5
Average
-1.13%
Poor
-0.34%
Poor
0.1
Excellent
8.37%
Good
3.01%
59.7/100
68
₹3614.14
23.9
Average
17.58%
Good
23.34%
Excellent
0.0
Excellent
17.17%
Excellent
12.90%
Good
0.63%

Kanchi Karpooram Ltd PE Ratio History

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

YearEPS (₹)Price (₹)P/E Ratio
FY 20241.38₹534.40387.2x

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

Kanchi Karpooram Ltd Dividend History

Annual cash dividends paid by KANCHI — dividend yield 0.26%

Financial YearDividends Paid (₹ Cr)
FY 20250.43 Cr
FY 20240.43 Cr
FY 20231.13 Cr
FY 20221.74 Cr

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

Kanchi Karpooram Ltd Quarterly Performance

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

Revenue Growth (YoY)

-16.68%

Latest quarter vs same quarter previous year

Net Profit Growth (YoY)

-73.85%

Latest quarter net profit vs same quarter previous year

5-Year Revenue CAGR

-5.67%

Compounded annual revenue growth over 5 years

5-Year Profit CAGR

-11.29%

Compounded annual net profit growth over 5 years

Kanchi Karpooram Ltd Technical Indicators

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

25RSI 14
Oversold — RSI 25

Selling pressure is heavy — potential reversal zone.

SMA 50
369
▼ Price below SMA 50 — Short-term bearish
SMA 200
379
▼ Price below SMA 200 — Long-term downtrend
30-Day Avg Volume
2K shares/day
Average daily traded volume over last 30 trading sessions

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

Kanchi Karpooram Ltd Financial Statements

Annual income statement, balance sheet and cash flow for Kanchi Karpooram Ltd (KANCHI) — sourced from NSE/BSE filings.

Loading Financial Statements...

Fetching financial data for Kanchi Karpooram Ltd

About KANCHI (Kanchi Karpooram Ltd)

Kanchi Karpooram Ltd is a dynamic player in the commodity chemicals sector, primarily focused on the intricate refinement and distribution of camphor and its associated derivatives.... The company meticulously transforms raw materials into a diverse portfolio of industrial essentials. Beyond the familiar camphor crystals, Kanchi's expertise extends to producing camphene, a crucial component in fragrance and flavor manufacturing, and dipentene, a versatile solvent used across various industries. This core competency has allowed Kanchi to become a trusted provider for businesses requiring high-quality, reliable chemical inputs for diverse applications. Its commitment to sustainable sourcing and responsible manufacturing practices further solidifies its position in a competitive market, catering to the evolving demands of modern industries. The company's operations are strategically divided into two key segments: the core Camphor business and the complementary Trading of Agro Products. This dual focus allows Kanchi to diversify its revenue streams and mitigate market fluctuations. On the chemical side, its product range encompasses a wide array of substances, including isoborneol and isobornyl acetate, valuable building blocks for specialty chemicals, and sodium acetate trihydrate, widely used in various industrial processes. Supplementing this chemical production, the agro-trading segment allows the company to capitalize on opportunities within agricultural commodities, dealing with raw cashew nuts and other agricultural goods. This approach offers a balanced portfolio, combining manufacturing expertise with trading acumen, positioning Kanchi for sustained growth. Kanchi Karpooram distinguishes itself through its dedication to producing a comprehensive range of pine-derived chemicals. It meticulously extracts and refines compounds like pine pitch, double distilled turpentine, and pine oil, each playing a vital role in various industrial processes. Furthermore, the company processes gum rosin into value-added resins, fortified rosin, and ester gum, all contributing to a diverse spectrum of applications, from adhesives to coatings. This comprehensive approach to resource utilization not only minimizes waste but also allows Kanchi to offer specialized solutions to industries seeking high-performance chemical inputs. The company’s commitment to refining these natural resources positions it as a key enabler for downstream manufacturing processes across various sectors.

Company Details

Symbol:KANCHI
Industry:Commodity Chemicals
Sector:Commodity Chemicals

Key Leadership

Mr. Suresh Veerchandji D. Shah
MD & Executive Director
Mr. Dipesh Suresh Jain
Joint MD & Whole-Time Director
Mr. Surendra Kumar Shah
Chief Financial Officer

KANCHI Share Price: Frequently Asked Questions

What is the current share price of Kanchi Karpooram Ltd?

Kanchi Karpooram Ltd (KANCHI) trades at ₹367.50 on NSE and BSE. Market cap ₹165.07 (Cr). Educational data only.

What is the P/E ratio of Kanchi Karpooram Ltd?

Kanchi Karpooram Ltd has a P/E of 29.74x vs industry average 20.98x.

What is the Bull Run score for Kanchi Karpooram Ltd?

Kanchi Karpooram Ltd has a Bull Run score of 25.8/100 based on 25+ financial parameters.

Does Kanchi Karpooram Ltd pay dividends?

Kanchi Karpooram Ltd has a dividend yield of 0.26%. Past dividends don't guarantee future payments.

What is the ROE of Kanchi Karpooram Ltd?

Kanchi Karpooram Ltd has ROE of 6.94%. Higher ROE indicates better use of shareholder equity.

What is the debt-to-equity ratio of Kanchi Karpooram Ltd?

Kanchi Karpooram Ltd has debt-to-equity of 0.06.

Is Kanchi Karpooram Ltd a good investment?

Bull Run gives Kanchi Karpooram Ltd a score of 25.8/100. This is not investment advice — consult a SEBI-registered advisor.