Kokuyo Camlin Limited (KOKUYOCMLN)

Price136.65 1.60 (1.18%)52 Week High165.00
ISININE760A0102952 Week Low66.60
IndustryTools & HardwareVolume40,462
SectorConsumer DurablesP/E Ratio TTM39.77
Market Cap13.5 B1 Year Beta0.66
Technical Rating of

Kokuyo Camlin Limited (KOKUYOCMLN) is an Indian company that manufactures and markets stationery products, art materials, and scholastic products. The company was founded in 1931 and is headquartered in Mumbai, Maharashtra. Kokuyo Camlin has a presence in over 50 countries and employs over 2,000 people.

Kokuyo Camlin’s products include:

  • Stationery: Kokuyo Camlin manufactures a range of stationery products, including pens, pencils, erasers, sharpeners, and notebooks.
  • Art materials: Kokuyo Camlin also manufactures a range of art materials, including paints, brushes, pencils, and canvases.
  • Scholastic products: Kokuyo Camlin produces a range of scholastic products, including textbooks, workbooks, and activity kits.

Kokuyo Camlin is a publicly traded company and its shares are listed on the National Stock Exchange of India and the Bombay Stock Exchange. The company’s market capitalization is over ₹100 billion.

Kokuyo Camlin is a well-managed company with a strong track record of financial performance. The company has been profitable for over 90 years and has a strong balance sheet. Kokuyo Camlin is also a leader in the Indian stationery market.

Here are some of the key aspects of Kokuyo Camlin Limited (KOKUYOCMLN):

  • Products and services: Kokuyo Camlin manufactures and markets a range of stationery products, art materials, and scholastic products.
  • Customers: Kokuyo Camlin’s customers include a wide range of businesses, including schools, colleges, and offices.
  • Financial performance: Kokuyo Camlin has been profitable for over 90 years and has a strong balance sheet.
  • Market share: Kokuyo Camlin is a leader in the Indian stationery market.
  • Growth potential: Kokuyo Camlin is well-positioned to continue to grow its business in the coming years, due to the increasing demand for stationery products in India and abroad.

However, there are also some risks associated with investing in Kokuyo Camlin. These risks include:

  • Competition: Kokuyo Camlin faces competition from other Indian and international stationery companies.
  • Regulation: The stationery industry is regulated by the government of India. This regulation could impact Kokuyo Camlin’s business in the future.
  • Economic slowdown: If the Indian economy slows down, it could impact Kokuyo Camlin’s business. This is because businesses are less likely to invest in stationery products during a slowdown.
  • Changing technology: The stationery industry is constantly changing. Kokuyo Camlin needs to be able to adapt to these changes in order to remain competitive.

Overall, Kokuyo Camlin Limited (KOKUYOCMLN) is a well-managed company with a strong track record of financial performance. The company is also a leader in the Indian stationery market. Kokuyo Camlin is well-positioned to continue to grow its business in the coming years, but there are some risks that investors should be aware of.

          

Kokuyo Camlin Limited (KOKUYOCMLN) Chart

Technical Analysis of Kokuyo Camlin Limited (KOKUYOCMLN)

Moving Averages

PeriodSimpleExponential
MA 5139.33138.20
MA 10140.09140.12
MA 20143.86142.35
MA 30145.85142.53
MA 50143.80139.30
MA 100125.50126.96
MA 200100.95109.57

Moving Average Rating

Technical Indicators

NameValueNameValue
Aroon Up (14)0.00Aroon Down (14)57.14
MACD Level (12, 26)-1.93MACD Signal (12, 26)-0.73
Relative Strength Index (7)36.21Relative Strength Index (14)40.79
Stochastic %D (14 3 3)35.94Stochastic %K (14 3 3)27.39
Stochastic RSI Fast (3, 3, 14, 14)28.22Stochastic RSI Slow (3, 3, 14, 14)37.13
Bollinger Upper Band (20)153.45Bollinger Lower Band (20)134.27
Keltner Channels Upper Band (20)154.25Keltner Channels Lower Band (20)130.46
Donchian Channels Upper Band (20)154.00Donchian Channels Lower Band (20)130.90
Ichimoku Conversion Line (9, 26, 52, 26)139.20Ichimoku Base Line (9, 26, 52, 26)142.45
Ichimoku Leading Span A (9, 26, 52, 26)147.34Ichimoku Leading Span B (9, 26, 52, 26)136.50
Positive Directional Indicator (14)14.69Negative Directional Indicator (14)24.73
Volume Weighted Average Price135.28Volume Weighted Moving Average 20143.85

Oscillator Rating

Oscillators

Awesome Oscillator-8.08
Ultimate Oscillator (7,14,28)58.01
Money Flow (14)24.41
Chaikin Money Flow (20)-0.01
Commodity Channel Index (20)-137.16
Bull Bear Power-12.84

High / Low

1 Month154.00130.90
3 Month165.00113.95
6 Month165.0066.60
52 Week165.0066.60
All Time165.007.30

Volume

Volume40,462.00
Average 10 D60,802.00
Average 30 D92,713.87
Average 60 D328.4 T
Average 90 D389.8 T

Change/Volatility

Change1.60 (1.18%)
Change 1W-7.40 (-5.14%)
Change 1M-14.05 (-9.32%)
Volatility3.94
Volatility W3.43

Performance

Yesterday59.36
Weekly-6.91
Monthly-7.20
3 Month16.99
6 Month95.49
Yearly89.92
5 Year-1.69
All Time685.80

Misc.

Average Day Range (14)5.45
Average Directional Index (14)20.47
Average True Range (14)6.03
Williams Percent Range (14)-72.75
Rate Of Change (9)-6.15
Hull Moving Average (9)137.16
Momentum (10)-8.40
Parabolic SAR146.21

PIVOT POINTS of Kokuyo Camlin Limited (KOKUYOCMLN)

NameS3S2S1Pivot PointsR1R2R3
Classic109.78130.73140.72151.68161.67172.63193.58
Fibonacci130.73138.74143.68151.68159.69164.63172.63
Camarilla144.94146.86148.78151.68152.62154.54156.46
Woodie's119.28130.49140.23151.44161.17172.39182.12
DeMark's - - 135.73149.19156.67 - -

Financial Analysis of Kokuyo Camlin Limited (KOKUYOCMLN)

Income Statement

Basic EPS (FY)2.44
Basic EPS (TTM)3.44
EBITDA (Annual YoY Growth)194.05
EBITDA (Quarterly QoQ Growth)41.15
EBITDA (Quarterly YoY Growth)79.03
EBITDA (TTM)649.8 M
EBITDA (TTM YoY Growth)66.61
EPS Diluted (FY)2.44
EPS Diluted (Quarterly QoQ Growth)109.66
EPS Diluted (Quarterly YoY Growth)119.88
EPS Diluted (TTM)3.44
EPS Diluted (TTM YoY Growth)87.96
Free Cash Flow (Annual YoY Growth)50.95
Free Cash Flow Margin (FY)1.48
Gross Profit (Annual YoY Growth)88.04
Gross Profit (FY)1.4 B
Gross Profit (MRQ)605 M
Gross Profit (Quarterly QoQ Growth)14.14
Gross Profit (Quarterly YoY Growth)44.89
Gross Profit (TTM YoY Growth)47.80
Last Year Revenue (FY)7.7 B
Revenue (Annual YoY Growth)52.10
Revenue per Employee (FY)7.1 M
Revenue (Quarterly QoQ Growth)9.04
Revenue (Quarterly YoY Growth)20.21
Revenue (TTM YoY Growth)28.47
Net Income (FY)244.5 M
Net Income (Quarterly QoQ Growth)109.66
Net Income (Quarterly YoY Growth)119.88
Net Income (TTM YoY Growth)87.67
Total Revenue (FY)7.7 B

Valuation

Enterprise Value/EBITDA (TTM)20.71
Number of Employees1,095.00
Number of Shareholders31,016.00
Shares Float23.4 M
Price to Book (FY)5.22
Price to Earnings Ratio (TTM)39.77
Price to Revenue Ratio (TTM)1.68
Price to Sales (FY)1.77
Total Shares Outstanding100.3 M
Research & development Ratio (FY)0.63
Selling & Admin expenses Ratio (FY)12.55
Selling & Admin expenses Ratio (TTM)18.60

Balance Sheet

Total Assets (Annual YoY Growth)10.81
Total Debt (Annual YoY Growth)-20.82
Total Liabilities (FY)1.8 B
Cash & Equivalents (FY)82.5 M
Cash and short term investments (FY)84.9 M

Operating Metrics

Dividends

Dividend Yield Forward0.37
Dividends per Share (FY)0.50

Margins

Net Margin (FY)3.16
Net Margin (TTM)4.23
Gross Margin (FY)18.02
Gross Margin (TTM)24.51
Operating Margin (FY)4.88
Operating Margin (TTM)5.91
Pretax Margin (TTM)6.21

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