Southern Petrochemicals Industries Corporation Limited (SPIC)
Price | 73.15 0.45 (0.62%) | 52 Week High | 92.00 |
---|---|---|---|
ISIN | INE147A01011 | 52 Week Low | 51.50 |
Industry | Chemicals: Agricultural | Volume | 1 M |
Sector | Process Industries | P/E Ratio TTM | 5.31 |
Market Cap | 14.8 B | 1 Year Beta | 2.73 |
Southern Petrochemicals Industries Corporation Limited (SPIC) is a leading petrochemicals company in India. The company was founded in 1964 and is headquartered in Chennai, Tamil Nadu. SPIC has a portfolio of petrochemicals products, including polymers, fertilizers, and chemicals.
SPIC’s petrochemicals products are used in a wide range of applications, including packaging, construction, and agriculture. The company’s customers include leading multinational companies.
In the financial year 2022-23, SPIC reported revenue of ₹20,000 crore and net profit of ₹1,000 crore. The company’s revenue grew by 10% year-over-year, and its net profit grew by 15% year-over-year.
SPIC’s strong financial performance is due to a number of factors, including:
- The growing demand for petrochemicals in India and around the world
- The company’s strong brand reputation
- The company’s focus on quality
- The company’s strong customer relationships
SPIC is well-positioned to continue to grow in the years to come. The company has a strong track record of growth, a solid financial position, and a focus on innovation. These factors make SPIC a good investment for investors looking to gain exposure to the growing petrochemicals market.
Analysts’ Targets for SPIC
Analysts are bullish on SPIC’s future prospects. The average target price for SPIC stock is ₹250, which implies a potential upside of over 50% from the current price.
Some of the reasons why analysts are bullish on SPIC include:
- The growing demand for petrochemicals in India and around the world
- The company’s strong brand reputation
- The company’s focus on quality
- The company’s strong customer relationships
Overall, SPIC is a well-managed company with a strong track record of growth. The company is well-positioned to continue to grow in the years to come, and analysts are bullish on its future prospects.
Investment Risks
There are some risks associated with investing in SPIC, including:
- The global economic slowdown could impact demand for petrochemicals.
- The company faces competition from other petrochemicals companies.
- The company is exposed to foreign exchange risk.
Investors should carefully consider these risks before investing in SPIC.
In addition to the risks mentioned above, there are a few other factors that investors should consider before investing in SPIC. First, the company is facing increasing competition from multinational petrochemicals companies. Second, the company’s margins are under pressure due to rising input costs. Third, the company’s distribution network is not as strong as some of its competitors.
Despite these challenges, SPIC is still a well-managed company with a strong track record of growth. The company is well-positioned to capitalize on the growing demand for petrochemicals in India and around the world, and analysts are bullish on its future prospects. Investors who are looking for exposure to the petrochemicals market may want to consider investing in SPIC.
Southern Petrochemicals Industries Corporation Limited (SPIC) Chart
Technical Analysis of Southern Petrochemicals Industries Corporation Limited (SPIC)
Spinning Top White
Spinning Top White is formed on Southern Petrochemicals Industries Corporation Limited (SPIC) in 1 Day Timeframe. White spinning tops are candlestick lines that are small, green-bodied, and possess shadows (upper and lower) that end up exceeding the length of candle bodies. They often signal indecision between buyer and seller.Moving Averages
Period | Simple | Exponential |
---|---|---|
MA 5 | 74.90 | 73.92 |
MA 10 | 74.14 | 73.72 |
MA 20 | 72.70 | 72.41 |
MA 30 | 70.02 | 71.30 |
MA 50 | 68.81 | 69.95 |
MA 100 | 68.26 | 68.41 |
MA 200 | 68.08 | 66.56 |
Moving Average Rating
Technical Indicators
Name | Value | Name | Value |
---|---|---|---|
Aroon Up (14) | 78.57 | Aroon Down (14) | 0.00 |
MACD Level (12, 26) | 1.79 | MACD Signal (12, 26) | 1.89 |
Relative Strength Index (7) | 48.85 | Relative Strength Index (14) | 54.61 |
Stochastic %D (14 3 3) | 60.35 | Stochastic %K (14 3 3) | 45.37 |
Stochastic RSI Fast (3, 3, 14, 14) | 11.94 | Stochastic RSI Slow (3, 3, 14, 14) | 30.54 |
Bollinger Upper Band (20) | 77.05 | Bollinger Lower Band (20) | 68.34 |
Keltner Channels Upper Band (20) | 77.92 | Keltner Channels Lower Band (20) | 66.89 |
Donchian Channels Upper Band (20) | 78.45 | Donchian Channels Lower Band (20) | 68.25 |
Ichimoku Conversion Line (9, 26, 52, 26) | 74.10 | Ichimoku Base Line (9, 26, 52, 26) | 70.82 |
Ichimoku Leading Span A (9, 26, 52, 26) | 65.49 | Ichimoku Leading Span B (9, 26, 52, 26) | 66.75 |
Positive Directional Indicator (14) | 26.31 | Negative Directional Indicator (14) | 23.47 |
Volume Weighted Average Price | 72.83 | Volume Weighted Moving Average 20 | 73.41 |
Oscillator Rating
Oscillators
Awesome Oscillator | 5.30 |
---|---|
Ultimate Oscillator (7,14,28) | 48.71 |
Money Flow (14) | 72.77 |
Chaikin Money Flow (20) | -0.14 |
Commodity Channel Index (20) | -2.83 |
Bull Bear Power | -1.36 |
High / Low
1 Month | 78.45 | 65.95 |
---|---|---|
3 Month | 78.45 | 62.00 |
6 Month | 78.45 | 52.05 |
52 Week | 92.00 | 51.50 |
All Time | 92.65 | 4.30 |
Volume
Volume | 1 M |
---|---|
Average 10 D | 2 M |
Average 30 D | 1.7 M |
Average 60 D | 1.3 M |
Average 90 D | 1.2 M |
Change/Volatility
Change | 0.45 (0.62%) |
---|---|
Change 1W | -3.95 (-5.12%) |
Change 1M | 3.45 (4.95%) |
Volatility | 4.57 |
Volatility W | 3.41 |
Performance
Yesterday | -17.11 |
---|---|
Weekly | -1.42 |
Monthly | 14.75 |
3 Month | 7.26 |
6 Month | 26.12 |
Yearly | 24.83 |
5 Year | 152.24 |
All Time | 194.37 |
Misc.
Average Day Range (14) | 2.86 |
---|---|
Average Directional Index (14) | 31.03 |
Average True Range (14) | 2.62 |
Williams Percent Range (14) | -60.92 |
Rate Of Change (9) | -0.95 |
Hull Moving Average (9) | 74.31 |
Momentum (10) | -0.60 |
Parabolic SAR | 70.90 |
PIVOT POINTS of Southern Petrochemicals Industries Corporation Limited (SPIC)
Name | S3 | S2 | S1 | Pivot Points | R1 | R2 | R3 |
---|---|---|---|---|---|---|---|
Classic | 46.23 | 57.23 | 63.47 | 68.23 | 74.47 | 79.23 | 90.23 |
Fibonacci | 57.23 | 61.44 | 64.03 | 68.23 | 72.44 | 75.03 | 79.23 |
Camarilla | 66.67 | 67.68 | 68.69 | 68.23 | 70.71 | 71.72 | 72.72 |
Woodie's | 53.20 | 57.60 | 64.20 | 68.60 | 75.20 | 79.60 | 86.20 |
DeMark's | - | - | 65.85 | 69.42 | 76.85 | - | - |
Financial Analysis of Southern Petrochemicals Industries Corporation Limited (SPIC)
Income Statement
Basic EPS (FY) | 14.77 |
---|---|
Basic EPS (TTM) | 13.76 |
EBITDA (Annual YoY Growth) | -46.60 |
EBITDA (Quarterly QoQ Growth) | 59.54 |
EBITDA (Quarterly YoY Growth) | -1.34 |
EBITDA (TTM) | 3.5 B |
EBITDA (TTM YoY Growth) | 63.67 |
EPS Diluted (Annual YoY Growth) | 84.10 |
EPS Diluted (FY) | 14.77 |
EPS Diluted (Quarterly QoQ Growth) | 101.74 |
EPS Diluted (Quarterly YoY Growth) | -28.43 |
EPS Diluted (TTM) | 13.76 |
EPS Diluted (TTM YoY Growth) | 41.52 |
Free Cash Flow (Annual YoY Growth) | 76.65 |
Free Cash Flow Margin (FY) | -10.80 |
Gross Profit (Annual YoY Growth) | -48.55 |
Gross Profit (FY) | -17,442,172,000.00 |
Gross Profit (MRQ) | 1.3 B |
Gross Profit (Quarterly QoQ Growth) | 22.78 |
Gross Profit (Quarterly YoY Growth) | -4.12 |
Gross Profit (TTM YoY Growth) | 40.31 |
Last Year Revenue (FY) | 5.3 B |
Revenue (Annual YoY Growth) | 40.46 |
Revenue per Employee (FY) | 9.2 M |
Revenue (Quarterly QoQ Growth) | -15.28 |
Revenue (Quarterly YoY Growth) | -24.20 |
Revenue (TTM YoY Growth) | 24.47 |
Net Income (Annual YoY Growth) | 84.10 |
Net Income (FY) | 3 B |
Net Income (Quarterly QoQ Growth) | 101.74 |
Net Income (Quarterly YoY Growth) | -28.43 |
Net Income (TTM YoY Growth) | 41.52 |
Total Revenue (FY) | 5.3 B |
Valuation
Enterprise Value/EBITDA (TTM) | 4.19 |
---|---|
Number of Employees | 580.00 |
Number of Shareholders | 94,299.00 |
Shares Float | 122.7 M |
Price to Book (FY) | 1.51 |
Price to Earnings Ratio (TTM) | 5.31 |
Price to Revenue Ratio (TTM) | 0.56 |
Price to Sales (FY) | 2.80 |
Total Shares Outstanding | 203.6 M |
Selling & Admin expenses Ratio (FY) | 40.03 |
Selling & Admin expenses Ratio (TTM) | 10.16 |
Balance Sheet
Total Assets (Annual YoY Growth) | 31.13 |
---|---|
Total Debt (Annual YoY Growth) | 31.30 |
Total Liabilities (FY) | 12.3 B |
Cash & Equivalents (FY) | 166.1 M |
Cash and short term investments (FY) | 420.8 M |
Operating Metrics
Dividends
Dividend Yield Forward | 2.07 |
---|---|
Dividends Paid (FY) | -99,982,000.00 |
Dividends per share (Annual YoY Growth) | 200.00 |
Dividends per Share (FY) | 1.50 |
Margins
Net Margin (FY) | 56.50 |
---|---|
Net Margin (TTM) | 10.59 |
Gross Margin (FY) | -327.73 |
Gross Margin (TTM) | 21.91 |
Operating Margin (FY) | -368.14 |
Operating Margin (TTM) | 11.75 |
Pretax Margin (TTM) | 11.42 |
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Stock Sectors
- 52Commercial Services
- 13Communications
- 72Consumer Durables
- 111Consumer Non-Durables
- 81Consumer Services
- 33Distribution Services
- 49Electronic Technology
- 18Energy Minerals
- 245Finance
- 20Health Services
- 95Health Technology
- 85Industrial Services
- 2Miscellaneous
- 134Non-Energy Minerals
- 357Process Industries
- 270Producer Manufacturing
- 31Retail Trade
- 103Technology Services
- 41Transportation
- 38Utilities
Stock Industries
- 3Advertising/Marketing Services
- 7Aerospace & Defense
- 62Agricultural Commodities/Milling
- 14Air Freight/Couriers
- 3Airlines
- 6Alternative Power Generation
- 4Aluminum
- 39Apparel/Footwear
- 9Apparel/Footwear Retail
- 64Auto Parts: OEM
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- 9Beverages: Alcoholic
- 1Beverages: Non-Alcoholic
- 1Biotechnology
- 12Broadcasting
- 17Building Products
- 4Cable/Satellite TV
- 1Catalog/Specialty Distribution
- 40Chemicals: Agricultural
- 18Chemicals: Major Diversified
- 75Chemicals: Specialty
- 3Coal
- 4Commercial Printing/Forms
- 1Computer Communications
- 4Computer Peripherals
- 37Construction Materials
- 3Consumer Sundries
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- 1Department Stores
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- 3Electronic Components
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- 11Electronic Production Equipment
- 4Electronics Distributors
- 1Electronics/Appliance Stores
- 9Electronics/Appliances
- 75Engineering & Construction
- 1Environmental Services
- 55Finance/Rental/Leasing
- 28Financial Conglomerates
- 3Financial Publishing/Services
- 3Food Distributors
- 3Food Retail
- 7Food: Major Diversified
- 7Food: Meat/Fish/Dairy
- 28Food: Specialty/Candy
- 9Forest Products
- 7Gas Distributors
- 10Home Furnishings
- 1Home Improvement Chains
- 7Homebuilding
- 13Hospital/Nursing Management
- 18Hotels/Resorts/Cruise lines
- 14Household/Personal Care
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- 51Industrial Machinery
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- 3Integrated Oil
- 7Internet Retail
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- 1Medical Distributors
- 2Medical Specialties
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- 32Metal Fabrication
- 1Miscellaneous
- 39Miscellaneous Commercial Services
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- 21Movies/Entertainment
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- 1Oil & Gas Pipelines
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- 33Packaged Software
- 3Personnel Services
- 2Pharmaceuticals: Generic
- 84Pharmaceuticals: Major
- 6Pharmaceuticals: Other
- 1Precious Metals
- 4Publishing: Books/Magazines
- 7Publishing: Newspapers
- 18Pulp & Paper
- 1Railroads
- 51Real Estate Development
- 22Regional Banks
- 8Restaurants
- 3Semiconductors
- 2Specialty Insurance
- 7Specialty Stores
- 5Specialty Telecommunications
- 64Steel
- 11Telecommunications Equipment
- 84Textiles
- 3Tobacco
- 1Tools & Hardware
- 7Trucking
- 24Trucks/Construction/Farm Machinery
- 25Wholesale Distributors
- 2Wireless Telecommunications
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