SIKKO INDUSTRIES LIMITED·Chemicals Companies·Fertilizers & Agrochemicals Companies

2026-08-21 NSE Web 5% Result 12 Aug

Price

5.33

+2.49%
O:5.12
H:5.45
L:5.03
C:5.33

52W Range

3.26.83
+67%/-22%

Market Cap

₹232.81 Cr

Traded: ₹0.23 Cr (0.10%) 0.0x

Free Float: ₹86.89 Cr (0.26% of FF traded)

Volume · 60D trend

4.42 L 0.0x

Delivery: % 0.0x

View Delivery Data

Returns

1W:+0% 1M:+1% 3M:+41% 6M:+9% 12M:+2%

Valuation

P/E38.1
P/B2.7
P/S3.6
EV/EBIT28.7

Business Strength

ROE0.0%
ROCE0.0%
OPM9.8%
NPM7.8%

Growth (3Y CAGR)

EPS+20.0%
Sales--
Profit--
3Y Return+25.0%

Balance Sheet

Debt/Equity0.1
Debt11.7 Cr
Pledge0.0%
CWIP/Fixed Asset0.0%

Cash Position

CFO/NP-143.3%
FCF-9.35 Cr
FCF 3Y Avg-46 Cr
Cash/MCap--

Others

Div Yield0.0%
Div Payout0.0%
Cash Conv. Cycle331.58 days
Tradeable Free Float37.3%

MTF Exposure Trend

60 sessions · funded amount, % of FF, daily delta

Current
₹ 0
0.00% FF
60d high
₹ 6.43 L
60d low
₹ 0
60d mean
₹ 0.78 L
vs mean
▼ 100.00%

Growth Trends

Metric10Y5Y3Y1YTTMTrend
ROE
--
--
+8.0%
--
--
--
Return
--
+40.0%
+25.0%
+56.0%
--
Stable
Profit
--
--
--
--
+29.0%
--
Sales
--
--
--
--
+1.0%
--

Quarterly Results

Jun 2026

12 Aug
Rev
18 Cr
-2% YoY+61% QoQ
OPM25.8%
NPM17.7%
PAT
+44% YoY3 Cr
EPS
+40% YoY0.1

Mar 2026

PDF
Rev
11 Cr
-42% YoY-34% QoQ
OPM-31.3%
NPM-18.3%
PAT
-128% YoY-2 Cr
EPS
-150% YoY-0.1

Dec 2025

7 Feb
Rev
17 Cr
+43% YoY-13% QoQ
OPM16.4%
NPM12.4%
PAT
+60% YoY2 Cr
EPS
+67% YoY0.1

Sep 2025

PDF
Rev
19 Cr
+25% YoY+6% QoQ
OPM20.3%
NPM14.8%
PAT
+36% YoY3 Cr
EPS
+40% YoY0.1

Jun 2025

PDF
Rev
18 Cr
+14% YoY-4% QoQ
OPM17.6%
NPM12.0%
PAT
+25% YoY2 Cr
EPS
+25% YoY0.1

Mar 2025

PDF
Rev
19 Cr
--+61% QoQ
OPM-6.5%
NPM-4.7%
PAT
---1 Cr
EPS
---0.0

Dec 2024

PDF
Rev
12 Cr
---24% QoQ
OPM17.6%
NPM11.1%
PAT
--1 Cr
EPS
--0.0

Sep 2024

PDF
Rev
15 Cr
---4% QoQ
OPM19.8%
NPM13.7%
PAT
--2 Cr
EPS
--0.1

Jun 2024

PDF
Rev
16 Cr
----
OPM15.6%
NPM11.0%
PAT
--2 Cr
EPS
--0.0

Revenue & Margin Trends

Annual

Quarterly

Balance Sheet Health

Leverage

Debt / Equity0.14
Interest Coverage-3.2x
Promoter Pledge0.0%
Borrowings12 Cr

Efficiency

Receivable Days201.67 days
Inventory Days155.49 days
Payable Days25.58 days
Cash Conversion cycle331.58 days

Cash Position

Operating Cash Flow-7 Cr
Investing Cash Flow1 Cr
Financing Cash Flow7 Cr
Free Cash Flow-9 Cr

Detailed Financials

Jun 2026PDF ↗
Mar 2026PDF ↗
Dec 2025PDF ↗
Sep 2025PDF ↗
Jun 2025PDF ↗
Mar 2025PDF ↗
Dec 2024PDF ↗
Sep 2024PDF ↗
Jun 2024PDF ↗
Sales181117191819121516
Expenses131414151520101213
Operating Profit5-3343-1232
OPM %25.8%-31.3%16.4%20.3%17.6%-6.5%17.6%19.8%15.6%
Other Income011001000
Interest000000000
Depreciation000000000
Profit Before Tax4-3343-1232
Tax %25.2%-38.3%26.9%22.8%27.8%-4.4%29.0%24.9%24.7%
Net Profit3-2232-1122
Exceptional Items------------------
EPS (Rs)0.1-0.10.10.10.1-0.00.00.10.0
Sales Growth (YoY)-2.3%-41.7%42.9%25.3%14.0%--------
Sales Growth (QoQ)61.0%-34.3%-12.9%6.1%-4.0%61.1%-23.6%-3.5%--
OP Growth (YoY)43.4%-179.7%33.0%28.0%28.2%--------
OP Growth (QoQ)232.6%-225.5%-29.6%22.3%358.5%-159.7%-32.2%22.6%--
Profit Growth (YoY)43.6%-128.4%60.0%35.7%24.6%--------
EPS Growth (YoY)40.0%-150.0%66.7%40.0%25.0%--------
EPS Growth (QoQ)240.0%-200.0%-28.6%40.0%350.0%-166.7%-40.0%25.0%--
OP Margin25.8%-31.3%16.4%20.3%17.6%-6.5%17.6%19.8%15.6%
Net Margin17.7%-18.3%12.4%14.8%12.0%-4.7%11.1%13.7%11.0%
Material Cost %52.0%76.0%65.0%62.0%61.0%73.0%58.0%64.0%69.0%
Employee Cost %12.0%23.0%14.0%11.0%12.0%14.0%15.0%12.0%11.0%
P/S3.603.902.462.96----------
P/E38.0748.4227.4035.38----------
P/B2.702.942.082.33----------

Shareholding Pattern

Shareholders:32.1K (+121.6%)
Current MixJun 2026

Annual Reports

4

2025

2024

2023

2022

Credit Ratings

6
fitchRating update
10 Apr 2025Report
fitchRating update
15 May 2024Report
fitchRating update
18 Sept 2023Report
fitchRating update
28 May 2021Report
fitchRating update
08 Apr 2020Report
fitchRating update
28 Mar 2017Report