CCL Products (India)
BSE:519600
Rp 1.038,30
Rp-18,90 (-1,79%)
1.038,30 Rp
Rp-18,90 (-1,79%)
End-of-day quote: 03/31/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

Rp23,26
Earnings Per Share
Rp232,59
Revenue Per Share
38,85%
Gross Margin %
Rp138,64 B
Market Cap
Rp5,56 B
Long-Term Debt
Earnings Per Share
Rp23,26
Revenue Per Share
Rp232,59
Gross Margin %
38,85%
Market Cap
Rp138,64 B
Long-Term Debt
Rp5,56 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2007
EPS Earnings Per Share Rp23,26 Rp18,70 Rp20,21 Rp15,36 Rp13,70 Rp12,47 Rp11,64 Rp11,14 Rp10,10 Rp9,18 Rp7,06 Rp4,84 Rp3,21
Earnings Earnings Rp3,11B Rp2,50B Rp2,69B Rp2,04B Rp1,82B Rp1,66B Rp1,55B Rp1,48B Rp1,34B Rp1,22B Rp939,19M Rp643,87M Rp427,03M
RPS Revenue Per Share Rp232,59 Rp198,73 Rp155,70 Rp109,90 Rp93,40 Rp85,63 Rp81,29 Rp85,54 Rp73,40 Rp70,07 Rp66,19 Rp0,00 Rp16,36
Revenue Revenue Rp31,06B Rp26,54B Rp20,71B Rp14,62B Rp12,42B Rp11,39B Rp10,81B Rp11,38B Rp9,76B Rp9,32B Rp8,81B Rp0,00M Rp2,18B
OCF Operating Cash Flow Rp2,90B Rp553,78M Rp1,98B Rp1,01B Rp1,71B Rp906,56M Rp1,62B Rp1,45B Rp1,05B Rp1,61B Rp1,05B Rp0,00M Rp0,00M
FCF Free Cash Flow Rp-1,28B Rp-4,58B Rp-1,34B Rp-891,91M Rp162,19M Rp268,55M Rp-797,64M Rp-876,51M Rp867,74M Rp1,07B Rp840,08M Rp0,00M Rp0,00M
OM Operating Margin 14,23% 12,64% 15,71% 18,46% 19,78% 20,50% 20,14% 18,19% 20,58% 19,99% 17,33% 17,47% 12,15%
GM % Gross Margin % 38,85% 39,59% 43,62% 49,35% 50,81% 49,90% 44,07% 38,45% 41,91% 39,86% 37,00% 28,30% 21,79%
FCFS Free Cash Flow Per Share Rp-9,63 Rp-34,42 Rp-11,95 Rp-5,54 Rp1,22 Rp0,15 Rp-6,00 Rp-8,40 Rp6,19 Rp5,55 Rp6,32 Rp4,90 Rp-7,73
LT Debt Long-Term Debt Rp5,56B Rp5,19B Rp2,01B Rp1,12B Rp1,77B Rp2,49B Rp1,93B Rp1,82B Rp25,62M Rp443,22M Rp903,74M Rp1,35B Rp2,27B
Sha. Stocks 133,53M 133,53M 133,03M 133,03M 133,03M 133,03M 133,03M 133,03M 133,03M 133,03M 133,03M 133,03M 133,03M
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