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CHENNPETRO

CHENNPETRO - Chennai Petroleum Corporation Ltd. Share Price

Petroleum Products

646.30-3.60(-0.55%)
Market Closed as of Aug 28, 2025, 14:57 IST

Valuation

Market Cap9.43 kCr
Price/Earnings (Trailing)-51.53
Price/Sales (Trailing)0.14
EV/EBITDA25.65
Price/Free Cashflow14.14
MarketCap/EBT-26.2
Enterprise Value12.35 kCr

Fundamentals

Revenue (TTM)69.4 kCr
Rev. Growth (Yr)-8.2%
Earnings (TTM)-183.08 Cr
Earnings Growth (Yr)-111.2%

Profitability

Operating Margin-1%
EBT Margin-1%
Return on Equity-2.23%
Return on Assets-1.07%
Free Cashflow Yield7.07%

Price to Sales Ratio

Latest reported:

Revenue (Last 12 mths)

Latest reported: 69 kCr

Net Income (Last 12 mths)

Latest reported: -183 Cr

Growth & Returns

Price Change 1W-1.2%
Price Change 1M-14.8%
Price Change 6M32.1%
Price Change 1Y-34.4%
3Y Cumulative Return33.5%
5Y Cumulative Return51.5%
7Y Cumulative Return11.2%
10Y Cumulative Return10.1%

Cash Flow & Liquidity

Cash Flow from Investing (TTM)-649.49 Cr
Cash Flow from Operations (TTM)1.35 kCr
Cash Flow from Financing (TTM)-519.08 Cr
Cash & Equivalents183.97 Cr
Free Cash Flow (TTM)666.88 Cr
Free Cash Flow/Share (TTM)44.78

Balance Sheet

Total Assets17.06 kCr
Total Liabilities8.86 kCr
Shareholder Equity8.21 kCr
Current Assets7.63 kCr
Current Liabilities7.57 kCr
Net PPE7.29 kCr
Inventory6.49 kCr
Goodwill0.00

Capital Structure & Leverage

Debt Ratio0.18
Debt/Equity0.38
Interest Coverage-2.54
Interest/Cashflow Ops6.78

Dividend & Shareholder Returns

Dividend/Share (TTM)5
Dividend Yield0.79%
Shares Dilution (1Y)0.00%
Shares Dilution (3Y)0.00%
Pros

Balance Sheet: Strong Balance Sheet.

Buy Backs: Company has bought back it's stock in the past which is a good thing.

Size: Market Cap wise it is among the top 20% companies of india.

Past Returns: Outperforming stock! In past three years, the stock has provided 33.5% return compared to 11.6% by NIFTY 50.

Cons

Growth: Declining Revenues! Trailing 12m revenue has fallen by -15% in past one year. In past three years, revenues have changed by -7.6%.

Momentum: Stock is suffering a negative price momentum. Stock is down -14.8% in last 30 days.

Smart Money: Smart money is losing interest in the stock.

Technicals: SharesGuru indicator is Bearish.

The Good, Bad and Ugly
Growth
Measures how quickly a company is expanding through metrics like revenue growth, earnings growth, and cash flow growth over time. Strong growth can indicate future potential.
Profitability
Shows how efficiently a company turns business activities into profit, using metrics like profit margins, return on equity (ROE), and return on assets (ROA).
Size
Indicates the company's market presence through metrics like market capitalization, total assets, and revenue. Size can influence stability and market influence.
Dilution Rank
Tracks how much the company's shares have increased or decreased over time. Lower dilution means existing shareholders maintain stronger ownership stakes.
Balance Sheet
Evaluates the company's financial health by analyzing assets, debts, and equity. A strong balance sheet indicates financial stability and flexibility.
Momentum
Measures the strength and speed of price movements, showing whether the stock is gaining or losing market favor over different time periods.
Technicals
Analyzes price patterns, trading volumes, and other market indicators to identify potential trading opportunities and market trends.
Smart Money
Tracks the investment activities of institutional investors, hedge funds, and other large financial players who often have deep research capabilities.
Insider Trading
Monitors buying and selling of company shares by executives, directors, and other insiders who may have unique insights into the company's prospects.

Investor Care

Dividend Yield0.79%
Dividend/Share (TTM)5
Shares Dilution (1Y)0.00%
Earnings/Share (TTM)-12.29

Financial Health

Current Ratio1.01
Debt/Equity0.38

Technical Indicators

RSI (14d)34.33
RSI (5d)41.72
RSI (21d)31.59
MACD SignalSell
Stochastic Oscillator SignalBuy
Grufity SignalSell
RSI SignalHold
RSI5 SignalHold
RSI21 SignalHold
SMA 5 SignalSell
SMA 10 SignalSell
SMA 20 SignalSell
SMA 50 SignalSell
SMA 100 SignalSell

Summary of Latest Earnings Report from Chennai Petroleum Corp

Summary of Chennai Petroleum Corp's latest earnings call, featuring management's outlook on business performance, financial results, and analyst Q&A sessions that highlight key strategic initiatives and market challenges.

Last updated:

Last updated:

Share Holdings

Understand Chennai Petroleum Corp ownership landscape with insights into key distribution patterns, offering investors a clear view of stakeholder dynamics.

Holding Pattern

Share Holding Details

Shareholder NameHolding %
INDIAN OIL CORPORATION LIMITED51.89%
NAFTIRAN INTER TRADE COMPANY LTD15.4%
ICICI PRUDENTIAL ENERGY OPPORTUNITIES FUND1.6%

Overall Distribution

Distribution across major stakeholders

Ownership Distribution

Distribution across major institutional holders

Is Chennai Petroleum Corp Better than it's peers?

Detailed comparison of Chennai Petroleum Corp against industry peers, highlighting key financial metrics, valuation ratios, and performance indicators to provide competitive context within the sector.

Ticker
Name
Mkt Cap
Revenue
Price %, 1M
Returns, 1Y
P/E
P/S
Rev 1-Yr
Inc 1-Yr
RELIANCEReliance Industries18.59 LCr10.22 LCr-7.50%-6.00%22.811.82--
IOCIndian Oil Corp1.98 LCr8.65 LCr-7.40%-14.40%11.420.23--
BPCLBharat Petroleum Corpn.1.38 LCr5.05 LCr-8.60%-2.20%7.840.27--
MRPLMangalore Refinery & Petrochemicals21.66 kCr1.03 LCr-15.20%-39.40%-74.910.21--

Sector Comparison: CHENNPETRO vs Petroleum Products

Comprehensive comparison against sector averages

Comparative Metrics

CHENNPETRO metrics compared to Petroleum

CategoryCHENNPETROPetroleum
PE-51.53 16.69
PS0.140.77
Growth-15 %1.1 %
0% metrics above sector average

Performance Comparison

CHENNPETRO vs Petroleum (2021 - 2025)

CHENNPETRO is underperforming relative to the broader Petroleum sector and has declined by 23.3% compared to the previous year.

Key Insights
  • 1. CHENNPETRO is among the Top 10 Petroleum Products companies but not in Top 5.
  • 2. The company holds a market share of 2.3% in Petroleum Products.
  • 3. In last one year, the company has had a below average growth that other Petroleum Products companies.

Income Statement for Chennai Petroleum Corp

Consolidated figures (in Rs. Crores) /
Standalone figures (in Rs. Crores) /

Balance Sheet for Chennai Petroleum Corp

Consolidated figures (in Rs. Crores) /
Standalone figures (in Rs. Crores) /

Cash Flow for Chennai Petroleum Corp

Consolidated figures (in Rs. Crores) /
Standalone figures (in Rs. Crores) /

What does Chennai Petroleum Corporation Ltd. do?

Chennai Petroleum Corporation Limited produces and supplies petroleum products in India. The company provides liquefied petroleum gas, motor spirit, superior kerosene oil, aviation turbine fuel, naphtha, bitumen, hexane, mineral turpentine oil, lube base stock, petrochemical feedstocks, paraffin wax, asphalt, JP 7 fuel equivalent, and pet-coke. It offers sulphur, isrosene, ISRO naphtha, light diesel oil, extracts, butene, micro crystalline wax, automotive high-speed and high flash diesel, bunker and non-bunker fuel oils, paving bitumen, and high viscosity index oils. In addition, the company offers linear alkyl benzene, methyl ethyl ketone, propylene glycol and polyols, poly iso-butylene, butene-2, and poly butene feed stocks. The company was formerly known as Madras Refineries Limited and changed its name to Chennai Petroleum Corporation Limited in June 2000. Chennai Petroleum Corporation Limited was incorporated in 1965 and is based in Chennai, India. Chennai Petroleum Corporation Limited operates as a subsidiary of Indian Oil Corporation Limited.

Industry Group:Petroleum Products
Employees:1,422
Website:www.cpcl.co.in