Overview (18 Sep 2026)
Kansai Nerolac Paints Ltd
KANSAINER
INE531A01024

Paints
Result was last declared on 06 May 2026
-0.24

Prev. Close
Previous Close
184.2
Current Close
183.96
Current High
185.1
Current Low
181.6
52 Week High
262
52 Week Low
158
Resistance 1
185.50
Resistance 2
187.05
Support 1
182.00
Support 2
178.50
Std Deviation
4.71%
DMA 200
207.79
DMA 50
199.13
DMA 20
193.38
Fundamentals and Ratios
Standalone
Trailing EPS
8.25
Forwad EPS
8.32
Trailing P/E
22.3
Forward P/E
22.11
PEG Ratio
12.89
Mkt. Cap (Cr)
Market Cap (Cr)
14877.11
Total Debt(Cr)
Tot. Debt(Cr)
82.68
Reserve (Cr)
6632.91
Book Value
83.11
P/BV Ratio
2.21
ROCE(%)
13.00
ROE
13.00
Consolidated
Trailing EPS
7.29
Forwad EPS
7.67
Trailing P/E
25.23
Forward P/E
23.99
PEG Ratio
13.93
Mkt. Cap (Cr)
Market Cap (Cr)
14877.11
Total Debt(Cr)
Tot. Debt(Cr)
302.73
Reserve (Cr)
6632.91
Book Value
83.02
P/BV Ratio
2.22
ROCE(%)
12.07
ROE
8.7700

 

Financial Result
Standalone
TypeJun-26Mar-26Dec-25Sep-25Jun-25FY25-26
Revenue2299.521873.441907.351871.022087.427739.23
Other Income56.1333.9736.7328.8452.92152.46
Total Income2355.651907.411944.081899.862140.347891.69
Interest4.965.295.773.763.5918.41
Expenditure-2029.90-1722.68-1724.37-1715.47-1830.26-6992.78
PBDT0.000.000.000.000.000.00
Depreciation-61.31-59.07-58.53-52.54-51.22-221.36
PBT325.75168.75174.99184.39310.08838.21
Tax-83.41-47.89-43.79-47.45-79.23-218.36
Equity80.8780.8780.850.0080.8580.87
OPM13.838.859.009.8614.4910.62
Net Profit242.34120.86131.2136.94230.85619.85
NPM10.296.346.757.3210.797.85
EPS31.621.621.692.868.25
Consolidated
TypeJun-26Mar-26Dec-25Sep-25Jun-25FY25-26
Revenue2373.591953.711981.991954.182162.038051.91
Other Income54.9429.6935.2128.4352.61145.94
Total Income2428.531983.402017.201982.612214.648197.85
Interest8.028.428.807.717.3632.29
Expenditure-2116.07-1806.53-1811.07-1800.94-1919.18-7337.72
PBDT0.000.000.000.000.000.00
Depreciation-62.83-60.90-59.97-54.31-52.94-228.12
PBT312.46158.44161.41181.67295.46796.98
Tax-84.05-48.55-44.36-48.36-79.87-221.14
Equity80.8780.8780.850.0080.8580.87
OPM12.877.998.009.1613.349.72
Net Profit228.41109.89117.05133.31215.59575.84
NPM9.415.545.86.729.737.02
EPS2.861.391.51.672.737.29
Annual Reports

Corporate Action
Quarterly Result
Dividend
YearDividend TypeAmountRemarkEx Date
2026Final Dividend2.50Final Dividend - Rs. - 2.500029 Jun 2026
2025Final Dividend2.50Final Dividend - Rs. - 2.500023 Jun 2025
2025Special Dividend1.25Special Dividend - Rs. - 1.250023 Jun 2025
2024Final Dividend2.50Final Dividend - Rs. - 2.500021 Jun 2024
2024Special Dividend1.25Special Dividend - Rs. - 1.250021 Jun 2024
2023Final Dividend2.70Final Dividend - Rs. - 2.700025 May 2023
2022Final Dividend1.00Final Dividend - Rs. - 1.000008 Jun 2022
2022Interim Divvidend1.25Interim Dividend - Rs. - 1.250008 Nov 2021
2021Final Dividend2.00Final Dividend - Rs. - 2.000017 Jun 2021
2021Special Dividend2.00Special Dividend - Rs. - 2.000017 Jun 2021
2021Interim Divvidend1.25Interim Dividend - Rs. - 1.250012 Nov 2020
2020Final Dividend3.15Dividend - Rs. - 3.150012 Jun 2020
2019Final Dividend2.60Final Dividend - Rs. - 2.600013 Jun 2019
2018Final Dividend2.60Dividend - Rs. - 2.600013 Jun 2018
2017Final Dividend2.50Dividend - Rs. - 2.500013 Jun 2017
2017Special Dividend0.50Special Dividend - Rs. - 0.500013 Jun 2017
2016Final Dividend1.80Dividend - Rs. - 1.800014 Jun 2016
2016Special Dividend1.25Special Dividend - Rs. - 1.250014 Jun 2016
2015Final Dividend1.40Dividend - Rs. - 1.400026 Jun 2015
2014Final Dividend11.00Dividend - Rs. - 11.000011 Jun 2014
2013Final Dividend11.00Dividend - Rs. - 11.000007 Jun 2013
2012Final Dividend11.00Dividend - Rs. - 11.000008 Jun 2012
2011Final Dividend10.00Final Dividend - Rs. - 10.000002 Jun 2011
2010Final Dividend15.00Dividend - Rs. - 15.000012 May 2010
2009Final Dividend12.00Dividend - Rs. - 12.000022 Jun 2009
2008Final Dividend12.00Dividend - Rs. - 12.000020 Jun 2008
Bonus
YearRatioRemarkEx Date
20231:2Bonus issue 1:204 Jul 2023
20101:1Bonus issue 1:123 Jun 2010
Split
YearRatioRemarkEx Date
2015Rs.10/- to Rs.1/-Stock Split From Rs.10/- to Rs.1/-26 Mar 2015

Mutual Fund Holddings