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526586

WIMPLAST

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WIM PLAST LTD. Share Price Update

As of the latest trading session, WIM PLAST LTD. share price is currently at ₹ 478.25, which is down by ₹ -6.75 from its previous closing. Today, the stock has fluctuated between ₹ 477.40 and ₹ 490.00. Over the past year, WIM PLAST LTD. has achieved a return of -25.16 %. In the last month alone, the return has been -7.07 %. Read More...

Investment Returns

Over 1 Month -7.07% Over 3 Months -10.78% Over 6 Months -1.60% Over 1 Year -25.16%
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WIM PLAST LTD. fundamentals


  • Market cap (Cr)

  • P/E Ratio (TTM)

  • Beta

  • Book Value / share

  • Return on equity

    %

  • EPS (TTM)

  • Dividend yield

    %

  • Net profit/quarter (Cr)

info icon alternate text
  • Market cap (Cr)

    575.00

  • P/E Ratio (TTM)

    8.70

  • Beta

    0.75

  • Book Value / share

    451.75

  • Return on equity

    12.51%

  • EPS (TTM)

    55.74

  • Dividend yield

    %

  • Net profit/quarter (Cr)

    16.89

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WIM PLAST LTD. Financials

  • Key Results

  • Key Ratios

  • Balance sheet

  • Cash Flow

  • Competition

info-icon

Revenue

Net income

Particulars JUN 2025 (Values in Cr)
Revenue 89.88
Operating Expense 79.11
Net Profit 16.89
Net Profit Margin (%) 18.79
Earnings Per Share (EPS) 14.07
EBITDA 24.58
Effective Tax Rate (%) 23.09
Particulars MAR 2025 (Values in Cr)
Revenue 105.76
Operating Expense 89.44
Net Profit 17.62
Net Profit Margin (%) 16.66
Earnings Per Share (EPS) 14.68
EBITDA 26.64
Effective Tax Rate (%) 26.27
Particulars DEC 2024 (Values in Cr)
Revenue 93.08
Operating Expense 80.99
Net Profit 13.49
Net Profit Margin (%) 14.49
Earnings Per Share (EPS) 11.23
EBITDA 20.95
Effective Tax Rate (%) 25.31
Particulars SEP 2024 (Values in Cr)
Revenue 78.20
Operating Expense 69.28
Net Profit 18.91
Net Profit Margin (%) 24.18
Earnings Per Share (EPS) 15.75
EBITDA 26.42
Effective Tax Rate (%) 18.80
Particulars JUN 2024 (Values in Cr)
Revenue 90.34
Operating Expense 76.82
Net Profit 14.51
Net Profit Margin (%) 16.06
Earnings Per Share (EPS) 12.09
EBITDA 22.23
Effective Tax Rate (%) 24.22
Particulars MAR 2025 (Values in Cr)
Revenue 367.38
Operating Expense 316.53
Net Profit 64.53
Net Profit Margin (%) 17.56
Earnings Per Share (EPS) 53.76
EBITDA 96.24
Effective Tax Rate (%) 23.54
Particulars MAR 2024 (Values in Cr)
Revenue 342.84
Operating Expense 293.98
Net Profit 55.73
Net Profit Margin (%) 16.25
Earnings Per Share (EPS) 46.43
EBITDA 85.57
Effective Tax Rate (%) 24.22
Particulars MAR 2023 (Values in Cr)
Revenue 329.43
Operating Expense 285.28
Net Profit 40.78
Net Profit Margin (%) 12.37
Earnings Per Share (EPS) 33.98
EBITDA 68.82
Effective Tax Rate (%) 25.07
Particulars MAR 2022 (Values in Cr)
Revenue 316.75
Operating Expense 280.14
Net Profit 35.34
Net Profit Margin (%) 11.15
Earnings Per Share (EPS) 29.44
EBITDA 64.00
Effective Tax Rate (%) 25.74
Particulars MAR 2021 (Values in Cr)
Revenue 261.54
Operating Expense 225.94
Net Profit 32.30
Net Profit Margin (%) 12.34
Earnings Per Share (EPS) 26.91
EBITDA 60.99
Effective Tax Rate (%) 24.64
Particulars MAR 2025 (Values in Cr)
Book Value / Share 445.57
ROE % 11.15
ROCE % 15.04
Total Debt to Total Equity 0.00
EBITDA Margin 24.25
Particulars MAR 2024 (Values in Cr)
Book Value / Share 407.79
ROE % 11.94
ROCE % 15.76
Total Debt to Total Equity 0.00
EBITDA Margin 24.96
Particulars MAR 2023 (Values in Cr)
Book Value / Share 370.04
ROE % 9.77
ROCE % 12.97
Total Debt to Total Equity 0.00
EBITDA Margin 20.72
Particulars MAR 2022 (Values in Cr)
Book Value / Share 343.35
ROE % 8.74
ROCE % 11.75
Total Debt to Total Equity 0.00
EBITDA Margin 19.82
Particulars MAR 2021 (Values in Cr)
Book Value / Share 318.73
ROE % 8.72
ROCE % 11.58
Total Debt to Total Equity 0.00
EBITDA Margin 22.59
Particulars MAR 2025 (Values in Cr)
Book Value / Share 451.75
ROE % 12.51
ROCE % 16.37
Total Debt to Total Equity 0.00
EBITDA Margin 26.20
Particulars MAR 2024 (Values in Cr)
Book Value / Share 407.80
ROE % 11.94
ROCE % 15.76
Total Debt to Total Equity 0.00
EBITDA Margin 24.96
Particulars MAR 2023 (Values in Cr)
Book Value / Share 370.06
ROE % 9.51
ROCE % 12.68
Total Debt to Total Equity 0.00
EBITDA Margin 20.89
Particulars MAR 2022 (Values in Cr)
Book Value / Share 344.12
ROE % 8.88
ROCE % 11.93
Total Debt to Total Equity 0.00
EBITDA Margin 20.21
Particulars MAR 2021 (Values in Cr)
Book Value / Share 319.18
ROE % 8.80
ROCE % 11.68
Total Debt to Total Equity 0.00
EBITDA Margin 23.32
Particulars MAR 2025 (Values in Cr)
Cash & Short Term Investments 28.77
Total Assets 572.15
Total Liabilities 572.15
Total Equity 534.83
Share Outstanding 12003360
Price to Book Ratio 1.02
Return on Assets (%) 9.98
Return on Capital (%) 10.68
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 9.00
Total Assets 529.74
Total Liabilities 529.74
Total Equity 489.48
Share Outstanding 12003360
Price to Book Ratio 1.22
Return on Assets (%) 10.51
Return on Capital (%) 11.39
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 6.61
Total Assets 486.39
Total Liabilities 486.39
Total Equity 443.55
Share Outstanding 12003360
Price to Book Ratio 1.05
Return on Assets (%) 8.57
Return on Capital (%) 9.4
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 5.96
Total Assets 446.06
Total Liabilities 446.06
Total Equity 411.32
Share Outstanding 12003360
Price to Book Ratio 1.15
Return on Assets (%) 7.83
Return on Capital (%) 8.5
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 5.31
Total Assets 425.48
Total Liabilities 425.48
Total Equity 382.31
Share Outstanding 12003360
Price to Book Ratio 1.36
Return on Assets (%) 7.54
Return on Capital (%) 8.4
Particulars MAR 2025 (Values in Cr)
Cash & Short Term Investments 28.69
Total Assets 579.34
Total Liabilities 579.34
Total Equity 542.25
Share Outstanding 12003360
Price to Book Ratio 1.02
Return on Assets (%) 11.13
Return on Capital (%) 11.9
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 8.92
Total Assets 529.76
Total Liabilities 529.76
Total Equity 489.50
Share Outstanding 12003360
Price to Book Ratio 1.22
Return on Assets (%) 10.51
Return on Capital (%) 11.39
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 6.53
Total Assets 486.41
Total Liabilities 486.41
Total Equity 443.57
Share Outstanding 12003360
Price to Book Ratio 1.05
Return on Assets (%) 8.38
Return on Capital (%) 9.19
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 5.72
Total Assets 442.00
Total Liabilities 442.00
Total Equity 412.75
Share Outstanding 12003360
Price to Book Ratio 1.15
Return on Assets (%) 7.99
Return on Capital (%) 8.56
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 4.91
Total Assets 422.49
Total Liabilities 422.49
Total Equity 383.12
Share Outstanding 12003360
Price to Book Ratio 1.36
Return on Assets (%) 7.64
Return on Capital (%) 8.43
Particulars MAR 2025 (Values in Cr)
Net Income 77.00
Cash from Operations 79.48
Cash from Investing -41.91
Cash from Financing -12.00
Net change in Cash 3.53
Free Cash Flow 88.95
Particulars MAR 2024 (Values in Cr)
Net Income 73.55
Cash from Operations 63.94
Cash from Investing -32.24
Cash from Financing -10.20
Net change in Cash 5.85
Free Cash Flow 74.88
Particulars MAR 2023 (Values in Cr)
Net Income 55.57
Cash from Operations 78.34
Cash from Investing -55.33
Cash from Financing -9.80
Net change in Cash -1.65
Free Cash Flow 84.47
Particulars MAR 2022 (Values in Cr)
Net Income 46.76
Cash from Operations 38.09
Cash from Investing -21.32
Cash from Financing -6.30
Net change in Cash -1.46
Free Cash Flow 39.73
Particulars MAR 2021 (Values in Cr)
Net Income 42.43
Cash from Operations 51.00
Cash from Investing -37.92
Cash from Financing -0.30
Net change in Cash 1.78
Free Cash Flow 56.60
Particulars MAR 2025 (Values in Cr)
Net Income 84.40
Cash from Operations 77.95
Cash from Investing -40.51
Cash from Financing -12.00
Net change in Cash 3.53
Free Cash Flow 86.55
Particulars MAR 2024 (Values in Cr)
Net Income 73.55
Cash from Operations 63.94
Cash from Investing -32.23
Cash from Financing -10.20
Net change in Cash 5.86
Free Cash Flow 74.88
Particulars MAR 2023 (Values in Cr)
Net Income 54.42
Cash from Operations 79.96
Cash from Investing -56.73
Cash from Financing -9.80
Net change in Cash -1.51
Free Cash Flow 86.08
Particulars MAR 2022 (Values in Cr)
Net Income 47.59
Cash from Operations 38.54
Cash from Investing -21.35
Cash from Financing -6.30
Net change in Cash -1.28
Free Cash Flow 40.18
Particulars MAR 2021 (Values in Cr)
Net Income 42.85
Cash from Operations 52.08
Cash from Investing -38.01
Cash from Financing -0.30
Net change in Cash 2.82
Free Cash Flow 57.66
Company Name Price P/E P/B Market Cap 52 Week Low/High
CAPRIHANS INDIA LTD. 128.05 0.00 0.43 187.26 114.00 / 194.75
SUPREME INDUSTRIES LTD 4630.05 66.10 10.39 58814.08 3020.00 / 5611.00
SAFARI IND (INDIA) LTD 2161.75 71.11 11.10 10587.80 1781.00 / 2837.20
VIP INDUSTRIES LTD 420.45 0.00 9.69 5971.22 248.55 / 589.95
Company Name Price P/E P/B Market Cap 52 Week Low/High
CAPRIHANS INDIA LTD. 128.05 0.00 -0.99 187.26 114.00 / 194.75
GUJARAT PETROSYNTHESE LTD. 63.00 17.40 0.75 37.61 52.06 / 86.70
SUPREME INDUSTRIES LTD 4630.05 70.18 11.79 58814.08 3020.00 / 5611.00
SAFARI IND (INDIA) LTD 2161.75 87.88 11.75 10587.80 1781.00 / 2837.20

WIM PLAST LTD. Technicals Summary

  • EMA & SMA
  • Resistance and Support
  • Delivery and Volume
  • Beta
  • Price Change Analysis
479.00 -1.23 redarrow
red-green-graph indicator
0 Bearish
16 Bullish
  • 5 Days 485.30
  • 26 Days 498.70
  • 10 Days 488.10
  • 50 Days 504.60
  • 12 Days 489.70
  • 100 Days 510.70
  • 20 Days 495.50
  • 200 Days 531.00
486.65 PIVOT

First Support

481.35

First Resistance

490.30

Second Support

477.70

Second Resistance

495.60

Third Support

472.40

Third Resistance

499.25

RSI

37.79

ADX

53.44

MACD

-9.02

Williams % R

-80.00

Commodity Channel Index (CCI)

-74.06

Date

2025-08-25

Week

3525.00

Same Day

1670.00

Month

3387.00

1 Year

0.75

3 Year

0.72

Over 1 Month

-7.07%

down

Over 1 Year

-25.16%

down

Over 3 Months

-10.78%

down

Over 3 Years

7.47%

down

Over 6 Months

-1.60%

down

Over 5 Years

3.60%

down

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WIM PLAST LTD. shareholding pattern

  • Shareholding Summary

  • Historical Promotor Holding

  • Historical MF Holding

  • Historical FII Holding

Holding

Name Shares Category

News

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WIM PLAST LTD. corporate actions

  • Dividend

  • Bonus

  • Split

Dividend date Dividend amount Dividend type Record date Instrument type
[-] [-] [-] [-] [-]
Ex-Date Ex-Bonus Ratio
[-] [-] [-]
Ex-Date Old FV NEW FV Record Date
[-] [-] [-] [-]
  • Dividend

  • Bonus

  • Split

Dividend date Dividend amount Dividend type Record date Instrument type
01 Aug 2025 10.0 Final 01 Aug 2025 Equity shares
02 Aug 2024 10.0 Final 03 Aug 2024 Equity shares
04 Aug 2023 8.5 Final 05 Aug 2023 Equity shares
28 Jul 2022 8.0 Final 29 Jul 2022 Equity shares
29 Jul 2021 5.0 Final 31 Jul 2021 Equity shares
19 Mar 2020 7.0 Interim 21 Mar 2020 Equity shares
01 Aug 2019 7.0 Final 03 Aug 2019 Equity shares
26 Jul 2018 7.0 Final 30 Jul 2018 Equity shares
03 Aug 2017 7.0 Final 07 Aug 2017 Equity shares
17 Mar 2016 12.0 Interim 18 Mar 2016 Equity shares
13 Aug 2015 10.0 Final 17 Aug 2015 Equity shares
24 Jul 2014 9.0 Final 28 Jul 2014 Equity shares
18 Jul 2013 8.0 Final 22 Jul 2013 Equity shares
23 Aug 2012 6.0 Final 27 Aug 2012 Equity shares
04 Aug 2011 4.5 Final 08 Aug 2011 Equity shares
08 Sep 2010 4.0 Final 13 Sep 2010 Equity shares
03 Sep 2009 3.5 Final 07 Sep 2009 Equity shares
11 Sep 2008 3.0 Final 13 Sep 2008 Equity shares
23 Aug 2007 3.0 Final 26 Aug 2007 Equity shares
10 Aug 2005 0.0 Final 12 Aug 2005 Equity shares
Ex-Date Ex-Bonus Ratio
09 Sep 2016 08 Sep 2016 1:1
Ex-Date Old FV NEW FV Record Date
[-] [-] [-] [-]

WIM PLAST LTD. Share Price

Wim Plast Limited was incorporated in October, 1988. Jointly promoted by the Cello and M G Shah Groups as a Private Limited Company, Wim Plast (WPL) was converted into a Public Limited Company in Jul.'93. The Company presently has 9 manufacturing units and 10 trading depots spread across PAN India. The Company is engaged in manufacturing of various plastic products such as Plastic Moulded Furniture, Extrusion Sheets, Air Coolers, Dustbin Industrial Pallets and Industrial and Engineering Moulds.

WPL came out with its initial public offering in Aug.'94, to part-finance the project at Daman to manufacture 2020 tpa of injection-moulded plastic furniture like chairs and tables. The cost of the project, as appraised by IDBI, was estimated at Rs 10.85 cr. The company went into commercial production from 1 Dec.'94.

The main products of the company are injection-moulded plastic furniture like chairs, tables, etc. The range selected by the company are the latest and contemporary European designs having distinct features like vivid colour combinations, ergonomically designed for maximum physical comfort, light-weight, 100% termite resistant, low maintenance cost, easy stackability and low cost. The product is marketed to households and institutional users. It will be marketing its products under the popular and well-established Cello brand name.

The company has imported moulds from Italy at concessional customs duty under the EPCG scheme, wherein it has an export obligation. The company's products, from the initial response received from the market, are gaining increased acceptance from customers.

During 1998-99, it has increased its Plastic Moulded Articles installed capacity from 7810 MT to 11489 MT. It has also acquired four additional injection moulding machines from local & seven additional moulds for chair & teapoys from international market.

The Company's new unit-3 at Daman was successfully commenced in December, 1999. The Company has tied up with M/s National Plasto Products Pvt Ltd., Calcutta to manufacture 'Cello' brand moulded furniture. The company decided to float JV Company named Cello-GQ Industries Ltd in Bangladesh and the new company will be for manufacturing and marketing the Company's plastic moulded furniture.

During the year 2002-03, new depots at Pune, Balasore, Hyderabad, Gurgoan, Cochin, Chennai, Lucknow, Indore, Amritsar &. Guwhati were opened. The Company had made strategic investment Rs. 64.23 lacs in the equity shares, by incorporating a new company, Cello-GQ Industries Ltd. in Bangladesh, which commenced operations in the year, 2005.

During the year 2006, Company invested approx. Rs. 30 Crore for New project at Baddi in District Solan , Himachal Pradesh.

During the year 2010, there was replacement of old machines and also sizeable addition in the existing production capacities, resulting in much better input / output ratios and betterment in product quality. Capital Assets of worth Rs. 815.02 lacs were purchased during the year and the assets of Rs. 151.82 lacs were sold during the year. The Company acquired manufacturing unit of Plastic Moulded Furniture at Gummidipoondi, Tamilnadu resulting the unit to start commercial production from April, 2011. It launched number of series of premium range of products of Plastic Moulded Furniture and varieties of applications for Cello Bubbleguard Sheets in 2011. The Company established 3 new manufacturing units at Chennai, Haridwar and Daman with added capacities and range of products in 2011.

During the year 2012-13 new manufacturing unit of plastic moulded furniture was set-up at Kolkata with the total Investment in Capital Assets for Rs 1120 lakhs. The Company acquired one acre Lesehold Land of at SIPCOT ,Chennai for additional manufacturing unit in 2013.

In year 2014-15 the Company invested Rs 3000/- lakhs in the Fixed Assets for the business towards the expansions in Plastic Furniture, for manufacturing Moulds and the Company started manufacturing of the AIR Coolers.

Parent organization Indian Private
NSE symbol WIMPLAST
Founded 1988
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Frequently Asked Questions

What is the Current Share Price of Wim Plast Ltd?

Answer Field

Wim Plast Ltd share price is for NSE ₹ 30.75 & for BSE ₹ 484.00 as on Aug 26 2025 03:30 PM.

What is the Market Cap of Wim Plast Ltd Share?

Answer Field

The market cap of Wim Plast Ltd for NSE ₹ 0.00 & for BSE ₹ 581.00 as on Aug 26 2025 03:30 PM.

What is the 52 Week High and Low of Wim Plast Ltd?

Answer Field

The 52 Week High and Low of Wim Plast Ltd for NSE is ₹ 30.75 and ₹ 0.00 and for BSE is ₹ 727.00 and ₹ 445.00.

What is 1 year return for Wim Plast Ltd?

Answer Field

The 1 year returns on the stock has been -25.16%.

What is the P/E Ratio of Wim Plast Ltd Share?

Answer Field

As on Aug 26 2025 03:30 PM the price-to-earnings (PE) ratio for Wim Plast Ltd share is 8.70.

What is the PB ratio of Wim Plast Ltd Share?

Answer Field

As on Aug 26 2025 03:30 PM, the price-to-book (PB) ratio for Wim Plast Ltd share is 451.75.

How to Buy Wim Plast Ltd Share?

Answer Field

You can trade in Wim Plast Ltd shares with Bajaj Broking by opening a demat account.

How to Buy Wim Plast Ltd Share on Bajaj Broking App?

Answer Field

To buy Wim Plast Ltd shares on the Bajaj Broking app, follow these steps:

• Login to the Bajaj Broking App

• Click on the Search Icon

• Search “Wim Plast Ltd”

• Click on the BUY icon

• Place a buy order specifying the desired quantity of shares.

• Click BUY again to complete the purchase

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