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Jocil Ltd

NSE: JOCILEnergy

Incorporated in 1981, Jocil Ltd manufactures Fatty Acids and Toilet Soap and generation of power from renewable sources – Biomass and Wind[1]

140
52W: ₹91.2 — ₹178
PE 20.3 · Book ₹236 · -41% vs book
Market Cap₹124 Cr
Stock P/E20.3Price to Earnings
ROCE0.71%Return on Capital
ROE0.48%Return on Equity
Div. Yield0.36%Face Value ₹10

Strengths

  • +Company is almost debt free.
  • +Stock is trading at 0.57 times its book value
  • +Company has been maintaining a healthy dividend payout of 47.6%
  • +Debtor days have improved from 27.3 to 20.7 days.

Weaknesses

  • Company has a low return on equity of 2.03% over last 3 years.

Shareholding Pattern

Promoters55.02%
FIIs0%
DIIs0%
Public44.98%
CategoryJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoters55.02%55.02%55.02%55.02%55.02%55.02%55.02%55.02%
FIIs0.02%0.15%0.10%0.10%0%0%0%0%
DIIs0%0%0%0%0%0%0%0%
Public44.96%44.83%0.144.98%0.144.98%44.98%44.98%44.98%44.98%

Financial Statements

MetricSep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales218.38172.37182.32237.7229.74219.95178.15269.94245.78262.72
Expenses215.83175.25179.15234.34227.08222.06176.76266.18242.15259.3
Operating Profit2.55-2.883.173.362.66-2.111.393.763.633.42
OPM %1.17%-1.67%1.74%1.41%1.16%-0.96%0.78%1.39%1.48%1.3%
Net Profit1.85-3.161.692.051.15-2.630.452.221.871.58
EPS ₹2.08-3.561.92.311.29-2.960.512.52.111.78

AI Insights

Revenue Trend

TTM revenue at ₹957Cr, up 10.5% YoY. OPM at 1%.

Debt Position

Borrowings at ₹5Cr. Debt-to-equity ratio: 0.02x. Healthy balance sheet.

Capex Cycle

CWIP at ₹9Cr (26% of fixed assets). Significant capex underway — growth runway building.

Institutional Flow

DIIs: 0% (+0.00pp change). FIIs: 0% (+0.00pp change). Promoters hold 55.02%.

Margin & Efficiency

ROCE declining from 11% (Mar 2014) to 1% (Mar 2025). Working capital days: 45.

Valuation

PE 20.3x with 0.71% ROCE. Price is -41% above book value of ₹236. Dividend yield: 0.36%.

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