Kokuyo Camlin Limited (KOKUYOCMLN) fundamentals
Kokuyo Camlin Limited is a listed company in Household Products, part of the Fast Moving Consumer Goods sector, listed on the NSE as KOKUYOCMLN (ISIN INE760A01029). This page carries its reported financials, balance sheet, cash flow, shareholding pattern and valuation ratios.
What Kokuyo Camlin Limited does
Kokuyo Camlin Limited is an India-based holding company, which is engaged in the business of manufacturing, trading, and selling of stationery. It manufactures art material, marker pens, inks, pencils, and others stationery products. The Company has diversified portfolio in office and school stationery segment comprising inks, colors, writing instruments, technical and drawing instruments, office stationery, markers, notebooks, scholasticism, and hobby art materials. Its paint supplies include artist acrylic colors, artist HD acrylics, artist watercolors, artist oil colors, student oil colors, premium poster colors, drawing inks, transparent photo colors, art powders, redi mix tempera colors, acrylic colors, and fluid acrylic colors. Its drawing materials include artist brush pens, art markers, artist soft pastels, artist oil pastels, drawing pencils, charcoals, drawing inks, and sketch books. The Company is the subsidiary of Kokuyo Co. Ltd.
Valuation and market data
| Last close | ₹77.53 |
|---|---|
| Market capitalisation | ₹778 crore |
| Enterprise value | ₹781 crore |
| P/E (TTM) | 31.39 |
| Price to book | 2.42 |
| Price to sales (TTM) | 0.56 |
| Book value per share | ₹32.08 |
| Dividend yield | 38.69% |
| Sector | Fast Moving Consumer Goods |
| Industry | Household Products |
| Listed since | Mon Jul 28 |
Annual results
| Period | Revenue | Profit before tax | Net profit | EPS |
|---|---|---|---|---|
| Mar 2026 | ₹806 crore | ₹34 crore | ₹25 crore | 2.47 |
| Mar 2025 | ₹763 crore | ₹9 crore | ₹6 crore | 0.58 |
| Mar 2024 | ₹822 crore | ₹59 crore | ₹44 crore | 4.37 |
| Mar 2023 | ₹777 crore | ₹35 crore | ₹24 crore | 2.44 |
Figures are as reported (standalone), in ₹ crore.
Shareholding pattern
As of Jun 2026:
| Promoters | 75.0% |
|---|---|
| Foreign institutions (FII) | 0.1% |
| Mutual funds | 0.0% |
| Other domestic institutions | 0.0% |
| Retail and others | 24.9% |
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Data is sourced from exchange filings and vendor feeds and is for research, not investment advice. Figures can be restated by the company after publication.