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Overview

Detailed Summary
  • Key insightKey insight

    Sambandam Spinning Mills Ltd (SSML) is engaged in the manufacture of yarn and fabric, operating four manufacturing locations across Tamil Nadu, India.

  • Key insightKey insight

    The company has strategically invested in renewable energy with 12.35 MW of wind energy and 9 MW of solar energy plants for its own operational use and external sale.

  • Key insightKey insight

    SSML has a total installed spinning capacity of 89,052 spindles, with Unit IV beginning operations in June 2021, enhancing its production capabilities.

  • Key insightKey insight

    Despite market fluctuations, SSML made strategic expansions by acquiring a spinning plant in 2020-21, reflecting its resilience and growth-focused approach.

Sector

Textiles & Apparels

Industry

Other Textile Products

Market Cap

48 Cr

Volatility

Low Risk

P/E Ratio

-8.4

Industry P/E

30.0

PEG Ratio

P/B Ratio

0.6

52W High

150.00

52W Low

87.00

Financial Ratios

Sales CAGR

1Y
23.11%
3Y
-8.89%
5Y
7.03%
10Y
3.02%

Profit CAGR

1Y
-6.37%
3Y
5Y
10Y

ROE

TTM
-7.05%
3Y
-9.79%
5Y
-0.92%
10Y
1.11%

ROCE

TTM
1.86%
3Y
0.02%
5Y
6.72%
10Y
8.61%

Forecasts

No ConstituentsNo Constituents

Peers

SymbolWatchlistPriceMarket CapP/EP/BDiv Yield (%)ROE (%)ROCE (%)ROA (%)

125.00

50 Cr

35.52

1.41

0.00

4.12

10.67

0.95

3.92

50 Cr

0.73

0.00

0.00

28.88

-17.17

1.62

14.75

49 Cr

5.58

2.23

0.00

40.05

38.10

27.59

112.00

48 Cr

-8.43

0.59

0.00

-7.05

1.86

-2.17

38.40

47 Cr

45.64

2.73

0.00

6.01

8.69

3.54

2.27

46 Cr

12.57

0.39

0.00

3.12

7.55

1.44

128.35

44 Cr

22.17

2.32

0.00

10.43

9.26

4.42

Median: 7 Co.

38.40

48 Cr

12.57

1.41

0.00

6.01

8.69

1.62

Price Chart Comparison

Financial Statements

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Consolidated Quarterly Results (in ₹ Crores)

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View Standalone

Total Figures
QoQ Changes
Total Figures
Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales53626974616564676568
Expenses54616572616159636367
Operating Profit-1.251.163.411.51-0.234.575.283.721.900.62
OPM %-2.361.874.962.05-0.386.998.265.592.910.91
Other Income1.294.520.630.280.200.430.150.180.200.90
Interest3.083.772.912.882.862.812.902.772.763.04
Depreciation2.553.332.512.502.501.932.212.232.232.20
Profit Before Tax-5.59-1.42-1.37-3.59-5.390.260.33-1.10-2.90-3.72
Tax %33.096.3419.7135.1023.7526.92-57.582.7325.5220.43
Net Profit-3.74-1.33-1.10-2.33-4.110.200.52-1.06-2.16-2.96
EPS in Rs-8.77-3.11-2.59-5.46-9.650.461.21-2.49-5.06-6.94

Consolidated Profit Loss (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales209193209191231355263218268264
Expenses175169187172198308255211259253
Operating Profit3424221933468.016.739.2711
OPM %16.2912.4010.7110.1514.2013.093.043.093.454.22
Other Income-2.77-1.071.571.080.371.064.256.331.551.06
Interest119.198.268.32101212131111
Depreciation1110109.38121315119.459.14
Profit Before Tax9.613.545.602.791022-15-11-10-8.39
Tax %49.22-0.2517.7617.2922.4031.5222.0529.6527.1431.82
Net Profit4.883.554.602.318.1215-12-7.85-7.35-5.72
EPS in Rs12.525.3819.0335.52-27.50-18.41-17.24-13.28
Dividend Payout %34.9724.0118.540.0021.0214.080.000.000.00

Consolidated Balance Sheet (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital4.284.284.284.284.284.284.284.284.284.28
Reserves728485888997111968782
Borrowings7869646682100134135117119
Other Liabilities77556449626972446048
Total Liabilities231212217208238270322279268253
Fixed Assets130120112104122111143145126120
CWIP0.000.000.000.100.030.291.061.841.991.61
Investments1.311.271.872.001.501.552.182.232.102.18
Other Assets10090104102114157176131138129
Total Assets231212217208238270322279268253

Consolidated Cash Flows (in ₹ Crores)

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View Standalone

Total Figures
YoY Changes
Total Figures
Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity1224-0.3528292617
Cash from Investing Activity-1.24-29-1.34-46-181.32-0.43
Cash from Financing Activity-124.661.6921-14-27-16
Net Cash Flow-1.120.030.013.34-3.31-0.04-0.04

Documents

Presentations
Concalls
Reports
Presentations

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