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TOKYOPLASTTokyo Plast International Limited

NSE
Full chart
71.10INR+0.04 (+0.06%)Close · 6 Oct 2026
27 Jul 2026Last results
Consumer DurablesSector
Consumer DurablesIndustry
₹68 CrMarket cap
196.5P/E (TTM)
55.6%Delivery

Filings & corporate actions

80 results filed
CSV
Next results · Q2 FY27
Expected 15 Oct 2026 – 13 Nov 2026
Estimate: filed 15–44 days after quarter end, last 5 times
Dividend
₹0.50 per share · last 19 Sept 2017
2026
  • 27 JulresultsResults · Q1 FY27 · consolidated and standalone-4.9%NSE
  • 18 JulshareholdingShareholding · 30 Jun 2026+1.4%NSE
  • 1 MayresultsResults · Q4 FY26 · consolidated-0.5%NSE
  • 30 AprresultsResults · Q4 FY26 · standalone-0.2%NSE
  • 14 AprshareholdingShareholding · 31 Mar 2026+2.1%NSE
  • 19 JanshareholdingShareholding · 31 Dec 2025-0.6%NSE
  • 14 JanresultsResults · Q3 FY26 · consolidated and standalone-1.5%NSE

Reaction to results · all yearsrose on day 0 in 34 of 77 CSV

QuarterFiledDay 0+5D+20DRel vol
Q1 FY2727 Jul 2026-4.9%-1.8%-5.9%2.0×
Q4 FY2630 Apr 2026-0.2%-6.0%-6.7%0.0×
Q3 FY2614 Jan 2026-1.5%-5.1%-4.3%1.0×
Q2 FY2615 Oct 2025+2.9%+2.1%-0.3%1.3×
Q1 FY2622 Jul 2025+0.6%-5.9%+4.2%1.2×
Q4 FY2517 May 2025-0.4%+2.6%+5.9%0.7×
Q3 FY2528 Jan 2025-1.4%+2.4%+1.8%0.4×
Q2 FY2523 Oct 20240.0%+8.4%+8.4%0.2×
Q1 FY259 Aug 2024-3.9%+0.3%+8.7%1.0×
Q4 FY2429 May 2024-1.3%-1.3%+10.8%0.2×
Q3 FY2430 Jan 2024-1.0%+1.3%-4.1%0.5×
Q2 FY248 Nov 2023+1.6%+4.9%+19.1%0.3×
Q1 FY2421 Jul 2023-8.7%-12.2%-14.1%2.8×
Q4 FY2313 May 2023+1.8%-0.1%+8.6%1.1×
Q3 FY2318 Jan 2023-2.8%-4.4%-9.1%1.7×
Q2 FY2311 Nov 2022-1.5%-4.6%-2.9%2.0×
Q1 FY2322 Jul 2022-1.6%-1.6%+21.9%1.0×
Q4 FY2214 May 2022-7.2%+2.0%+0.3%2.2×
Q3 FY2225 Jan 2022-1.6%-5.0%-28.3%0.0×
Q2 FY2213 Nov 2021-1.8%-5.7%-8.6%0.5×
Q1 FY2231 Jul 2021+8.0%+2.3%-3.0%3.8×
Q3 FY216 Feb 2021-1.5%-3.8%-6.8%0.2×
Q2 FY2131 Oct 2020-0.1%+1.6%+14.2%1.8×
Q1 FY2111 Sept 2020-1.4%+7.2%+0.8%0.6×
Q4 FY2019 Aug 2020-2.3%-0.3%-2.8%1.8×
Q3 FY2011 Feb 2020-1.4%-11.0%-12.6%0.7×
Q2 FY2025 Oct 2019+31.9%+22.8%+14.5%43.0×
Q1 FY2020 Jul 2019+1.3%+2.2%+5.2%0.6×
Q4 FY1914 May 20190.0%+1.4%+2.6%0.8×
Q3 FY196 Feb 2019+1.0%+1.2%+3.6%1.1×
Q2 FY1922 Nov 20180.0%-1.8%+13.1%1.8×
Q1 FY1928 Aug 2018+0.9%-6.7%-28.9%0.9×
Q4 FY181 Aug 2018+0.3%+12.5%-6.0%0.5×
Q3 FY189 Feb 2018-3.9%-10.6%-12.3%1.1×
Q2 FY1821 Nov 2017-0.5%+14.5%+5.2%0.6×
Q1 FY181 Sept 2017+4.2%+12.4%+0.7%0.4×
Q4 FY1714 Jun 2017+4.6%+16.7%+29.7%3.9×
Q3 FY179 Feb 2017+4.6%+3.4%+0.4%1.2×
Q2 FY1718 Nov 2016+12.7%+29.7%+26.6%7.9×
Q1 FY1712 Aug 2016-2.5%+2.8%+3.4%0.5×
Q4 FY1631 May 2016+9.9%+35.5%+67.4%4.5×
Q3 FY1610 Feb 2016-4.9%-15.1%-17.1%0.4×
Q2 FY166 Nov 2015+19.9%+46.8%+61.9%10.4×
Q1 FY1614 Aug 2015+3.1%-13.4%-11.2%1.4×
Q4 FY153 Jun 2015-8.5%-3.8%-2.6%4.9×
Q3 FY1519 Feb 2015-1.0%-0.8%-15.0%1.1×
Q2 FY1522 Nov 2014+0.6%-0.5%-15.4%0.5×
Q1 FY1514 Aug 2014+12.5%+23.0%+38.2%15.6×
Q4 FY147 Jun 2014+3.3%+11.5%+11.2%1.4×
Q3 FY1424 Feb 2014-2.7%+6.2%+0.8%3.9×
Q2 FY1421 Nov 2013+4.7%+12.8%+28.9%0.0×
Q1 FY1416 Aug 2013+4.9%0.0%+44.1%1.1×
Q4 FY1320 Jun 2013-4.7%-2.1%+26.8%1.4×
Q3 FY1319 Feb 2013+4.0%+2.0%-2.4%0.5×
Q2 FY1312 Nov 2012+6.7%+6.7%+2.5%1.5×
Q1 FY1321 Aug 2012-5.6%-11.1%-13.0%2.0×
Q4 FY1211 Jun 2012+5.4%+7.5%+8.4%0.0×
Q3 FY1216 Feb 2012+4.9%-0.3%+27.8%7.3×
Q2 FY1217 Nov 2011+4.4%-5.0%-8.3%6.4×
Q1 FY1220 Aug 2011+1.3%-1.6%-12.7%0.3×
Q4 FY114 Jun 2011+10.2%+8.0%+11.4%4.7×
Q3 FY119 Feb 2011+2.8%+8.8%+2.3%0.1×
Q2 FY1115 Nov 2010-1.4%-12.5%-29.6%0.1×
Q1 FY1114 Aug 2010-2.0%-6.0%-8.6%0.1×
Q4 FY101 Jun 20100.0%+20.8%+6.3%0.9×
Q3 FY101 Feb 2010+0.9%-9.5%-10.3%0.2×
Q2 FY103 Nov 20090.0%-2.4%+19.5%0.0×
Q1 FY101 Aug 2009-1.1%+4.0%+3.4%0.2×
Q4 FY091 Jul 2009+1.1%0.0%-5.6%1.3×
Q3 FY0931 Jan 2009-6.0%-7.6%-10.3%0.7×
Q2 FY0925 Oct 2008-9.4%0.0%+4.2%0.2×
Q1 FY0931 Jul 2008-0.9%-6.7%-2.2%3.4×
Q4 FY081 Jul 20080.0%+6.8%+19.5%0.8×
Q3 FY0831 Jan 2008+1.8%-5.0%-1.4%0.1×
Q2 FY0831 Oct 20070.0%-3.8%+29.1%0.9×
Q1 FY0831 Jul 2007+7.8%-2.8%+38.3%1.5×
Q4 FY071 Jul 20070.0%-5.3%+5.9%0.4×
Average+1.1%+2.0%+4.5%

Close-to-close from the session before the filing could trade. Day 0 is the first session after it.

Growth · Q1 FY27

CSV
Revenue YoY+8.9%
Profit YoY-345.3%
Interest cost YoY—
Revenue QoQ-13.3%
Profit QoQ-563.8%
CAGR2Y3Y4Y5Y6Y7Y
Revenue——-0.7%———
Profit——————

Key data

CSV
Open71.11
Day range71.10 – 73.20
52-week range53.86 – 135.00
From 52w high-47.3%
RSI (14)36.9
ATR (14)3.39
Volume833
Avg volume (20D)1.4K
Rel volume0.59×
Volatility (1Y)45.6%
Turnover₹59,226
SMA 50 / 20077.10 / 86.47

Delivery percentage

Latest · 6 Oct 202655.6%
20-day avg79.7%
1-year avg80.9%
Percentile (own history)29th
Range1.8–100.0%
Sessions1,731

Over the last 20 sessions TOKYOPLAST settled 79.7% of its traded quantity, which is unusually high for an NSE equity. That is in line with its own one-year average of 80.9%. The latest session ranks higher than 29% of the 1,731 sessions on record for it.

What delivery percentage measuresScan the whole market on delivery

IndustryPlastic Products - Consumer

Performance returns

CSV
1D1W1M3M6M1Y
Price+0.06%-2.09%-8.60%-15.71%+6.92%-42.42%

Valuation

CSV
Market cap₹68 Cr
P/E (TTM)196.5
EPS (TTM)0.36
Shares outstanding95.01L
Listed11 Oct 1995

Ownership

CSV
Promoter68.89%
Promoter Δ QoQ+0.07 pp
Public31.11%
FII0.00%
DII0.00%
Pledged0.00%

Quarterly results · consolidated

CSV
Q2 FY26Q3 FY26Q4 FY26Q1 FY27
Revenue (₹ Cr)21.117.122.919.8
YoY chg—-10.0%+33.3%+8.9%
Net profit (₹ Cr)0.6(0.1)0.0(0.2)
YoY chg—-263.9%-90.6%-345.3%
Net margin3.0%-0.8%0.2%-1.0%
EPS0.00-0.140.05-0.21

Shareholding over time

CSV

By quarter

30 Jun 2026 · promoter 68.89% · public 31.11%
30 Sept 2021: promoter 64.97%31 Dec 2021: promoter 64.97%31 Mar 2022: promoter 64.97%30 Jun 2022: promoter 59.68%30 Sept 2022: promoter 63.11%31 Dec 2022: promoter 63.96%31 Mar 2023: promoter 64.50%30 Jun 2023: promoter 64.50%30 Sept 2023: promoter 64.50%31 Dec 2023: promoter 63.65%31 Mar 2024: promoter 63.65%30 Jun 2024: promoter 63.84%30 Sept 2024: promoter 64.29%31 Dec 2024: promoter 65.37%31 Mar 2025: promoter 66.87%30 Jun 2025: promoter 66.98%30 Sept 2025: promoter 68.18%31 Dec 2025: promoter 68.80%31 Mar 2026: promoter 68.82%30 Jun 2026: promoter 68.89%
2021-092026-06
  • Promoter
  • Public and others
Promoter
68.89%
Public
31.11%
Promoter change
+0.07 pp
Filed
18 Jul 2026
FII
0.00%
DII
0.00%
Promoter pledged
0.00%

Promoter and public shares of total equity, from the pattern filed each quarter. Institutional and pledge figures come from a separate filing stage whose backfill is still running, so they are absent for almost every instrument rather than zero.

Financials · quarterly statement

CSV
₹ crore, as filed
 Q3 FY22Q4 FY22AQ1 FY23Q2 FY23Q3 FY23Q3 FY25AQ4 FY25AQ1 FY26Q2 FY26Q3 FY26Q4 FY26AQ1 FY27
Revenue from operations25.120.816.223.216.519.117.218.221.117.122.919.8
Other income0.0(0.0)0.00.0(0.0)0.00.20.00.00.00.00.0
Total income25.120.816.223.216.519.117.318.221.117.122.919.8
Total expenses24.522.016.122.817.419.016.718.120.317.222.720.0
└ Finance costs0.50.30.30.40.30.41.10.70.60.80.80.5
└ Depreciation0.70.80.80.70.80.80.80.80.80.80.80.7
Profit before tax0.7(1.2)0.10.4(0.9)0.10.70.10.8(0.0)0.2(0.1)
Tax expense0.2(0.3)(0.0)0.00.00.00.20.00.10.10.20.1
Net profit0.4(0.8)0.10.4(0.9)0.10.50.10.6(0.1)0.0(0.2)
EPS0.47-0.870.800.42-0.950.090.490.090.00-0.140.05-0.21
Net margin1.74%-3.97%0.46%1.74%-5.48%0.43%2.71%0.46%3.02%-0.78%0.19%-1.03%
PBT margin2.66%-5.54%0.41%1.77%-5.48%0.52%3.90%0.56%3.71%-0.17%0.96%-0.66%
Tax rate34.58%—-13.05%2.09%—18.47%30.50%18.39%18.73%—80.07%—

A audited · R restated by a later filing · negatives in parentheses. EPS and the share count are restated onto the same split-adjusted basis as the price chart, so they can be read against it; every rupee figure is exactly as filed. A quarterly filing carries a profit and loss only — there is no balance sheet behind it, and so no debt, cash flow or return-on-capital figure here. Latest filed 27 Jul 2026.

TOKYOPLAST at a glance

  • TOKYOPLAST closed at ₹71.1 on 6 Oct 2026, +0.06% on the day, -42.4% over one year, 47.3% below its 52-week high of ₹135.
  • Delivery was 55.6% of traded quantity on 6 Oct 2026, the 29th percentile of its own 1,731 sessions with a reading (20-session average 79.7%, 1-year average 80.9%).
  • Market capitalisation is ₹68 crore at a trailing P/E of 196.5 (trailing EPS ₹0.36).
  • Q1 FY27 results (consolidated, filed 27 Jul 2026): revenue ₹20 crore (+8.9% year on year), net profit ₹-0 crore (-345.3%); the price moved -4.9% on the first session after.
  • Promoters held 68.89% at 30 Jun 2026, up 0.07 percentage points on the previous filing.
  • Q2 FY27 results are expected between 15 Oct 2026 and 13 Nov 2026, going by past filing dates — an estimate, not an announcement.