CPPL Containers/Packaging
Process Industries
Mkt Cap
3.9B
P/E (TTM)
52.50
EPS
7.26
ROE
0.84%
Div Yield
3.81%
5 years
FY2025FY2024FY2023FY2022FY2021
Profitability
Return on Equity (ROE)4.17%11.54%13.50%14.40%15.81%
Return on Assets (ROA)2.39%5.83%5.79%6.44%7.20%
Return on Invested Capital3.35%9.03%10.44%10.97%11.02%
Gross Margin7.64%10.41%19.41%16.71%16.56%
Operating Margin3.12%7.42%16.86%13.74%13.85%
EBITDA Margin5.89%9.99%19.23%16.37%16.82%
Net Margin2.74%6.41%5.49%6.56%7.60%
Pre-Tax Margin2.32%7.51%10.05%10.33%10.65%
Liquidity
Current Ratio1.952.681.601.501.69
Quick Ratio0.871.140.560.620.77
Leverage
Debt / Equity0.350.320.780.920.78
Debt / Assets0.200.190.340.380.37
LT Debt / Equity0.230.260.300.280.34
LT Debt / Assets0.130.150.130.120.16
Net Debt3.06B2.50B5.35B5.70B4.69B
Total Debt3.15B2.59B5.59B5.73B4.71B
Efficiency
Asset Turnover0.870.911.060.980.95
Inventory Turnover3.262.562.372.572.86
Per Share
Book Value Per Share182.42166.05146.66127.42123.02
Tangible Book Per Share182.25165.85146.53127.32122.93
Cash Per Share1.961.884.910.640.55
Total Debt Per Share64.2252.74113.80116.6496.00
Working Capital Per Share67.8579.8871.4560.1255.08
Shares & Market
Total Shares Outstanding49,095,39349,095,39349,095,39349,095,38749,095,387
Market Cap5.74B5.80B4.78B4.80B8.46B
Enterprise Value8.79B8.29B10.13B10.50B13.14B
Employees314316327304251
Shareholders1,9521,9521,9521,9521,952