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Naperol Investments Ltd. Share Price

NSE
BSE

BSE : 500298

Sector : Chemicals

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Day's Range

Day's Range

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High

Price Summary

Previous Close ₹610.00
Day's Range ₹604.30 - ₹634.00
Open ₹604.30
52 Week Range ₹490.10 - ₹1,212.00
Volume 1,533
Market Cap ₹0.00

Stocks Summary

Trade Value ( ₹ in Lacs) 9.35
Market Cap (₹ in Mn) 0.00
Dividend Yield(%) 2.73
Price/Earning (TTM) 9.80
TTM EPS (₹) 61.64
P/E Ratio 167.99
Book Value(₹) 0.00
PAT Margin (%) 2.33
Face Value (₹) 10.00
ROCE(%) 1.53

Financials

Particulars QTR FY (₹ in Millions) Annual FY (₹ in Millions)
Net sales 161.72 195.72
Expenses N/A N/A
PBT 106.59 117.2
Operating profit 0.0 0.0
Net profit 98.07 105.54

Shareholding Pattern

Promoters (% Holding)

70.76%

Mutual funds (% Holding)

0.00%

Non-Institution (% Holding)

27.48%

FI/Banks/Insurance (% Holding)

0.00%

Government (% Holding)

0.00%

FII

1.76%

About Naperol Investments Ltd.

Founded 1954

Peer Comparision

Stocks Name Market Cap (Cr)(₹) Market Price (₹) 52 Week Low-High (₹)
Asian Paints Ltd. 2,53,894.86 2,671.95 2,115.00 - 2,115.00
Solar Industries India Ltd. 1,67,184.00 18,789.00 11,646.00 - 11,646.00
Pidilite Industries Ltd. 1,50,457.73 1,477.45 1,259.00 - 1,259.00
SRF Ltd. 81,500.52 2,736.45 2,355.00 - 2,355.00
Berger Paints India Ltd. 60,119.10 526.05 391.10 - 391.10
The Fertilisers And Chemicals Travancore Ltd. 58,495.31 920.10 652.10 - 652.10
UPL Ltd. 55,309.97 655.00 565.15 - 565.15
Coromandel International Ltd. 54,478.88 1,831.75 1,786.00 - 1,786.00
PI Industries Ltd. 43,072.02 2,849.00 2,700.00 - 2,700.00
Gujarat Fluorochemicals Ltd. 41,566.69 3,641.00 2,916.60 - 2,916.60
no-content No Records Found

Latest News

May
2
2026
EQUITY Posted on May 2nd 2026

Naperol Investments informs about newspaper advertisements

In compliance with Regulation 30, 47 and other applicable provisions of Listing Regulations, Naperol Investments has informed that it enclosed the copies of newspaper advertisements published on May 1, 2026, in the newspapers, Business Standard (in English) and Mumbai Lakshadeep (in Marathi) on Audited Financial Results of the Company for the Quarter and Financial Year ended March 31, 2026.

The above information is a part of company’s filings submitted to BSE.

Read More
May
27
2026
EQUITY Posted on May 27th 2026

Sumitomo Chemical India informs about investor presentation

Pursuant to Regulation 30 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, Sumitomo Chemical India has informed that it enclosed investor presentation on the Financial Results of the Company for the quarter and year ended 31st March, 2026.

The above information is a part of company’s filings submitted to BSE. 

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May
27
2026
EQUITY Posted on May 27th 2026

Alkali Metals informs about outcome of board meeting

In compliance to Regulation 30 read with Schedule III of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, Alkali Metals has informed that the Board of Directors at their meeting held on 26th May 2026 have approved the appointment of Mr. Y.V. Prashanth (DIN:00345418) as an Executive Director with effect from 1st June 2026 for a period of 3 years subject to approval of the members at the ensuing AGM. The details as required under Regulation 30 of the SEBI (LODR) Regulations, 2015 read with SEBI Circular No. SEBI/HO/CFD/CFD-POD-1/P/CIR/2023/123 dated 13th July, 2023 are annexed to this letter.

The above information is a part of company’s filings submitted to BSE. 

Read More
May
27
2026
COMPANY Posted on May 27th 2026

Camlin Fine Sciences - Quaterly Results

The sales moved down -32.68% to Rs. 1835.17 millions for the March 2026 quarter as compared to Rs. 2725.96 millions during the corresponding quarter last year.The Net Loss for the quarter ended March 2026 is Rs. -56.50 millions as compared to Net Profit of Rs. 156.19 millions of corresponding quarter ended March 2025The Operating Profit of the company witnessed a decrease to 213.10 millions from 422.07 millions.
(Rs. in Million)
  Quarter ended Year to Date Year ended
  202603 202503 % Var 202603 202503 % Var 202603 202503 % Var
Sales 1835.17 2725.96 -32.68 8379.18 8864.91 -5.48 8379.18 8864.91 -5.48
Other Income 153.02 89.37 71.22 349.51 206.15 69.54 349.51 206.15 69.54
PBIDT 213.10 422.07 -49.51 828.40 912.18 -9.18 828.40 912.18 -9.18
Interest 220.51 174.39 26.45 669.87 661.19 1.31 669.87 661.19 1.31
PBDT -33.52 250.32 -113.39 -4.17 -709.03 -99.41 -4.17 -709.03 -99.41
Depreciation 132.85 131.35 1.14 536.77 525.27 2.19 536.77 525.27 2.19
PBT -166.37 118.97 -239.84 -540.94 -1234.30 -56.17 -540.94 -1234.30 -56.17
TAX -109.87 -37.22 195.19 -211.26 -471.20 -55.17 -211.26 -471.20 -55.17
Deferred Tax -109.87 -37.22 195.19 -211.26 -487.80 -56.69 -211.26 -487.80 -56.69
PAT -56.50 156.19 -136.17 -329.68 -763.10 -56.80 -329.68 -763.10 -56.80
Equity 192.09 187.92 2.22 192.09 187.92 2.22 192.09 187.92 2.22
PBIDTM(%) 11.61 15.48 -25.00 9.89 10.29 -3.92 9.89 10.29 -3.92
Read More
May
27
2026
COMPANY Posted on May 27th 2026

Asahi Songwon Colors - Quaterly Results

The sales declined to Rs. 907.41 millions for the March 2026 quarter as compared to Rs. 1072.41 millions during the corresponding quarter last year.Net profit stood at Rs. 97.70  millions  compared to Rs. 92.30 millions in the corresponding previous quarter,high by 5.85%.The company reported a good operating profit of 174.44 millions compared to 161.88 millions of corresponding previous quarter.
(Rs. in Million)
  Quarter ended Year to Date Year ended
  202603 202503 % Var 202603 202503 % Var 202603 202503 % Var
Sales 907.41 1072.41 -15.39 3441.39 3902.25 -11.81 3441.39 3902.25 -11.81
Other Income 46.09 18.31 151.72 104.95 79.28 32.38 104.95 79.28 32.38
PBIDT 174.44 161.88 7.76 456.47 523.78 -12.85 456.47 523.78 -12.85
Interest 12.92 17.01 -24.04 46.35 75.44 -38.56 46.35 75.44 -38.56
PBDT 161.52 144.87 11.49 410.12 448.34 -8.52 410.12 448.34 -8.52
Depreciation 24.23 24.84 -2.46 97.94 101.72 -3.72 97.94 101.72 -3.72
PBT 137.29 120.03 14.38 312.18 346.62 -9.94 312.18 346.62 -9.94
TAX 39.59 27.73 42.77 87.61 91.73 -4.49 87.61 91.73 -4.49
Deferred Tax 0.11 -0.97 -111.34 -3.49 0.53 -758.49 -3.49 0.53 -758.49
PAT 97.70 92.30 5.85 224.57 254.89 -11.90 224.57 254.89 -11.90
Equity 117.87 117.87 0.00 117.87 117.87 0.00 117.87 117.87 0.00
PBIDTM(%) 19.22 15.09 27.35 13.26 13.42 -1.18 13.26 13.42 -1.18
Read More
no-content No Records Found

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Frequently Asked Questions

What is the current share price of Naperol Investments Ltd. ?

The current share price of Naperol Investments Ltd. is ₹610.00 as of 2026-05-27.

The market capitalisation of Naperol Investments Ltd. is ₹347.29 as of 2026-05-26.

The 1-year return of Naperol Investments Ltd. is -372.25% as of 2025-05-26.

The P/E ratio of Naperol Investments Ltd. is 56.71 as of 2026-05-27.

The 52-week high and low of Naperol Investments Ltd. are ₹0.00 and ₹0.00, respectively, as of 2026-05-27.

The dividend yield of Naperol Investments Ltd. is 2.7271% as of2026-05-26.

You can buy Naperol Investments Ltd. shares through a registered stockbroker or trading platform. Bajaj Markets partners with trusted brokers to help you open a demat account. This is the first step to trading, making it easier to invest in your desired shares.

The Managing Director of Naperol Investments Ltd. is .

When investing in a company’s stock, you may consider key factors such as its fundamentals, including financial health, historical performance, and growth potential. Assess the consistency of its performance, market conditions, and industry trends. Additionally, evaluate your own risk tolerance while reviewing aspects like quarterly earnings, management quality, and sector performance, for taking a well-informed decision.

You can track stock performance on online platforms through live market updates, historical charts, and news alerts. Regular analysis and stock alerts allow you to stay informed about significant price changes and events affecting the stock.

Common stock provides voting rights and the potential for dividends based on company performance, while in case of preferred stock, stockholders receive fixed dividends and have priority over common stockholders in asset distribution but generally lack voting rights.

Stock investments carry market risks, including price volatility, economic shifts, and sector-specific issues. Managing risk can involve diversifying your portfolio, setting stop-loss orders, and staying informed about market trends to make timely decisions.

Market capitalisation, or market cap, is the total value of a company’s outstanding shares and is calculated by multiplying the stock price by the total shares. It classifies companies as large-cap, mid-cap, or small-cap, reflecting their size, stability, and potential risk level in the stock market.

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