Cosmo First

NSE: COSMOFIRST · Packaging

52W Range₹561 ₹1,137

Snapshot

Unlock Cosmo First's vital signs

Growth · Profitability · Valuation · Strength · Conviction

Company Overview

Business

Cosmo First Limited is a diversified manufacturer primarily focused on bi-axially oriented polypropylene (BOPP) films for packaging, lamination, and industrial applications. The company has also expanded into specialty chemicals and operates a retail platform dedicated to pet care products and services.

Business Model

The company generates revenue through the large-scale production and sale of plastic films and specialty chemical products. Additionally, it operates a consumer-facing business model through its pet care retail and services platform.

  • Incorporation Year:1976

Growth Outlook

Growth is driven by the expansion of its specialty films portfolio and the scaling of its pet care retail ecosystem. The company continues to leverage its established manufacturing base to serve both domestic and international markets.

Key Risks

  • Raw Material Price Volatility. Fluctuations in the prices of polypropylene and other petrochemical derivatives directly impact manufacturing margins.
  • Cyclical Demand. The packaging films sector is sensitive to global economic cycles and industrial demand patterns.
  • Regulatory Environment. Increasing global scrutiny and regulations regarding plastic waste and environmental sustainability may necessitate costly operational adjustments.
  • Competitive Intensity. The packaging film market is highly competitive, which can exert downward pressure on product pricing and profitability.

Price

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Key Metrics

REVENUE

₹3,639 Cr

TTM · consolidated

+25.7%YoY

NET PROFIT

₹156 Cr

TTM · consolidated

+17.0%YoY

EPS

₹60.31

TTM · consolidated

+17.2%YoY

RETURN ON EQUITY

10.4%

TTM · consolidated

+0.7 ppYoY

RETURN ON CAPITAL EMPLOYED

11.6%

TTM · consolidated

+1.1 ppYoY

P/E

14.0x

Q4 FY26 · consolidated

14.0 vs 17.5x5Y avg

EV/EBITDA

7.7x

Q4 FY26 · consolidated

7.7 vs 8.9x5Y avg

EBITDA MARGIN

13.4%

TTM · consolidated

+0.9 ppYoY

NET PROFIT MARGIN

3.6%

Q4 FY26 · consolidated

+0.0 ppYoY

DEBT TO EQUITY

1.0x

Q4 FY26 · consolidated

+0.05xYoY

Peers · Packaging

CompanyMkt Cap (Cr)P/EEV/EBITDARev Gr YoYEBITDA MgnROEROCE1Y Return
Cosmo FirstCOSMOFIRST
1,61114.037.6825.7%13.4%10.4%11.6%-26.0%
XPRO IndiaXPROINDIA
2,260170.0769.79-5.6%9.9%3.0%4.1%+15.1%
TCPL PackagingTCPLPACK
2,13430.3811.112.4%17.7%14.8%21.5%-15.7%
Mold-Tek Pack.MOLDTKPAC
1,57831.7314.5513.5%19.6%11.2%15.1%-1.6%
Huhtamaki IndiaHUHTAMAKI
1,19714.947.40-1.9%9.6%9.7%12.7%+1.2%
Oricon EnterprisORICONENT
1,01256.8232.72-54.1%35.9%2.0%2.3%+32.5%

As of Q4 FY26

Financials