ISIN: INE974B01016TextilesSmall Cap

CHEVIOT

Cheviot Company Limited
1,175.10+2.80(+0.24%)
NSE16-Sep-202606:23:14 PM
Day’s Open
1,165.00
Prev Day Close
1,172.30
Market Cap (in Cr)
684.84
ATP
1168.13
Volume
1,194
Avg. 3month Vol
3,812
Lower Circuit Limit
940.10
Upper Circuit Limit
1,410.10
16 Sep 2026 06:23:14 PM
 
 
  • 1,175.10
  • 1,160.10
  • 1 Day Low/High
  • 1,179.00
  • 16-Sep-2026
  • 16-Sep-2026

Key Metrics

14-Sep-2026, 6:30 PM
Market Cap(₹ Cr)684
Face Value10.00
Beta 1Yr0.82
Shares OS (in cr)0.58
Earnings Per Share (TTM)116.86
Book Value Per Share (TTM)1,208.26
Dividend25.00

Historic Returns

16-Sep-2026, 12:53 PM
1 Week-0.83%-3.24%
2.41%
1 Month+1.17%-2.13%
3.30%
3 Month+7.45%+4.93%
2.52%
6 Month+20.85%+22.63%
-1.78%
1 Year-2.91%+5.96%
-8.87%
3 Year-1.38%+52.36%
-53.74%
5 YearNA+78.41%
NA
YTD+8.80%+9.45%
-0.65%

Growth Metrics

Sales28.81%-0.97%
EBITDA18.71%4.87%
PAT13.84%-1.73%
EPS14.36%-0.75%
*TTM: ending
JUN '26
*Annual: ending
MAR '26

Volume Analysis

16-Sep-2026, 4:22 PM
Today
1.19K
Yesterday
1.30K
1.13K
86.74 %
5 Day Avg
1.45K
1.17K
80.67 %
30 Day Avg
5.71K
1.98K
34.68 %
Total VolDelivery Volume
PE Ratio11.20NA
P/Bv2.20NA
EV/EBITDA7.31NA
EV/SalesNANA
MCAP/Sales0.98NA
PE Ratio11.20NA
P/Bv2.20NA
EV/EBITDA7.31NA
EV/SalesNANA
MCAP/Sales0.98NA
*TTM ending
*Annual: ending

Seasonality Analysis

Stock Scan
PeriodJanFebMarAprMayJunJulyAugSeptOctNovDec
Monthly Avg-3.8-5.5-7.813.61.64.33.3-1.5-3.31.7-1.53.2
2026-6.94.0-13.529.7-8.02.7-0.22.53.3
2025-7.2-13.0-2.53.23.911.6-2.20.0-3.9-0.5-5.10.3
20242.1-9.1-6.26.312.4-3.5-2.010.0-9.7-9.8-0.11.5
2023-3.1-4.0-8.915.2-2.06.26.0-5.0-2.89.6-3.617.9
202215.2-14.9-3.67.32.9-6.7
< -10
-10 to -5
-5 to 0
0 to 5
5 to 10
> 10

Technicals of Underlying

15-Sep-2026
Pivot  Level
R11,214.87
Pivot
1,192.43
S11,149.87
R21,257.43
S21,127.43
R31,279.87
S31,084.87
Technical Moving Average
5
3
 Bullish
Bearish 
5
1,187.50
1.30% abv LTP
10
1,180.80
0.73% abv LTP
12
1,178.30
0.51% abv LTP
20
1,170.90
0.12% blw LTP
26
1,166.90
0.46% blw LTP
50
1,155.10
1.47% blw LTP
100
1,137.20
2.99% blw LTP
200
1,124.70
4.06% blw LTP
5
1,195.10
1.94% abv LTP
10
1,177.00
0.40% abv LTP
20
1,165.30
0.60% blw LTP
30
1,165.20
0.61% blw LTP
50
1,152.60
1.68% blw LTP
100
1,148.00
2.07% blw LTP
150
1,108.40
5.45% blw LTP
200
1,093.30
6.74% blw LTP
Technical Indicators
5
3
 Bullish
Bearish 
Relative Strength Index51.32
RSI is mid-range
Money Flow Index72.42
MFI Overbought
MACD11.39
MACD above Signal and Center
MACD Signal8.10
MACD above Signal and Center
Average True Range37.53
Average Directional Index21.60
Rate of Change (21)1.15
Rate of Change (125)18.20
Day Commodity Channel Index74.60
William-50.17
-50.17 William
Stochastic Oscillator63.59
Stochastic Oscillator %D66.08
Stochastic RSI62.45
Stochastic RSI %D68.87
Awesome Oscillator40.24
Ultimate Oscillator41.91
Momentum Oscillator38.00

Fundamentals

Financial Analysis
FY End
Trend
MAR '02
Net Sales
Growth %
121.55
NA
Total Expenditure
Growth %
% of Sales
107.24
NA
+88.23%
EBITDA(Operating Profit)
Growth %
Margin %
14.31
NA
+11.77%
Depreciation
3.63
EBIT
Growth %
Margin %
10.68
NA
+8.79%
Interest
% of EBIT
0.16
+1.50%
Other income
1.87
Minority int (before tax)
-
Profit Before Tax
Growth %
Margin %
12.39
NA
+10.19%
Total Tax
Tax Rate %
1.38
+11.14%
Profit After Tax
Growth %
Margin %
11.01
NA
+9.06%
Minority int (after tax)
0.02
Profit/Loss of Associate Company
-
PAT after Minority int & P/L Asso.Co.
10.99
Extraordinary Items
0.35
Adj Profit After Tax
Growth %
Margin %
10.64
NA
+8.75%
EPS (Adj)
36.51
Dividend Per Share Adj.(Rs)
-
Book Value (Adj) (Unit Curr.)
180.03
FY End
Trend
MAR '02
Liabilities
Total Shareholders Funds
117.16
Minority int
0.51
Total Debt
4.29
Policy Holders Fund
-
Other Liabilities
-
Total Liabilities
121.96
Assets
Net Block
81.09
Lease Adjustment
-
Capital Work in Progress
1.84
Investments
6.16
Loans
-
Inventories
15.96
Sundry Debtors
13.14
Cash and Bank
5.17
Loans and Advances
10.15
Total Current Assets
44.42
Less : Current Liabilities and Provisions
Current Liabilities
4.81
Provisions
9.93
Total Current Liabilities
14.74
Net Current Assets
29.68
Miscellaneous Exp. not written off
0.27
Deferred Tax Assets
4.85
Deferred Tax Liability
1.93
Net Deferred Tax
2.92
Other Assets
-
Total Assets
121.96
No Data available

FY End
Sales Growth
EBITDA Growth
EBIT Growth
Profit Before Tax Growth
Profit After Tax Growth
Adj Profit After Tax Growth
Sales 3 yr CAGR
EBITDA 3 yr CAGR
Adj Profit After Tax 3 yr CAGR
MAR '02
NA
NA
NA
NA
NA
NA
-
-
-

FY End
EBITDA
EBIT
Profit Before Tax
Profit After Tax
Adj Profit After Tax
MAR '02
+11.77%
+8.79%
+10.19%
+9.06%
+8.75%

FY End
Debt Equity Ratio
Long Term Debt Equity Ratio
Interest Coverage Ratio
MAR '02
0.08
0.01
+1.50%

FY End
Return on Capital Employed
Return on Networth
MAR '02
+21.37%
+20.13%

FY End
Fixed Asset Turnover
Inventory Turnover
Debtors Turnover
MAR '02
2.81
7.62
9.25

FY END
Price to Earnings (PE)
Price to Book Value (PBV)
EV to EBITDA
EV to Sales
TTM
11.20
2.20
7.31
-

FY End
EPS
DPS
Book Value
Face Value
MAR '02
36.51
-
180.03
10.00
Download
FY End2002
Annual Reports
Investor Presentation
Earnings Call

SWOT in Analysis

  • Companies with rising net profit margins - quarterly as well as TTM basis
  • Strong Momentum: Price above short, medium and long term moving averages
  • Companies with high TTM EPS Growth
  • Strong QoQ EPS Growth in recent results
  • Good quarterly growth in the recent results
  • Turnaround companies- loss to profit QoQ
  • Growth in Net Profit with increasing Profit Margin (QoQ)
  • Companies with Low Debt
  • Increasing Revenue every quarter for the past 2 quarters
  • Book Value per share Improving for last 2 years
  • Companies with Zero Promoter Pledge
  • Inefficient use of capital to generate profits - RoCE declining in the last 2 years
  • Inefficient use of shareholder funds - ROE declining in the last 2 years
  • Inefficient use of assets to generate profits - ROA declining in the last 2 years
  • Declining Net Cash Flow : Companies not able to generate net cash
  • Annual net profit declining for last 2 years
  • Increasing Trend in Non-Core Income
  • FII / FPI or Institutions increasing their shareholding
Data not available

News/ Corporate Events

Live News
05 Aug 12:13 PM
CHEVIOT CO  :  Q1 EBITDA 211M RUPEES VS 199M (YOY) || Q1 EBITDA MARGIN 12.36% VS 16.6% (YOY)
Result
05 Aug 12:13 PM
CHEVIOT CO  :  Q1 REVENUE 1.7B RUPEES VS 1.2B (YOY)
Result
05 Aug 12:12 PM
CHEVIOT CO  :  Q1 SL NET PROFIT 453M RUPEES VS 287M (YOY)
Result
21 May 04:42 PM
CHEVIOT COMPANY  :  Q4 EBITDA 174M RUPEES VS 206M (YOY) || Q4 EBITDA MARGIN 12.38% VS 15.38% (YOY)
Result
21 May 04:42 PM
CHEVIOT COMPANY  :  Q4 SL NET LOSS 91M RUPEES VS 93M (YOY) || Q4 REVENUE 1.4B RUPEES VS 1.34B (YOY)
Result

Deals

Reported on
Client Name/Category
Mode
Average Price
ActionNo of shares (% of total)
01-Oct-25
Harsh Investments Pvt Ltd
NA
4,00,000  (6.84%)
01-Oct-25
Harsh Investments Pvt Ltd & PACs
NA
4,00,000  (6.84%)
01-Oct-25
Harsh Investments Pvt Ltd
NA
4,00,000  (6.84%)
11-Sep-25
Mr. Harsh Vardhan Kanoria
1,192.00
4,00,000  (6.85%)
11-Sep-25
Harsh Investments Private Limited
1,192.00
4,00,000  (6.85%)
12-Jul-24
Harsh Investments Pvt Ltd & PACs
NA
1,27,835  (2.18%)
Reported on
Client Name/Category
Average Price
ActionNo of shares (% of total)
10-Sep-25
HARSH INVESTMENTS P LIMITED
1,192.00
4,00,000  (6.85%)
10-Sep-25
HARSH VARDHAN KANORIA
1,192.00
4,00,000  (6.85%)
10-Sep-25
HARSH INVESTMENTS P LIMITED
1,192.00
4,00,000  (6.85%)
10-Sep-25
HARSH VARDHAN KANORIA
1,192.00
4,00,000  (6.85%)
12-Dec-23
GRAVITON RESEARCH CAPITAL LLP
1,553.63
44,274  (0.76%)
12-Dec-23
GRAVITON RESEARCH CAPITAL LLP
1,553.97
44,274  (0.76%)

 About Company

About  Cheviot Company Limited
Key Brands
  • Cheviot
Industry
Text-Jute-Yarn/P
Contact Information
Tel. No.
91-033-32919624
/25
/28
Fax No.
91-033-22497269/22172488
Details
BSE
526817
NSE
CHEVIOT
Series
EQ
ISIN
INE974B01016
Executive Summary
CMD & CEO
H V Kanoria
E D & Wholetime Director
Abhishek Murarka
WTD & Executive Director
Utkarsh Kanoria
Independent Non Exe. Director
Deo Kishan Mohta
Independent Non Exe. Director
Rashmi Prashad

Understanding Sections

Insider Trading and SAST
Back to Insider Trading and SAST
Insider trading refers to trading in a shares by someone who has access to non-public, material information about that stock that can affect the stock’s price. SAST (Substantial Acquisition of Shares and Takeovers) refers to trades which involve high volume resulting in the acquirer acquiring substantial number of shares and voting rights in the target company (Substantial Acquisition of Shares) or taking over the control of the target company (Takeovers)
Seasonality Analysis
Back to Seasonality Analysis
Seasonality Analysis shows how a stock / index performs during a month across years based on various parameters like average returns, number of positive years, number of negative years etc. For indices you can also check the stocks which perform better/worse during a month across the years.
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