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Sector: FMCG

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Small Cap

Hipolin Share Price

HIPOLIN

104.90

1.85(1.80%)
26th Aug 2026 | 3:06 PM
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Hipolin Performance

Price Movement

N/A

₹100.00

₹105.00

Today's LowToday's High

1 Year Performance

Data is not available

Markets Today

High₹105.00
Low₹100.00
Open at₹100.00
Prev Close₹103.05
Volumes4.04 K
Avg Price₹103.57
Lower Circuit₹99.40
Upper Circuit₹109.80

Historical Performance

3M High₹118.80
3M Low₹67.01
1 Yr High₹118.80
1 Yr Low₹44.83
3 Yr High₹227.10
3 Yr Low₹44.83
5 Yr High₹227.10
5 Yr Low₹29.10

Summary

As of 27-08-2026 02:07, Hipolin Ltd. share price today is ₹0, with a change of ₹-103.05 (-100.00%) from the previous close of ₹103.05. The stock opened at ₹100 and traded between ₹100 and ₹105, with a total traded volume of 4041 shares. The company has a market capitalization of ₹32.3 Cr in the FMCG sector. while its 52-week high and low are ₹118.8 and ₹44.83, respectively.

Hipolin Ltd. valuation metrics include a P/E ratio of 821.1, EPS of ₹-2.46, and book value of ₹4.40. Profitability indicators show ROE of -10.42%. Hipolin Ltd. has reported revenue of ₹16.08 Cr and net profit of ₹0.04 Cr.

Hipolin Ltd. technical indicators include Day RSI at 54.02, Day MFI at 1.7, Day ADX at 29.17. Additional indicators include Commodity Channel Index (CCI) at -49.6 and Williams %R at -58.39. Momentum indicators show Day MACD at 0.73, Day MACD Signal Line at 2.84, DayATR at 2.58. Rate of Change indicators for Hipolin Ltd. include ROC125 at 78.13 and ROC21 at -0.46.

Exponential moving averages include EMA5 at ₹99.4, EMA10 at ₹100.9, EMA12 at ₹101.4, EMA20 at ₹101.6, EMA26 at ₹100.6, EMA50 at ₹95.2, EMA100 at ₹86.8, EMA200 at ₹83.8. Simple moving averages include SMA5 at ₹97.5, SMA10 at ₹100.4, SMA20 at ₹106.8, SMA30 at ₹103.5, SMA50 at ₹91.6, SMA100 at ₹81.7, SMA150 at ₹73.6, SMA200 at ₹73.8.

Support levels for Hipolin are placed at First Support ₹101.02, Second Support ₹98.98, Third Support ₹97.97. Resistance levels are seen at First Resistance ₹104.07, Second Resistance ₹105.08, Third Resistance ₹107.12. Hipolin Ltd. shareholding pattern shows promoter holding at 69.59%, FII holding at 0%, DII holding at 0%, public holding at 30.4%.

Hipolin Fundamentals

Market Cap
Low in industry
32.30 Cr.
PE Ratio (TTM)
High in industry
821.10
Dividend Yield
0
Net Profit TTM
101.0% incr over last year
0.04
Net Profit Growth
101.0% incr over last year
0.04
PEG Ratio
High in industry
8.10
ROE
74.1% incr over last year
-10.42
Operating Revenue TTM
16.08
Operating Revenue Growth
12% decr over last year
Book Value
Below industry Median
4.40
MFI
MFI strongly Oversold
1.70
RSI
RSI is mid-range
54.02
EPS (TTM)
-2.46
Debt to Equity
0.07
Face Value
10
Operating Profit Margin Qtr.
-1.74
Operating Profit Qtr.
0
Net Profit Qtr.
0.02
Operating Revenue Qtr.
5.20
PB Ratio
4.40

Hipolin Financials

*All values are in Rs. Cr
Loading chart...
Indicator
Jun 2026
Mar 2026
Dec 2025
Sep 2025
Jun 2025
Total Revenue5.203.943.763.183.27
Operating Expense5.203.923.823.183.99
Operating Profit00.02-0.060-0.72
Depreciation0.020.020.020.020.02
Interest0.010.040.020.020.04
Tax00000
Net Profit0.020.010.010-0.74

Hipolin Technicals

Hipolin Ltd. EMA & SMA

104.90

6.75 (6.88%)

Bullish Moving Average

14

Bearish Moving Average

2

Day EMA5 ₹99.4
Day EMA10 ₹100.9
Day EMA12 ₹101.4
Day EMA20 ₹101.6
Day EMA26 ₹100.6
Day EMA50 ₹95.2
Day EMA100 ₹86.8
Day EMA200 ₹83.8

Hipolin Support and Resistance

Resistance

First Resistance₹104.07
Second Resistance₹105.08
Third Resistance₹107.12

Support

First Support₹101.02
Second Support₹98.98
Third Support₹97.97

Technical Indicators

Day RSI54.02
Day MFI1.70
Day ADX29.17
Day Commodity Channel Index-49.60
William-58.39
Day MACD0.73
Day MACD Signal Line2.84
Day ATR2.58
Day ROC12578.13
Day ROC21-0.46

About Hipolin Limited Share Price

Hipolin Limited is a smallcap company operating in the home care and personal care industry, engaged in the manufacture and trade of detergent powder, detergent cakes, dishwash products, liquid blue, and allied products. Headquartered in Ahmedabad, Gujarat, the company was incorporated in 1994 and has established a brand presence in the detergent and cleaning products market. The Hipolin share price on the NSE and BSE is a reflection of how market participants respond to a performance and broader business developments within its industry. It captures the company’s sentiment of the investors based on financial results, operational updates, macroeconomic factors, and trends specific to sectors. Movements in the share price͏ reveal how the market evaluates the company’s current position and its future prospects, making ͏it a key indicator of market perception across various industries.

Market sentiment around the Hipolin stock price often mirrors shifts in consumer demand for laundry and dishwash products, raw material price volatility, and investor views on the prospects for smallcap FMCG firms. Factors such as the company’s ability to expand its distribution network, manage brand positioning, and government policies on GST and chemical import duties influence nearterm valuation and medium-term earnings forecasts. All these factors must be closely monitored to have an idea about the Hipolin share price movements.

The Hipolin live share price provides real-time information about the last price traded, bid price, ask price, and volume traded. These indicators represent trading activity and liquidity and the reaction of investors to corporate announcements, quarterly results, and sector news. Constant monitoring of Hipolin live price helps observe shortterm price fluctuations and understand how the stock is moving in relation to the broader market.

Furthermore, monitoring the Hipolin share price today helps investors understand realtime market sentiment, price volatility, and trading behaviour. It allows market participants to evaluate short-term performance, identify possible entry or exit points, and respond to news, quarterly results or sector trends that may affect the company’s valuation and overall investment outlook. The Hipolin remains sensitive to FMCG sector trends.

Hipolin Limited Company Fundamentals

a. Company Background

Hipolin Limited was incorporated in 1994. The company’s registered office is located in Ahmedabad, Gujarat, India. Hipolin Limited is engaged in the manufacture and trade of detergent powder, detergent cakes, dishwash products, liquid blue, and allied products. Its product portfolio includes Hipolin detergent powder jar and packet, active detergent powder, yellow washing powder, active bar, power detergent bar, Sampurna iodised salt, Shine dishwash bar and tub, liquid blue, and Mapic dishwash powder. As a smallcap entity, it operates in a highly competitive environment within the home care and personal care industry. The company is listed on the Bombay Stock Exchange (BSE) under the scrip code 530853.

b. Product Lines

  • Detergent powder (Hipolin detergent powder jar and packet, active detergent powder, yellow washing powder)
  • Detergent cakes (active bar, power detergent bar)
  • Dishwash products (Shine dishwash bar and tub, Mapic dishwash powder)
  • Liquid blue for laundry applications
  • Sampurna iodised salt
  • Cleaning products for home care applications

c. Company Revenue Model

  • Primary revenue from manufacture and sale of detergent powder, detergent cakes, and dishwash products.
  • Volumedriven revenue based on the quantity of products sold through retail and distribution channels.
  • Pricing determined by raw material costs (chemicals, surfactants, packaging) and market demand, affecting overall revenue generation.
  • Revenue from the domestic Indian market, with a focus on regional distribution networks.
  • Focus on expanding product portfolio in the home care segment.
  • Seasonal variations in demand for laundry and dishwash products affecting revenue patterns.
  • Government policy changes on GST and chemical import duties influencing revenue stability.

d. Geographic Presence

  • Headquartered in Ahmedabad, Gujarat, India.
  • Operations focused on the domestic Indian home care market.
  • Serves customers across multiple states within India through distribution channels.

e. Key Milestones

  • 1994 – Company incorporated.
  • Listed on the Bombay Stock Exchange (BSE) under scrip code 530853.

f. Industry Perspective

Hipolin operates in the home care and detergent industry, a segment of India’s broader FMCG sector. The Indian detergent market was valued at approximately USD 1012 billion in 2025 and is projected to grow at a CAGR of 810% through 2030, driven by rising urbanisation, increasing disposable incomes, and growing awareness of hygiene. The laundry detergent segment accounts for a significant share of the market, with a shift toward premium and liquid formats. The dishwash market is also growing rapidly. Key drivers include expanding modern retail and ecommerce channels, rural penetration of branded products, and increasing frequency of laundry due to lifestyle changes. Challenges facing the industry include volatile raw material prices (surfactants, soda ash, packaging materials), intense competition from both large national brands (Hindustan Unilever, Procter & Gamble, Nirma) and numerous regional players, and the presence of a large unorganised sector.

Hipolin Limited Stock Market Presence: Listings & Index Representation

Hipolin is listed on the Bombay Stock Exchange (BSE) under the scrip code 530853. The company is also traded on the BSE under the ticker symbol HIPOLIN. The company is not listed on the National Stock Exchange (NSE). The ISIN for the company is INE963A01011. Its listing on the BSE ensures that the Hipolin is accessible to a specific investor base. The company forms part of the BSE SmallCap index and is included in the BSE AllCap index. Being part of the BSE SmallCap index provides a benchmark for investors to compare the company’s performance against other smallcap companies in the FMCG and home care sector. However, the company’s inclusion in major indices is limited, reflecting its smallcap status.

Hipolin Limited Stock Performance and Share Price History

The performance and share price history of Hipolin Limited are influenced by a mix of operational, macroeconomic, and sectoral factors. A primary driver is the fluctuation in raw material prices (chemicals, surfactants), as any increase directly impacts the company’s input costs and margins, often leading to corrections in the Hipolin. Government policies regarding GST on detergents and import duties on raw materials also play a critical role. For instance, when GST rates on FMCG products are increased, concerns about pricing and demand emerge, putting pressure on the Hipolin stock price.

Another major factor is competition from both large national brands and unorganised players, which can alter longterm demand projections and influence the Hipolin. The company’s revenue growth directly impacts investor sentiment. Quarterly financial results, especially net profit and sales volume figures, cause immediate swings in the Hipolin stock price. Additionally, broader market trends and even seasonal demand for laundry products contribute to volatility. Historically, the Hipolin share price has shown sharp rallies during periods of strong brand performance but has also faced steep declines during phases of weak consumer demand.

The 52week high of the stock is largely dictated by sentiment shifts and external shocks. When consumer demand for home care products is robust and the company reports strong revenue growth, the Hipolin tends to rally toward its 52week high; conversely, a drop in consumer spending can drive the Hipolin down to a new low. The Hipolin also hits its peak when management announces new product launches, while a sharp spike in raw material costs pushes the Hipolin toward the yearly bottom. Broader market selloffs, such as during economic uncertainty, often drag the Hipolin to multimonth lows, even if fundamentals are stable. Conversely, a bullish narrative on FMCG growth can lift the Hipolin share price to a new 52week high. Additionally, quarterly earnings misses have historically pressured the Hipolin share price to test its lowest levels.

The Hipolin has exhibited significant volatility over the past decade, shaped by the company’s position in the home care sector. The Hipolin recorded a 1year return of approximately -30.91%, a 3year return of 14.39%, and a 5year return of 113.48%, underperforming broader market indices in the short term but showing longterm wealth creation from a low base. The Hipolin share price reached a 52week high of ₹118.65 and a 52week low of ₹44.83, indicating a wide trading range. The Hipolin share price has shown a 1quarter return of 38.18% and a 1week return of 22.38% as of May 2026. The Hipolin has a market capitalisation of approximately ₹15.6623.80 crore.

The Hipolin stock price has been particularly responsive to quarterly earnings releases. When the company turned a previous year’s net loss into a net profit of ₹0.01 crore in the December 2025 quarter, the Hipolin stock price showed a positive reaction. The Hipolin stock price has shown a pattern of volatility in years when the company’s earnings were inconsistent. The Hipolin stock price has shown a market capitalisation that has fluctuated between approximately ₹15.66 crore and ₹31.63 crore in recent quarters.

The Hipolin reached its 52week high before declining, reflecting the volatility inherent in the smallcap FMCG space. The Hipolin has shown a yeartodate return that has been moderate as of early 2026. Comprehending these patterns in the Hipolin share price is instrumental for investors seeking to contextualise longterm performance trends, as the Hipolin stock price movements illustrate how FMCG industry fundamentals, raw material cycles, and investor expectations converge in market pricing.

The Hipolin share price has shown distinct seasonal patterns over the past decade. The best performing months have historically coincided with periods of strong consumer demand during festive seasons. In terms of annual performance, the Hipolin share price delivered its strongest returns in 2021 and 2025 from a low base. The stock recorded negative annual returns in 2022, 2023, and 2024. The Hipolin share price has demonstrated that the stock tends to perform better in periods of high consumer demand and stable raw material prices.

Hipolin Limited Investor Relevance and Role in Portfolio

Hipolin holds a limited position for portfolio investors who seek exposure to the home care and detergent sector. The company’s operations in detergent powder and dishwash products align it with investment strategies that value consumer goods themes. The Hipolin share price often mirrors how these themes resonate with investor portfolios, whereby both thematic and sectorspecific funds might monitor consumer spending indicators when evaluating allocation decisions.

Institutional stakeholders play a minimal role in Hipolin’s ownership profile. Promoter holding is not consistently reported in available sources. Mutual funds hold 0% stake. Foreign Institutional Investors (FII) hold 0%, Domestic Institutional Investors (DII) hold 0%, and Insurance companies hold 0%. The retail public holds the majority stake. Mutual fund holders include no major fund houses. The company has a negative beta of -0.088, indicating a weak negative correlation with the market.

Based on data, Hipolin exhibits varying levels of beta and volatility across different time horizons. The longterm beta of Hipolin stands at -0.088, indicating that the stock has a slight negative correlation with the broader market. On a daily basis, the weekly volatility stands at approximately 9%, which has been stable over the past year but is still higher than 75% of Indian stocks. The stock’s price has been volatile over the past 3 months compared to the Indian market. Based on data, the mean values for longterm range is 76.00, dailyone month range is 76.00, dailythree month range is 76.00, weeklyone year range is 76.00. Standard deviations range from moderate to high across different periods. The Hipolin stock price has shown periods of heightened responsiveness to sectorspecific news regarding raw material prices and FMCG demand. The Hipolin share price’s beta reflects that the company’s smallcap status makes it subject to companyspecific factors rather than broad market trends. The Hipolin share price has historically moved on raw material price announcements and quarterly results.

Hipolin Limited Sectoral Relevance and Peer Positioning

The sector relevance of Hipolin is anchored in its role within the broader Indian home care and detergent industry, where it competes with other FMCG companies. Competitors in the detergent and home care segment include companies such as Hindustan Unilever Ltd (Surf Excel, Rin, Wheel), Procter & Gamble Hygiene and Health Care Ltd (Tide, Ariel), Nirma Ltd, Jyothy Labs Ltd (Ujala, Henko, Mr. White), and other regional players. In the broader FMCG space, peers include other smallcap consumer goods companies.

In valuation terms, factors like the Hipolin P/E ratio have shown negative values due to negative earnings in recent periods. The current P/E ratio is -10.25 to -7.71, reflecting that the company is making losses. The P/B ratio is 3.33. The EPS (TTM) is -9.86, indicating that the company has been lossmaking on a trailing basis. However, the company reported a net profit of ₹0.01 crore in the December 2025 quarter, a turnaround from losses. Revenue for the December 2025 quarter was ₹3.80 crore, down from ₹5.10 crore in the same quarter of the previous year. Total revenue for the full fiscal year ending March 2025 was ₹21.56 crore, an increase from ₹19.73 crore in the previous year. The company has been working with a negative net profit margin of -1% over the last 5 years.

Hipolin market cap has fluctuated between approximately ₹15.66 crore and ₹31.63 crore over the past few years, in line with investor perceptions of the company’s growth potential in the home care market. This fluctuation mirrors the movement in the Hipolin share price.

The Hipolin earnings over the past few years have been characterised by inconsistent profitability. The Hipolin share price has been influenced by these valuation metrics. The Hipolin stock price continues to be evaluated in the context of its earnings potential and ability to compete in the highly competitive detergent market.

Summary

Hipolin is a smallcap home care company listed on the BSE, where the Hipolin share price reflects raw material price fluctuations, consumer demand cycles, and smallcap market sentiment within the FMCG sector. Its inclusion in the BSE SmallCap index supports limited visibility, while investor interest is shaped by earnings trends and broader consumer goods themes. Within the sector, the company’s competitive context and earnings dynamics provide perspective on its role in India’s home care industry.

Hipolin Shareholding Pattern

Held ByMar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Promoter71.470.870.669.960.269.6
FII000000
DII000000
Public28.529.229.430.139.830.4

Hipolin Delivery And Volume

PeriodCombined Delivery VolumeNSE+BSE Traded Volume AvgDaily Avg Delivery Volume %
Day4.13 K4.13 K100.00%
Week59.01 K59.01 K100.00%
1 Month14.08 K14.08 K100.00%
6 Month3.29 K3.31 K99.44%

Hipolin SWOT Analysis

Strengths15
Weakness9
Opportunity0
Threats0

Promoter holding increased more than 2% QoQ

Relative Outperformance versus Industry over 1 Month

Annual Profit Growth higher than Sector Profit Growth

High Momentum Scores (Technical Scores greater than 50)

Relative Outperformance versus Industry over 1 Week

Relative Outperformance versus Industry over 1 Month

Growth in Net Profit with increasing Profit Margin (QoQ)

Growth in Quarterly Net Profit with increasing Profit Margin (YoY)

Companies with Low Debt

Increasing Revenue every quarter for the past 3 quarters

Companies with Zero Promoter Pledge

Recent Results : Growth in Operating Profit with increase in operating margins (YoY)

Highest Recovery from 52 Week Low

Top Gainers

Stocks Outperforming their Industry Price Change in the Quarter

Hipolin Corporate Action

Ex-Date
Dividend Amount
Dividend Type
Record Date
Instrument Type
23 Sep, 20101FINALEquity Share
24 Sep, 20091FINALEquity Share
26 Sep, 20071FINALEquity Share
26 Sep, 20061FINALEquity Share
26 Sep, 20051FINALEquity Share
24 Sep, 20040.8FINALEquity Share
25 Sep, 20030.5FINALEquity Share

Hipolin Stock Comparison

Financials
Price (₹)₹84.65₹73₹56.55₹70.10₹297₹96
% Change-4.99%0.00%0.00%N/A-4.81%0.82%
Revenue TTM (₹ Cr)---₹414.07--
Net Profit TTM (₹ Cr)---₹39.56--
PE TTM12.1014.5025.5021.7029.6032.30
1 Year Return55.13
ROCE--23.2922.21--

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