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Sector: Retailing
|Small Cap
OKPLA
₹3.96
₹3.95
₹4.14
Data is not available
Markets Today
Historical Performance
As of 10-07-2026 20:02, OK Play India Ltd. share price today is ₹0, with a change of ₹-4.05 (-100.00%) from the previous close of ₹4.05. The stock opened at ₹4.14 and traded between ₹3.95 and ₹4.14, with a total traded volume of 151277 shares. The company has a market capitalization of ₹147.4 Cr in the Retailing sector. while its 52-week high and low are ₹12.23 and ₹2.85, respectively.
OK Play India Ltd. valuation metrics include a P/E ratio of 50.4, EPS of ₹0.08, and book value of ₹0.90. Profitability indicators show ROE of 1.75%. OK Play India Ltd. has reported revenue of ₹197.77 Cr and net profit of ₹2.92 Cr.
OK Play India Ltd. technical indicators include Day RSI at 33.84, Day MFI at 25.94, Day ADX at 18.2. Additional indicators include Commodity Channel Index (CCI) at -109.8 and Williams %R at -78.43. Momentum indicators show Day MACD at -0.15, Day MACD Signal Line at -0.14, DayATR at 0.2. Rate of Change indicators for OK Play India Ltd. include ROC125 at -48.47 and ROC21 at -10.
Exponential moving averages include EMA5 at ₹4.1, EMA10 at ₹4.1, EMA12 at ₹4.1, EMA20 at ₹4.2, EMA26 at ₹4.3, EMA50 at ₹4.5, EMA100 at ₹4.9, EMA200 at ₹6.1. Simple moving averages include SMA5 at ₹4.1, SMA10 at ₹4.1, SMA20 at ₹4.3, SMA30 at ₹4.4, SMA50 at ₹4.5, SMA100 at ₹4.6, SMA150 at ₹5.4, SMA200 at ₹5.9.
Support levels for OK Play are placed at First Support ₹3.97, Second Support ₹3.89, Third Support ₹3.83. Resistance levels are seen at First Resistance ₹4.11, Second Resistance ₹4.17, Third Resistance ₹4.25. OK Play India Ltd. shareholding pattern shows promoter holding at 47.47%, FII holding at 0%, DII holding at 0%, public holding at 39.34%.
Indicator | Mar 2026 | Dec 2025 | Sep 2025 | Jun 2025 | Mar 2025 |
|---|---|---|---|---|---|
| Total Revenue | 35.41 | 25.87 | 23.36 | 19.65 | 25.21 |
| Operating Expense | 33.84 | 25.04 | 23.16 | 18.16 | 20.06 |
| Operating Profit | 1.58 | 0.84 | 0.20 | 1.49 | 5.15 |
| Depreciation | 2.73 | 2.62 | 2.98 | 1.71 | 2.54 |
| Interest | 2.47 | 3.35 | 2.04 | 1.48 | 3.64 |
| Tax | -2.35 | 0 | 0 | 0 | 4.53 |
| Net Profit | 3.87 | 1.48 | -1.92 | 1.26 | -1.06 |
₹3.96
↗ Bullish Moving Average
0
↘ Bearish Moving Average
16
Ok Play India Limited, with its corporate operations in New Delhi, functions as a plastic molded products and toy manufacturing company in India. The company was incorporated in 1988 and was formerly known as OK Play India Private Limited, later converting to a public limited company and changing its name to OK Play India Limited. Ok Play India Limited manufactures a wide range of plastic molded toys, school furniture, playground equipment, point‑of‑purchase displays, automotive and infrastructure products, electric vehicles, and personal safety products. The company’s manufacturing operations are conducted from its facilities located in Haryana and Himachal Pradesh, and it also produces outdoor play equipment and custom plastic molded components for industrial clients.
Ok Play share price today on NSE and BSE signifies how market participants react to the company‘s operational performance and the overall developments in the plastic products and toy manufacturing sector. The company’s financial health depends on production volumes across its plastic molding units, raw material costs including polypropylene and polyethylene, capacity utilization rates, domestic seasonal demand for toys, and the performance of its school furniture and playground equipment segments. Ok Play stock price is influenced by various factors such as earnings, changes in GST rates on toys and plastic products, regulatory changes affecting the plastics industry, and global crude oil price trends affecting raw plastic material costs. In the longer run, strategies such as expanding into electric vehicle components, diversifying its product portfolio across distribution channels, and entering new export markets affect the stock market perceptions. All these factors need to be monitored closely to have an idea about the company’s stock price movements.
Ok Play live share price provides real‑time information about the last price traded, bid and ask prices, and trading volume. These indicators represent market activity and liquidity, reflecting investor response to corporate announcements, economic conditions, and sector news. Constant monitoring of the Ok Play live price helps in observing short‑term price volatility and shows how a stock moves relative to the broader BSE SmallCap and BSE Consumer Discretionary indices. Furthermore, monitoring Ok Play stock price movements helps investors understand real‑time market sentiment, price fluctuations, and trading behaviour. It allows them to evaluate short‑term performance, and respond to news, quarterly results, or sector trends that may influence the company’s valuation and overall investment outlook.
Ok Play India Limited was originally incorporated as A.O. Vintrade Limited on August 19, 1988 and later changed its name to OK Play India Ltd., with its registered office located in New Delhi, Delhi. The company is engaged in the manufacture and sale of plastic molded products. The company operates through its key segments: Toys & Juvenile Products, School Furniture & Playground Equipment, Point‑of‑Purchase Displays, Automotive & Infrastructure Products, and Electric Vehicles (EVs). Its manufacturing operations are based in India, with production facilities located in Haryana, Himachal Pradesh, and an international facility in the United Kingdom, while corporate functions are managed from its administrative office in New Delhi, Delhi. Over time, the company has expanded its production capacity and product portfolio to serve both domestic and international markets. Financial performance is assessed through standard metrics such as revenue growth, operating margins, and capacity utilisation. Market valuation indicators such as the P/E ratio are used by analysts for comparative assessment within the plastic products manufacturing sector. Overall fundamentals are influenced by raw material availability, demand cycles in the toy and education sectors, and input cost fluctuations.
The product portfolio is structured to serve both domestic retail consumers and institutional clients across India.
Revenue performance is primarily influenced by demand for toys and school furniture during key seasons, raw material costs, and selling price realizations in domestic and export markets.
The plastic products and toy manufacturing industry is capital‑intensive and closely linked to demand from retail consumers, educational institutions, and commercial clients. Demand trends are influenced by economic activity, the level of consumer and government spending on education, growth of organised retail, and the recovery of the tourism and leisure sector for playground equipment.
The industry is also affected by fluctuations in raw material prices such as polypropylene, polyethylene, and other polymers, along with energy and logistics costs. GST rates on toys and plastic furniture shape pricing dynamics, while the formalisation of the economy is helping organised players gain market share from the unorganised segment.
Companies in the sector must manage cyclical demand patterns, cost volatility, and competitive pressures while maintaining operational efficiency. These factors collectively influence financial performance and investor perception of firms like Ok Play India.
Ok Play India Limited is listed on the National Stock Exchange (NSE) under the symbol OKPLA and on the Bombay Stock Exchange (BSE) with the scrip code 526415. Ok Play share price is actively traded on both exchanges. The company‘s market presence is within the small‑cap segment of the market. Due to its size and sector focus, Ok Play stock price is generally tracked by investors interested in the toy, plastic goods, and educational infrastructure industry.
Ok Play India Limited is part of several broad‑based and sector‑specific stock market indices, reflecting its position as a small‑cap plastic products company in India. While it is not included in benchmark indices like the Sensex or Nifty 50, it is a constituent of wider market indices such as the BSE SmallCap and BSE Consumer Discretionary indices. Ok Play share price finds representation in these indices based on its market standing. Ok Play stock price presence in these indices helps investors track the company relative to other toy and plastic product companies.
Ok Play share price on the NSE reflects its position as a diversified plastic molder with a focus on toys, school furniture, playground equipment, and automotive components. Its performance is qualitatively driven by factors such as manufacturing capacity utilization across its Haryana and Himachal Pradesh plants, management of polypropylene raw material costs, growth in exports from its UK facility, and the ability to control operational expenses. Investors compare the Ok Play share price movement with other plastic goods companies to assess relative strength.
These underlying factors become visible through real market movements across different time periods. Similar trends appear during earnings‑driven price changes. Broader sector strength has also supported Ok Play share price. Beyond operational and sector influences, corporate actions such as the company‘s diversification into electric vehicles and strategic fundraising announcements can significantly affect share price movements by shaping future growth expectations. This shows how strategic initiatives may trigger short‑term swings, even within a regulatory environment influenced by polymer price cycles, competition, and seasonal toy demand.
While short‑term movements respond to events and announcements, longer‑term valuation trends are better captured by the stock’s annual high and low levels, offering context beyond daily or weekly changes. A notable peak indicates stronger retail demand and stable margins, whereas a significant low aligns with market corrections or sector volatility. Ok Play share price extremes reflect the impact of trade policies, global polymer price trends, and earnings visibility, providing a framework for understanding historical performance.
Ok Play stock price behaviour mirrors the trading patterns of a small‑cap plastic products company within India‘s manufacturing ecosystem. The company’s diversified portfolio spanning toys, school furniture, playground equipment, point‑of‑purchase displays, automotive infrastructure, and electric vehicles has shaped its price history. Over recent years, Ok Play share price has experienced periods of sharp gains followed by phases of consolidation. The stock has shown higher volatility compared to the broader market, aligning with the cyclical nature of the toy and school furniture industry.
The company’s performance has closely tracked domestic retail demand for toys and government spending on school infrastructure. Positive momentum appeared during the post‑pandemic recovery, driven by increased sales of outdoor playground equipment and school reopening. However, periods of high polypropylene costs and competitive pressures have led to consolidation in Ok Play share price. Profitability has shown patterns aligned with seasonal demand and effective cost management.
Despite disruptions, Ok Play shares have shown resilience during challenging periods. While the broader plastics sector faced headwinds from resin cost inflation, the company‘s diversified product mix across multiple industries helped Ok Play share price navigate industry cycles. The company maintains a sizeable workforce and continues to develop new product lines.
Ok Play share price has declined for several recurring reasons. A drop in retail demand for toys or reduced government spending on school furniture directly impacts revenue and leads to selling pressure. Changes in government policy such as revisions in GST rates on plastic toys or on electric vehicle subsidies can also cause Ok Play share price to fall. Moreover, increases in operational costs without matching price increases compress margins, making the stock less attractive. Periods of global economic slowdown that affect retail spending raise concerns about discretionary toy purchases, leading to price declines. The stock remains sensitive to raw material price movements; if polypropylene prices rise significantly, it can cause Ok Play share price to fall as investors adjust expectations for future margin growth. Broader market sell‑offs in small‑cap stocks also pull Ok Play share price down, regardless of the company’s individual performance. Lower capacity utilization or reduced sales in any product category directly impacts revenue, resulting in lower valuation.
Ok Play India Limited is a holding in small‑cap and consumer goods portfolios, offering exposure to India‘s toy market, school infrastructure products, and diversified plastic molding. Its inclusion in consumer discretionary indices underscores its importance in India’s play and education infrastructure space. The company‘s position as one of the few listed players in the organised toy segment, together with its diversified product basket, international manufacturing presence, and expansion into electric vehicles, makes it a consideration for long‑term allocations.
Ok Play share price receives influence from the company’s ownership structure. Ok Play India equity is held by a broad mix of promoters, institutional investors, and retail investors, reflecting its standing in India‘s plastic products sector. Promoters hold a stable majority stake, reflecting strong internal control. Foreign institutional investors hold a modest portion of the company’s shares. Domestic institutional investors maintain a small holding. Mutual funds hold a negligible stake. The public holds the remaining stake. This investor base, with stable promoter participation, underscores the company‘s role as a holding in both domestic and focused portfolios concentrating on plastic goods and toy manufacturing.
Beyond fundamentals and ownership, the stock is actively monitored in cash market segments, where trading volumes and delivery patterns reflect expectations on polymer prices, back‑to‑school demand, and regulatory policy actions. The stock is available for trading on both major Indian exchanges, allowing investors to take positions based on their outlook for the toy and plastic products sector. Market participants watch these trading indicators to gauge sentiment around quarterly results and policy announcements, such as changes in toy safety regulations or education spending.
Technical indicators provide additional insight into short‑term momentum shifts in Ok Play stock price. While these indicators are primarily used for near‑term trading decisions, they also help investors and portfolio managers understand broader market sentiment and anticipate potential volatility, especially around key events or announcements. In the short term and weekly timeframe, the stock has exhibited price movements that correlate with broader small‑cap sector trends. Based on available data, the stock’s beta indicates a certain level of volatility compared to the broader market. The company‘s debt levels reflect a moderate use of leverage. Return on equity and return on capital employed are at low levels, and the company’s book value per share serves as a reference point for valuation.
Overall, Ok Play India demonstrates a certain volatility profile compared to the broader market, with the stock generally considered to have above‑average systematic risk. This makes it more sensitive to broader market movements and sector‑specific factors such as raw material price fluctuations, consumer spending on toys, and educational infrastructure budgets.
Ok Play India Limited sector relevance stems from its over three‑decade presence in the plastic molded products industry since 1988, its position as a diversified manufacturer of toys, school furniture, playground equipment, point‑of‑purchase displays, automotive and infrastructure components, and electric vehicles, its two manufacturing facilities located in Haryana and Himachal Pradesh, an international facility in the United Kingdom, its ability to serve a wide range of customers from individual toy consumers to institutional buyers in education and municipal infrastructure, and its strategic diversification into hygiene safety products like disinfection booths and handwash stations, establishing it as a focused small‑cap plastic products provider supporting India’s consumer goods, education, and infrastructure ecosystem. Peer comparisons with companies like Cosco India Ltd., Mattel India, Funskool India, Mold‑Tek Packaging Ltd., and National Plastic Industries Ltd. focus on product mix, distribution reach, export presence, and value‑added product diversification rather than short‑term stock moves. These benchmarks help investors assess operational scale, efficiency, and regulatory adherence. Institutional tracking of polymer price trends, retail demand for toys, and government education policies further highlights Ok Play India positioning within India‘s broader plastic products market.
Ok Play India market cap highlights its position as a small‑cap player within India’s plastic products sector. Based on recent data, the company‘s market capitalization fluctuates within a range depending on the reporting period. The market cap has moved in line with investor perceptions of the company’s growth potential following its diversification into electric vehicles and hygiene safety products. From earlier years through more recent periods, Ok Play India market cap showed an increasing trend as the company expanded into new product lines such as playground equipment and EV components, followed by phases of consolidation. This pattern reflects investor confidence during favourable industrial cycles, followed by contraction during challenging periods impacted by rising polymer costs and competitive pressures. This decrease mirrors the correction in the share price from its annual high to recent levels.
Ok Play India earnings trajectory demonstrates the impact of its operational execution in a competitive industry. In recent fiscal years, total income showed trends supported by the core toy and furniture business. The company‘s revenue from operations has shown growth from previous fiscal periods to more recent periods. Total income moved upward over the same period. Profit after tax has shown patterns aligned with demand cycles and cost structures. However, quarterly performance has shown variability, with total income in recent quarters rising compared to previous quarters and also compared to corresponding quarters of prior years. The company’s domestic sales have shown patterns in recent fiscal periods. Ok Play India earnings have faced headwinds from fluctuating polymer costs, competitive pressures, and changes in consumer demand. However, the company has expanded into higher‑margin EV components and hygiene safety products and has access to international markets through its UK facility. These developments illustrate the cyclical nature of the plastic products industry and the company‘s position within this sector.
Ok Play India EPS provides insight into its operational performance and income generation from toys, school furniture, playground equipment, and automotive components. The company reported certain levels of basic EPS in recent quarters that showed movement compared to previous quarters and corresponding quarters of prior years, indicating performance trends. The trailing twelve‑month EPS stands at certain levels depending on the reporting period. Ok Play India EPS for recent full fiscal years showed patterns compared to prior fiscal years, reflecting the impact of demand cycles and cost structures. The company has a face value per share and continues to be promoted by its founding management. More recent quarterly performance suggests that EPS has shown movement as the company benefits from an improved product mix and expansion into higher‑margin segments.
Ok Play India P/E ratio reflects how investors perceive the company‘s earnings relative to its revenue streams from toy sales, furniture, playground equipment, and EV components. Based on available data, the current P/E ratio stands at a certain level compared to the industry average. The company’s profit after tax has shown patterns from previous fiscal years to the most recent fiscal year. Quarterly performance has demonstrated movement, with profit after tax showing changes from earlier quarters to later quarters, accompanied by movement in total income on a quarter‑on‑quarter basis. Ok Play India P/E ratio reflects how market sentiment evolves alongside the company‘s operational performance in a competitive industry. The company’s earnings before interest and taxes for recent quarters stood at certain levels reflecting operating efficiency. The net profit margin has shown movement in recent quarters compared to same quarters of prior years, indicating how the company manages cost structures and pricing power in a competitive plastic products market.
Ok Play India Limited operates as a small‑cap plastic products manufacturer with a history dating back to 1988. Ok Play share price gets influenced by retail demand for toys, school infrastructure spending, polymer costs, and the company‘s product diversification success. The company’s wide range of plastic molded products, its international manufacturing presence in the UK, and its expansion into electric vehicles and hygiene products support its market position. Ok Play stock price reflects operational execution within the cyclical plastic goods sector. The ownership structure shows stable promoter holding with modest institutional participation and a significant retail majority.
| Held By | Dec 2024 | Mar 2025 | Jun 2025 | Sep 2025 | Dec 2025 | Mar 2026 |
|---|---|---|---|---|---|---|
| Promoter | 50.4 | 48.4 | 47.7 | 47.5 | 47.5 | 47.5 |
| FII | 8.3 | 8.2 | 0 | 0 | 0 | 0 |
| DII | 6.3 | 6.1 | 13.2 | 13.2 | 13.2 | 13.2 |
| Public | 35.1 | 37.3 | 39.1 | 39.3 | 39.3 | 39.3 |
| Period | Combined Delivery Volume | NSE+BSE Traded Volume Avg | Daily Avg Delivery Volume % |
|---|---|---|---|
| Day | 1.11 L | 1.11 L | 100.00% |
| Week | 1.8 L | 1.8 L | 100.00% |
| 1 Month | 1.84 L | 1.84 L | 100.00% |
| 6 Month | 3.68 L | 4.42 L | 83.32% |
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Top Gainers
Ex-Date | Dividend Amount | Dividend Type | Record Date | Instrument Type |
|---|---|---|---|---|
| No Record Found | ||||
Financials | ||||||
|---|---|---|---|---|---|---|
| Price (₹) | ₹59.40 | ₹85.99 | ₹34.43 | ₹322 | ₹64.50 | ₹29.49 |
| % Change | -4.96% | -0.00% | -0.17% | -0.23% | -2.27% | -2.42% |
| Revenue TTM (₹ Cr) | - | - | - | - | - | ₹199.95 |
| Net Profit TTM (₹ Cr) | - | - | - | - | - | ₹-12.74 |
| PE TTM | 13.80 | 9.00 | 5.60 | 23.10 | 9.90 | -4.40 |
| 1 Year Return | -45.2 | |||||
| ROCE | - | - | - | 18.67 | 19.06 | - |
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