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BASF India Stock Falls to 52-Week Low of Rs.4042.55 Amidst Market Pressure
BASF India has reached a new 52-week low of Rs.4042.55, marking a significant decline in its share price amid broader market movements and company-specific financial trends. The stock has underperformed its sector and the broader market over the past year, reflecting a series of quarterly results and valuation factors.
BASF India Stock Falls to 52-Week Low Amidst Continued Earnings Pressure
BASF India has reached a new 52-week low, closing at Rs 4,076.75, marking a significant decline in the stock price amid ongoing financial headwinds and subdued market performance within the specialty chemicals sector.
Why is BASF India falling/rising?
As of 01-Dec, BASF India Ltd’s stock price has been on a downward trajectory, reflecting a series of disappointing financial results and sustained underperformance relative to the broader market indices.
BASF India Sees Revision in Market Evaluation Amidst Challenging Financial Trends
BASF India has experienced a revision in its market evaluation reflecting recent shifts in its financial and technical outlook. The specialty chemicals company’s assessment metrics have been adjusted following a series of quarterly results and market performance indicators that suggest a more cautious stance among investors.
Why is BASF India falling/rising?
As of 17-Nov, BASF India Ltd is priced at 4,382.10, down 0.71%. The stock has underperformed significantly, with a year-to-date decline of 21.56% compared to the Sensex's gain, driven by negative financial results over the last four quarters.
BASF India Q2 FY26: Margin Pressures Mount Amid Challenging Operating Environment
BASF India Limited, the flagship Indian entity of the German chemicals giant, reported a net profit of ₹107.15 crores for Q2 FY26, marking a sequential decline of 22.02% from Q1 FY26's ₹137.40 crores and a year-on-year contraction of 16.24% from ₹127.93 crores in Q2 FY25. The ₹19,558 crore market capitalisation company continues to grapple with margin compression, with its stock price declining 2.44% following the results announcement, closing at ₹4,406.20 on November 14, 2025.
How has been the historical performance of BASF India?
BASF India has shown significant growth in net sales, increasing from 1,626.99 crore in March 2010 to 15,260.00 crore in March 2025. However, profit metrics like operating profit, profit before tax, and earnings per share have fluctuated, indicating mixed performance despite overall revenue growth.
Is BASF India overvalued or undervalued?
As of October 17, 2025, BASF India is considered undervalued with an attractive valuation grade, supported by a PE ratio of 47.93, an EV to EBITDA ratio of 28.64, and a strong long-term return of 219.85%, despite a year-to-date underperformance of -18.91% compared to the Sensex.
Is BASF India overvalued or undervalued?
As of October 17, 2025, BASF India is considered undervalued with an attractive valuation grade, featuring a PE ratio of 47.93, an EV to EBITDA of 28.64, and a ROCE of 20.00%, despite a year-to-date stock performance of -18.91% compared to the Sensex's 7.44%.
Is BASF India overvalued or undervalued?
As of October 17, 2025, BASF India is considered undervalued with an attractive valuation grade, featuring a PE ratio of 47.93 and an EV to EBITDA of 28.64, despite a year-to-date return of -18.91%, suggesting potential upside in the specialty chemicals sector.
Is BASF India overvalued or undervalued?
As of October 13, 2025, BASF India's valuation has improved to attractive despite a year-to-date return of -19.11%, indicating it may be undervalued with strong fundamentals compared to peers like UPL and Bayer CropScience.
Is BASF India technically bullish or bearish?
As of October 10, 2025, BASF India is in a bearish trend with moderate strength, indicated by bearish MACD, moving averages, and Bollinger Bands on the weekly chart, along with a mildly bearish monthly outlook per Dow Theory.
BASF India Faces Technical Trend Shifts Amidst Market Challenges and Volatility
BASF India, a specialty chemicals company, has faced significant challenges, with a one-year return of -43.47%, contrasting with the Sensex's modest gain. Despite recent bearish indicators, the company has shown resilience over five years, outperforming the Sensex, indicating potential for recovery in its stock performance.
Is BASF India technically bullish or bearish?
As of October 10, 2025, the technical trend is bearish with moderate strength, indicated by a bearish MACD, Bollinger Bands, and moving averages, alongside significant underperformance against the Sensex.
Is BASF India technically bullish or bearish?
As of October 10, 2025, the technical trend is bearish with moderate strength, indicated by bearish MACD, moving averages, and Bollinger Bands, alongside significant underperformance compared to the Sensex.
Is BASF India technically bullish or bearish?
As of October 3, 2025, the market trend is mildly bearish, indicated by bearish signals from the MACD and KST on both weekly and monthly charts, along with Bollinger Bands and moving averages reflecting similar trends.
BASF India Faces Mixed Technical Trends Amidst Market Evaluation Revision
BASF India, a small-cap specialty chemicals firm, has seen its stock price rise recently, outperforming the Sensex over the past week. Despite a year-to-date decline, the company has achieved significant long-term growth, demonstrating resilience in navigating market fluctuations compared to broader market indices.
Is BASF India overvalued or undervalued?
As of October 1, 2025, BASF India is fairly valued with a PE ratio of 48.72 and has underperformed with a year-to-date return of -17.57%, making it less attractive compared to its peers in the specialty chemicals sector.
BASF India Adjusts Valuation Amidst Significant Underperformance in Specialty Chemicals Sector
BASF India, a small-cap specialty chemicals company, has recently adjusted its valuation, with its stock price reflecting a notable change. Over the past year, it has underperformed compared to the Sensex. Key financial metrics indicate competitive positioning, while long-term returns show substantial growth relative to the broader market.
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