Bhansali Engineering Polymers Falls to 52-Week Low of Rs.90.2 Amidst Market Headwinds

Nov 25 2025 10:45 AM IST
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Bhansali Engineering Polymers touched a new 52-week low of Rs.90.2 today, marking a significant price level for the specialty chemicals company as it continues to navigate a challenging market environment. The stock’s recent performance contrasts with broader market trends, reflecting a combination of financial metrics and sector dynamics.



Stock Price Movement and Market Context


On 25 Nov 2025, Bhansali Engineering Polymers recorded its lowest price in the past year at Rs.90.2. This level comes after a sequence of declines, although the stock showed a modest gain today, outperforming its sector by 0.67%. Despite this short-term uptick, the share price remains below all key moving averages, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages, indicating sustained downward pressure over multiple time frames.


In contrast, the broader market has demonstrated resilience. The Sensex opened 108.22 points higher and was trading at 85,033.26, just 0.9% shy of its 52-week high of 85,801.70. The index is supported by bullish moving averages, with the 50-day moving average positioned above the 200-day moving average, and mega-cap stocks leading gains. This divergence highlights the specific challenges faced by Bhansali Engineering Polymers within the specialty chemicals sector.



Financial Performance and Growth Trends


Bhansali Engineering Polymers’ financial data over recent periods reveals subdued growth and some areas of concern. The company’s net sales for the quarter stood at Rs.325.10 crores, reflecting a decline of 11.4% compared to previous quarters. Over the last five years, net sales have shown a compound annual growth rate of 7.58%, which is modest relative to sector peers.


Operating cash flow for the year was reported at Rs.108.75 crores, marking the lowest level in recent years. Additionally, the debtors turnover ratio for the half-year period was 0.57 times, indicating slower collection efficiency. These figures suggest pressures on both revenue generation and working capital management.




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Long-Term and Recent Returns


The stock’s performance over the past year has been notably below market benchmarks. Bhansali Engineering Polymers has delivered a return of -26.12% over the last 12 months, while the Sensex has recorded a positive return of 6.12% during the same period. This underperformance extends to the medium term as well, with the stock lagging behind the BSE500 index over the last three years, one year, and three months.


Despite the company’s size, domestic mutual funds hold a minimal stake of just 0.01%. This limited exposure may reflect a cautious stance from institutional investors, who typically conduct detailed research before committing capital.



Balance Sheet and Valuation Metrics


Bhansali Engineering Polymers maintains a low average debt-to-equity ratio, effectively at zero, which indicates a conservative capital structure with limited reliance on external borrowings. The company’s return on equity (ROE) stands at 16%, a figure that suggests reasonable profitability relative to shareholder funds.


Valuation metrics show the stock trading at a price-to-book value of 2.2, which is lower than the historical average for its peer group. This discount may reflect the market’s assessment of the company’s growth prospects and recent financial results. Additionally, the stock offers a dividend yield of approximately 4.4% at the current price, which is relatively high within the specialty chemicals sector.




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Sector and Industry Considerations


Operating within the specialty chemicals industry, Bhansali Engineering Polymers faces competitive pressures and market dynamics that influence its pricing power and sales volumes. The sector itself has seen varied performance, with some companies benefiting from demand growth while others contend with margin pressures and fluctuating raw material costs.


The company’s 52-week high was Rs.157.5, indicating a substantial decline of approximately 43% from that peak to the current 52-week low. This range underscores the volatility experienced by the stock over the past year.



Summary of Key Financial Indicators


To summarise, Bhansali Engineering Polymers’ recent financial and market data include:



  • New 52-week low price of Rs.90.2

  • Net sales for the quarter at Rs.325.10 crores, down 11.4%

  • Operating cash flow for the year at Rs.108.75 crores, lowest in recent years

  • Debtors turnover ratio at 0.57 times for the half-year

  • Return on equity at 16%

  • Price-to-book value of 2.2

  • Dividend yield of 4.4%

  • Debt-to-equity ratio effectively zero

  • One-year stock return of -26.12% versus Sensex’s 6.12%



These figures provide a comprehensive view of the company’s current standing within its sector and the broader market.






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