Stock Price Movement and Market Context
On 4 December 2025, Bloom Dekor’s share price touched Rs.9.01, the lowest level recorded in the past year. This new low comes after two consecutive days of declines, during which the stock has registered a cumulative return of -9.26%. The day’s performance showed a drop of 4.56%, underperforming the Plastic Products - Industrial sector by 5.1%. The stock is trading below all key moving averages, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages, signalling sustained bearish momentum.
In contrast, the broader market displayed resilience. The Sensex, after an initial negative opening down by 119.25 points, rebounded to close 0.3% higher at 85,365.87 points. The index remains close to its 52-week high of 86,159.02, trading above its 50-day and 200-day moving averages, supported by gains in mega-cap stocks. This divergence highlights the relative weakness of Bloom Dekor compared to the overall market environment.
Financial Performance and Key Metrics
Bloom Dekor’s financial indicators over recent years provide insight into the challenges faced by the company. The stock’s one-year return stands at -36.77%, contrasting with the Sensex’s positive 5.44% return over the same period. This underperformance extends over multiple years, with the stock trailing the BSE500 index in each of the last three annual periods.
The company’s net sales have shown a negative compound annual growth rate of approximately -31.92% over the past five years, while operating profit has remained flat at 0% growth. These figures suggest limited expansion in revenue and stagnant profitability. Additionally, the company’s book value is negative, indicating a weak long-term fundamental position.
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Debt and Cash Flow Considerations
Bloom Dekor’s financial structure also presents concerns. The company is classified as a high-debt entity, with an average debt-to-equity ratio of zero, which may reflect accounting nuances but suggests leverage considerations. Operating cash flow for the fiscal year ending September 2025 was recorded at a low of Rs.-0.24 crore, indicating limited cash generation from core business activities.
Moreover, the debtors turnover ratio for the half-year period stands at 5.73 times, one of the lowest in recent assessments. This metric points to slower collection cycles, which can impact liquidity and working capital management.
Profitability and Valuation Trends
The company’s earnings before interest, taxes, depreciation, and amortisation (EBITDA) have been negative, contributing to a perception of elevated risk relative to historical valuation averages. Over the past year, profits have declined by approximately 8%, compounding the challenges faced by the stock price.
Bloom Dekor’s 52-week high was Rs.15.80, indicating a substantial reduction in market valuation over the year. This decline reflects the cumulative impact of subdued sales growth, flat operating profit, and cash flow constraints.
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Shareholding and Sector Position
Bloom Dekor operates within the Plastic Products - Industrial sector, which has seen mixed performance relative to broader market indices. The company’s majority shareholding rests with promoters, indicating concentrated ownership. This structure can influence strategic decisions and market perceptions.
Despite the sector’s overall trends, Bloom Dekor’s stock has not aligned with positive market movements, as evidenced by its persistent underperformance against the Sensex and sector benchmarks.
Summary of Key Price and Performance Indicators
To summarise, Bloom Dekor’s stock price has declined to Rs.9.01, marking a 52-week low and reflecting a year-long return of -36.77%. The stock’s trading below all major moving averages and its underperformance relative to the Sensex’s 5.44% gain over the same period highlight ongoing challenges. Financial metrics such as negative book value, flat operating profit growth, low operating cash flow, and negative EBITDA contribute to the current market valuation.
While the broader market, led by mega-cap stocks, has shown resilience and positive momentum, Bloom Dekor’s share price trajectory remains subdued, underscoring the divergence between the company’s performance and overall market trends.
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