Bloom Dekor’s Recent Price Movement
On 2 December 2025, Bloom Dekor's share price touched Rs.9.44, the lowest level recorded in the past 52 weeks. This price point is notably below its 52-week high of Rs.15.80, indicating a substantial contraction in market valuation over the period. Despite the stock outperforming its sector by 0.5% on the day of the new low, the overall trend remains downward.
The stock's trading activity has been somewhat erratic, with no trades recorded on two separate days within the last 20 trading sessions. Additionally, Bloom Dekor is currently trading below all key moving averages, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages, signalling persistent weakness in price momentum.
Market Context and Sector Comparison
While Bloom Dekor has experienced this decline, the broader market presents a contrasting picture. The Sensex opened lower by 316.39 points but is trading at 85,164.88, down 0.56% on the day. The index remains close to its 52-week high of 86,159.02, just 1.17% away, and is supported by bullish moving averages, with the 50-day moving average positioned above the 200-day moving average. This divergence highlights the stock's underperformance relative to the benchmark index.
Over the last year, Bloom Dekor's stock price has recorded a return of -34.02%, while the Sensex has shown a positive return of 6.12%. This gap emphasises the challenges faced by the company within its sector and the wider market environment.
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Financial Performance and Fundamental Indicators
Bloom Dekor's financial metrics over recent years provide insight into the pressures on its stock price. The company has reported a negative book value, indicating that its liabilities exceed its assets, which points to weak long-term fundamental strength. Net sales have shown a decline at an annual rate of approximately 31.92% over the last five years, while operating profit has remained flat during the same period.
Debt levels are notable, with the company classified as a high-debt entity despite an average debt-to-equity ratio of zero times, suggesting complexities in its capital structure. The operating cash flow for the fiscal year ending September 2025 was recorded at a low of Rs.-0.24 crore, reflecting limited cash generation from core activities.
Additionally, the debtors turnover ratio for the half-year period stands at 5.73 times, which is on the lower side, indicating slower collection of receivables. The company’s earnings before interest, taxes, depreciation and amortisation (EBITDA) have been negative, contributing to the perception of elevated risk in its financial profile.
Stock Valuation and Risk Profile
Bloom Dekor’s valuation metrics suggest that the stock is trading at levels considered risky relative to its historical averages. Over the past year, the stock’s return of -34.02% has been accompanied by an 8% decline in profits, underscoring the challenges in maintaining profitability. The stock has underperformed the BSE500 index over the last three years, one year, and three months, reflecting persistent difficulties in both long-term and near-term performance.
Trading below all major moving averages further emphasises the subdued market sentiment towards the stock. The lack of upward momentum in price and the negative financial indicators contribute to the cautious stance observed in the market.
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Shareholding and Corporate Structure
The majority shareholding in Bloom Dekor is held by promoters, which indicates concentrated ownership. This structure can influence corporate governance and strategic decisions, although no recent changes in shareholding patterns have been reported.
Given the company’s current financial and market position, the stock’s movement to a 52-week low reflects a combination of subdued sales growth, constrained profitability, and valuation pressures. These factors collectively contribute to the stock’s performance relative to its sector and the broader market.
Summary of Key Price and Performance Metrics
Bloom Dekor’s 52-week low of Rs.9.44 stands in stark contrast to its 52-week high of Rs.15.80. The stock’s one-year return of -34.02% contrasts with the Sensex’s positive 6.12% return over the same period. Trading below all major moving averages and experiencing erratic trading days further characterises the stock’s current market behaviour.
Financial indicators such as negative book value, flat operating profit over five years, low operating cash flow, and negative EBITDA highlight the challenges faced by the company. These elements have contributed to the stock’s subdued valuation and price trajectory.
Investors and market participants observing Bloom Dekor’s price action will note the divergence from broader market trends and the persistent downward pressure on the stock’s valuation.
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