Crompton Greaves Consumer Electricals Ltd Falls to 52-Week Low of Rs.217.5

Jan 30 2026 11:21 AM IST
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Crompton Greaves Consumer Electricals Ltd has reached a new 52-week low of Rs.217.5, marking a significant decline in its stock price amid broader market fluctuations and sector-specific dynamics.
Crompton Greaves Consumer Electricals Ltd Falls to 52-Week Low of Rs.217.5



Stock Performance and Market Context


On 30 Jan 2026, Crompton Greaves Consumer Electricals Ltd’s share price touched Rs.217.5, the lowest level recorded in the past year. This represents a substantial drop from its 52-week high of Rs.372.85, reflecting a year-to-date performance decline of 35.25%. In comparison, the Sensex has delivered a positive return of 6.89% over the same period, highlighting the stock’s underperformance relative to the broader market.


The stock’s decline today also contrasts with the Consumer Durables - Electronics sector, which gained 3.64%, while Crompton Greaves underperformed the sector by 3.46%. Additionally, 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 downward momentum.


The Sensex opened lower at 81,947.31, down 619.06 points (-0.75%), and was trading at 82,057.88 (-0.62%) during the day. The index itself is below its 50-day moving average, although the 50DMA remains above the 200DMA, indicating mixed signals in the broader market environment.



Financial Performance and Profitability Trends


Crompton Greaves Consumer Electricals Ltd’s financial metrics reveal a challenging period. The company reported a quarterly Profit After Tax (PAT) of Rs.86.19 crore in September 2025, which represents a decline of 34.5% compared to the previous four-quarter average. This drop in profitability has contributed to the negative sentiment surrounding the stock.


The company’s quarterly PBDIT stood at Rs.158.37 crore, marking the lowest level in recent periods. Furthermore, the Debtors Turnover Ratio for the half-year was recorded at 1.02 times, the lowest in its recent history, indicating slower collection efficiency and potential liquidity pressures.


Over the last five years, the company’s operating profit has grown at a modest annual rate of 3.50%, which is below expectations for a company in the Electronics & Appliances sector. This subdued growth trajectory has weighed on investor confidence and contributed to the stock’s downgrade from a Hold to a Sell rating on 16 May 2025, as reflected in its current Mojo Grade of 36.0.




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Long-Term and Relative Performance


In addition to the recent quarterly results, Crompton Greaves Consumer Electricals Ltd has underperformed the BSE500 index over multiple time frames, including the last three years, one year, and three months. This consistent underperformance has contributed to the stock’s current valuation challenges.


Despite the negative returns, the company maintains certain strengths. It boasts a high Return on Capital Employed (ROCE) of 29.59%, indicating efficient use of capital in generating earnings. The Return on Equity (ROE) stands at 14.4%, which is considered attractive within its sector.


The company’s average Debt to Equity ratio remains low at 0.08 times, reflecting a conservative capital structure and limited reliance on debt financing. This financial prudence provides a degree of stability amid the stock’s price volatility.



Valuation and Institutional Holding


Crompton Greaves Consumer Electricals Ltd is currently trading at a Price to Book Value of 4.2, which is lower than the historical average valuations of its peers. This discount suggests that the market is pricing in the company’s recent performance challenges.


Institutional investors hold a significant stake in the company, with 86.3% of shares owned by these entities. Such high institutional ownership indicates that well-resourced investors have substantial exposure to the stock, reflecting their assessment of the company’s fundamentals despite recent price declines.




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Summary of Key Metrics


The stock’s current Mojo Score of 36.0 and a Sell grade reflect the market’s cautious stance. The downgrade from Hold to Sell on 16 May 2025 followed the company’s subdued growth and recent earnings decline. The market capitalisation grade stands at 3, indicating a mid-tier valuation relative to peers.


While the company’s management efficiency remains high, as evidenced by its ROCE and low debt levels, the recent financial results and stock price performance have not met investor expectations. The stock’s trading below all major moving averages further underscores the prevailing downward trend.


Overall, Crompton Greaves Consumer Electricals Ltd’s stock reaching a 52-week low at Rs.217.5 highlights the challenges faced by the company in maintaining growth and profitability in a competitive sector environment.






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