Cropster Agro Ltd Stock Falls to 52-Week Low of Rs.10

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Cropster Agro Ltd’s shares touched a fresh 52-week low of Rs.10 today, marking a significant decline amid broader market weakness and sector underperformance. The stock’s fall reflects a challenging year for the packaging company, which has seen its market value and price metrics deteriorate despite some positive financial results.
Cropster Agro Ltd Stock Falls to 52-Week Low of Rs.10

Stock Performance and Market Context

On 27 Feb 2026, Cropster Agro Ltd (Stock ID: 516220) recorded a day change of -8.61%, underperforming its packaging sector by 9.35%. The stock’s new 52-week low of Rs.10 contrasts sharply with its 52-week high of Rs.32.1, representing a decline of nearly 69%. Over the past year, Cropster Agro’s share price has fallen by 46.80%, while the Sensex has gained 8.89% and the broader BSE500 index has risen 13.57%. This divergence highlights the stock’s relative weakness within the market and its sector.

Cropster Agro is currently 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 itself experienced a sharp fall on the same day, dropping 973.08 points (-1.22%) to 81,247.40 after opening flat, with the index trading below its 50-day moving average, though the 50DMA remains above the 200DMA.

Valuation and Financial Metrics

The company’s valuation metrics have raised concerns among market participants. Cropster Agro’s price-to-book (P/B) ratio stands at a high 8.2, which is considered expensive relative to its return on equity (ROE) of 13.4%. The price-to-earnings-to-growth (PEG) ratio is 3.7, indicating that the stock’s price growth expectations are not fully aligned with its earnings growth, which has increased by 17% over the past year.

Despite the company’s positive earnings trajectory, the stock’s performance has not reflected these gains. The market capitalisation grade for Cropster Agro is rated 4, suggesting a relatively small market cap compared to peers. The Mojo Score, a composite measure of fundamentals and momentum, has deteriorated to 36.0, resulting in a downgrade from a Hold to a Sell rating on 12 Dec 2025.

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Shareholding and Market Interest

Domestic mutual funds currently hold no stake in Cropster Agro Ltd, which is notable given their capacity for detailed research and due diligence. This absence of institutional interest may reflect caution regarding the company’s valuation or business prospects at current price levels. The lack of mutual fund participation contrasts with the broader market trend, where institutional investors often play a stabilising role.

Operational and Financial Highlights

Cropster Agro maintains a low average debt-to-equity ratio of zero, indicating a debt-free capital structure. The company has reported positive results for nine consecutive quarters, with quarterly PBDIT and PBT (excluding other income) reaching highs of Rs.4.37 crore. Additionally, the debtors turnover ratio for the half-year period stands at 3.59 times, reflecting efficient receivables management.

These financial indicators suggest that while the company’s fundamentals show pockets of strength, the market has not rewarded the stock accordingly. The disparity between operational performance and share price movement underscores the challenges faced by Cropster Agro in regaining investor confidence.

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Sector and Industry Considerations

Operating within the packaging sector, Cropster Agro faces competitive pressures and market dynamics that have influenced its share price trajectory. The sector itself has experienced mixed performance, with some companies benefiting from increased demand and others facing headwinds. Cropster Agro’s relative underperformance compared to the sector and broader market indices highlights the challenges specific to the company’s positioning and valuation.

Summary of Key Metrics

To summarise, Cropster Agro Ltd’s stock has declined to Rs.10, its lowest level in 52 weeks, reflecting a 46.80% drop over the last year. The company’s valuation remains elevated with a P/B ratio of 8.2 and a PEG ratio of 3.7, despite a 17% increase in profits. The Mojo Score downgrade to Sell and absence of domestic mutual fund holdings further illustrate the cautious stance of market participants. Meanwhile, the company’s debt-free status and consistent quarterly profits provide a foundation of financial stability amid the share price weakness.

As of 27 Feb 2026, Cropster Agro Ltd’s market cap grade is 4, and the Mojo Grade is Sell, reflecting the current assessment of its market standing and fundamentals. The stock’s trading below all major moving averages signals continued downward pressure in the near term.

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