Go Fashion (India) Stock Falls to 52-Week Low of Rs.499

Dec 03 2025 10:11 AM IST
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Go Fashion (India) shares reached a new 52-week low of Rs.499 today, marking a significant decline amid broader market fluctuations and ongoing sector pressures. The stock's performance contrasts sharply with the benchmark Sensex, which remains close to its 52-week high.



Stock Price Movement and Market Context


On 3 December 2025, Go Fashion (India) recorded its lowest price in the past year at Rs.499, a level not seen before in its trading history. This price point represents a substantial drop from its 52-week high of Rs.1,152, reflecting a decline of over 56% within the last twelve months. The stock underperformed its sector by 0.41% on the day, with a day change of -1.64%.


In contrast, the Sensex opened flat with a marginal gain of 12.37 points but subsequently declined by 375.34 points, closing at 84,775.30, down 0.43%. Despite this dip, the Sensex remains 1.63% below its 52-week high of 86,159.02 and continues to trade above its 50-day moving average, which itself is positioned above the 200-day moving average, indicating a generally bullish trend for the broader market.


Go Fashion (India) 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 in its share price over multiple time frames.




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Financial Performance and Key Metrics


Over the past year, Go Fashion (India) has delivered a return of -55.66%, a stark contrast to the Sensex's 4.89% gain during the same period. The stock has consistently underperformed the BSE500 index across the last three annual periods, highlighting a trend of relative weakness within its sector and the broader market.


The company reported flat results in the half-year period ending September 2025, with a Return on Capital Employed (ROCE) at 12.88%, which is the lowest recorded in the recent half-year data. Additionally, the Debtors Turnover Ratio stood at 6.86 times, also the lowest in the half-year period, indicating a slower collection cycle compared to previous periods.


Despite these figures, Go Fashion (India) maintains a high management efficiency with a ROCE of 15.78% in other assessments, suggesting that the company has demonstrated effective capital utilisation in certain periods. The company’s ability to service debt remains strong, with a low Debt to EBITDA ratio of 1.01 times, reflecting manageable leverage levels.


Operating profit has shown a compound annual growth rate of 61.43%, signalling healthy long-term growth in earnings before interest and taxes. The valuation metrics reveal an Enterprise Value to Capital Employed ratio of 2.8, which is considered very attractive and indicates that the stock is trading at a discount relative to its peers’ historical valuations.


Profit growth over the past year was modest at 3%, while the Price/Earnings to Growth (PEG) ratio stands at 10.4, reflecting the relationship between the company’s price, earnings, and growth rate.



Shareholding and Institutional Interest


Institutional investors hold a significant stake in Go Fashion (India), with 44.24% of shares owned by such entities. This level of institutional holding suggests that investors with greater analytical resources and market insight maintain exposure to the company, despite the recent price decline.




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Sector and Industry Overview


Go Fashion (India) operates within the Garments & Apparels industry and sector, which has experienced varied performance across different companies. The stock’s recent price action contrasts with the broader market’s relative strength, as indicated by the Sensex’s proximity to its 52-week high and its bullish moving averages.


The company’s current trading below all major moving averages suggests that it is facing downward pressure not only from market sentiment but also from technical indicators. This persistent trend over multiple time frames highlights the challenges the stock has encountered in regaining upward momentum.



Summary of Key Price and Performance Indicators


To summarise, Go Fashion (India) has reached a new low of Rs.499, marking a significant decline from its 52-week high of Rs.1,152. The stock’s performance over the last year shows a return of -55.66%, underperforming the Sensex by nearly 60 percentage points. Key financial ratios such as ROCE and Debtors Turnover Ratio have shown lower values in recent periods, while operating profit growth remains robust at an annual rate of 61.43%.


Institutional ownership remains substantial, and valuation metrics indicate the stock is trading at a discount relative to peers. However, the stock’s position below all major moving averages and its consistent underperformance against benchmarks over the past three years reflect ongoing market challenges.



Technical and Market Sentiment Considerations


The stock’s trading below the 5-day, 20-day, 50-day, 100-day, and 200-day moving averages signals a sustained bearish trend. This technical positioning often influences market sentiment and can affect short-term trading dynamics. Meanwhile, the broader market’s resilience, as seen in the Sensex’s performance, underscores a divergence between Go Fashion (India) and the general market trend.



Conclusion


Go Fashion (India) has experienced a notable decline to its 52-week low of Rs.499 amid a market environment where the benchmark indices remain relatively strong. The company’s financial metrics present a mixed picture, with some indicators reflecting challenges while others suggest operational strengths. The stock’s current technical position and historical underperformance highlight the complexities faced by the company in the current market cycle.






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