Humming Bird Education Stock Falls to 52-Week Low of Rs.20.56

Dec 03 2025 10:10 AM IST
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Shares of Humming Bird Education touched a fresh 52-week low of Rs.20.56 today, marking a significant decline in the stock’s price over the past year. This new low reflects ongoing pressures faced by the company amid broader market fluctuations and sector-specific dynamics.



Stock Price Movement and Market Context


On 3 December 2025, Humming Bird Education’s stock recorded an intraday low of Rs.20.56, representing a fall of 4.99% on the day. The stock opened with a gap down of 2.96%, signalling a bearish sentiment from the outset of trading. Over the last 20 trading days, the stock did not trade on one occasion, indicating some irregularity in liquidity or trading interest.


The stock’s current price is substantially below its 52-week high of Rs.102, showing a decline of approximately 79.8% over the period. This contrasts sharply with the broader market benchmark, the Sensex, which has recorded a positive change of 4.91% over the same timeframe. The Sensex itself closed lower on the day by 0.43%, falling 375.34 points to 84,775.30, but remains close to its 52-week high of 86,159.02, trading just 1.63% below that level.


Humming Bird Education’s stock is trading below all key moving averages, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages. This technical positioning indicates sustained downward momentum over multiple time horizons.




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Financial Performance and Profitability Metrics


Over the past year, Humming Bird Education’s stock has delivered a return of -79.11%, a stark contrast to the Sensex’s positive performance. The company’s operating profits have shown a compound annual growth rate (CAGR) of -0.61% over the last five years, indicating a contraction in core earnings during this period.


The company’s ability to service its debt appears constrained, with an average EBIT to interest ratio of -0.25. This suggests that earnings before interest and tax have been insufficient to cover interest expenses on average, pointing to financial stress in meeting debt obligations.


Return on Equity (ROE) averaged 5.27%, reflecting modest profitability relative to shareholders’ funds. While this figure indicates some generation of returns, it remains low compared to typical benchmarks for sustainable profitability.


In the most recent quarter ending September 2021, the company reported flat results, underscoring a lack of significant growth momentum in the near term. The stock’s performance has also lagged behind the BSE500 index over the last three years, one year, and three months, highlighting persistent underperformance relative to a broad market universe.



Valuation and Profit Growth Considerations


Despite the stock’s price decline, the company’s ROE of 13.4% and a Price to Book Value ratio of 4.9 suggest a valuation that some may consider fair relative to its equity base. Over the past year, profits have risen by 50%, a notable increase amid the stock’s price contraction. The company’s PEG ratio stands at 0.1, indicating that profit growth relative to price is low, which may reflect market caution or other valuation factors.


These mixed signals from profitability and valuation metrics illustrate the complexity of the company’s current financial position and market perception.




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Sector and Industry Context


Humming Bird Education operates within the Other Consumer Services industry and sector, a segment that has experienced varied performance across companies. The stock’s underperformance relative to the sector by 4.07% on the day of the new low highlights challenges specific to the company rather than broader sector weakness alone.


The broader market environment, as reflected by the Sensex’s position above its 50-day and 200-day moving averages, remains relatively bullish. This divergence between the company’s stock and the market benchmark underscores the stock’s distinct trajectory within its sector.



Trading Patterns and Liquidity


Trading activity in Humming Bird Education has been somewhat erratic, with the stock not trading on one day out of the last 20 sessions. This irregularity may affect liquidity and price discovery, contributing to the stock’s volatility and downward pressure.


The consistent trading below all major moving averages further signals a lack of upward momentum and sustained selling pressure over multiple time frames.



Summary of Key Price and Performance Data


To summarise, the stock’s key price points and performance indicators include:



  • New 52-week and all-time low price of Rs.20.56

  • Intraday decline of 4.99% on 3 December 2025

  • Yearly return of -79.11% compared to Sensex’s 4.91%

  • Trading below all major moving averages (5, 20, 50, 100, 200 days)

  • Operating profit CAGR of -0.61% over five years

  • Average EBIT to interest ratio of -0.25

  • Average ROE of 5.27%

  • Profit growth of 50% over the past year despite stock price decline



These data points collectively illustrate the stock’s current position in the market and its financial standing.



Conclusion


Humming Bird Education’s stock reaching a 52-week low of Rs.20.56 marks a significant milestone in its recent price trajectory. The stock’s performance contrasts with broader market indices and reflects a combination of subdued financial metrics, valuation considerations, and trading patterns. While the company has shown some profit growth, the overall market assessment remains cautious, as evidenced by the stock’s position below key moving averages and its substantial decline over the past year.






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