Odigma Consultancy Solutions Ltd Hits All-Time Low Amidst Continued Downtrend

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Shares of Odigma Consultancy Solutions Ltd have declined to an all-time low, reflecting a sustained period of underperformance relative to the broader market and its sector peers. The stock’s recent price action underscores significant challenges faced by the company within the Computers - Software & Consulting industry.
Odigma Consultancy Solutions Ltd Hits All-Time Low Amidst Continued Downtrend



Stock Performance Overview


On 12 Jan 2026, Odigma Consultancy Solutions Ltd closed just 0.34% above its 52-week low of ₹29, marking a critical juncture in its price trajectory. The stock has underperformed the Computers - Software & Consulting sector by 1.31% on the day, closing down 2.62%, compared to the Sensex’s decline of 0.50%. This marks the third consecutive day of losses, with a cumulative decline of 7.47% over this short span.


Examining broader timeframes, the stock’s performance remains subdued. Over the past week, it has fallen 8.61%, significantly lagging the Sensex’s 2.67% decline. The one-month return stands at -10.70%, while the three-month performance is notably weak at -28.63%, contrasting with the Sensex’s modest 0.80% gain. The one-year return is particularly stark, with the stock down 49.39%, whereas the Sensex has appreciated by 7.47% over the same period.


Longer-term figures reveal a flat return over three, five, and ten years, with the stock failing to register any growth, while the Sensex has delivered robust gains of 38.69%, 67.94%, and 236.92% respectively. This persistent underperformance highlights the stock’s inability to keep pace with broader market advances.



Technical Indicators and Valuation Metrics


Odigma Consultancy Solutions Ltd is currently trading below all key moving averages, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages. This technical positioning suggests a bearish trend with limited short-term support levels. The stock’s valuation appears risky when compared to its historical averages, reflecting investor caution amid ongoing price declines.




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Financial Performance and Profitability


The company’s recent quarterly results indicate subdued profitability. Operating profit to net sales ratio has declined to -0.48%, signalling negative operating margins. Quarterly PBDIT (Profit Before Depreciation, Interest and Taxes) stood at a low of ₹-0.06 crore, while PBT (Profit Before Tax) less other income was recorded at ₹-0.18 crore, both reflecting losses in the latest quarter.


Return on Equity (ROE) remains low at 0.77%, indicating limited profitability generated per unit of shareholders’ funds. This figure is a key factor in the company’s current Mojo Grade of Sell, which was downgraded from Strong Sell on 30 May 2025. The Mojo Score stands at 31.0, reflecting weak fundamentals relative to peers.



Risk and Valuation Considerations


Despite the negative returns and losses, the company has reported a 34% increase in profits over the past year, suggesting some improvement in earnings. However, this has not translated into positive stock performance. The company’s average debt-to-equity ratio remains at zero, indicating a conservative capital structure with no reliance on debt financing.


Majority shareholding is held by non-institutional investors, which may influence liquidity and trading dynamics. The stock’s underperformance relative to the BSE500 index over one year, three months, and three years further emphasises its challenges in delivering shareholder value.




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Long-Term Growth Trends


While recent performance has been disappointing, the company has demonstrated healthy long-term growth in operating profit, with an annualised growth rate of 72.00%. This growth metric indicates that the company has expanded its core earnings capacity over time, despite current profitability pressures.


However, this growth has not been sufficient to offset the stock’s prolonged price decline and underperformance against market benchmarks. The absence of returns over three, five, and ten years contrasts sharply with the broader market’s substantial gains, underscoring the stock’s relative weakness.



Summary of Current Standing


Odigma Consultancy Solutions Ltd’s stock has reached an unprecedented low, reflecting a combination of weak price momentum, negative quarterly profitability, and low returns on equity. The company’s conservative debt profile and long-term operating profit growth provide some context to its financial position, yet these factors have not translated into positive market sentiment or price appreciation.


Trading below all major moving averages and significantly lagging the Sensex and sector indices, the stock remains under close observation for any shifts in trend or valuation. The downgrade in Mojo Grade from Strong Sell to Sell in May 2025 further highlights the cautious stance adopted by market analysts.






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