Tejas Networks Falls to 52-Week Low of Rs.479.25 Amidst Prolonged Downtrend

Nov 25 2025 10:52 AM IST
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Tejas Networks has reached a new 52-week low of Rs.479.25 today, marking a significant decline amid a sustained downward trend over the past six trading sessions. The stock’s recent performance contrasts sharply with broader market gains, reflecting ongoing pressures within the company’s financial and operational metrics.



Stock Performance and Market Context


Tejas Networks, operating in the Telecom - Equipment & Accessories sector, has experienced a consecutive six-day decline, resulting in a cumulative return of -7.6% during this period. The stock currently trades below all key moving averages, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages, signalling persistent weakness in price momentum.


In comparison, the broader market has shown resilience. The Sensex opened at 85,008.93 points, registering a gain of 108.22 points (0.13%) and is trading near its 52-week high of 85,801.70, just 1% shy of that peak. Mid-cap stocks have also led the market with the BSE Mid Cap index gaining 0.13% today. This divergence highlights the challenges faced by Tejas Networks relative to the overall market environment.



Financial Overview and Recent Results


The company’s financial results have underscored the difficulties it is encountering. For the quarter ended September 2025, Tejas Networks reported net sales of Rs.261.82 crores, reflecting a sharp decline of approximately 90.7% compared to previous periods. This steep fall in revenue has contributed to negative operating profits, with the operating profit to interest ratio registering at -3.48 times, indicating that operating earnings are insufficient to cover interest expenses.


Additionally, the company’s debt-equity ratio for the half-year period stands at 11.34 times, pointing to a high level of leverage. The debt to EBITDA ratio is also elevated at 12.63 times, suggesting limited capacity to service debt from earnings before interest, tax, depreciation, and amortisation. These figures collectively illustrate the financial strain the company is under.




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Long-Term and Recent Performance Trends


Over the past year, Tejas Networks has recorded a total return of -63.03%, a stark contrast to the Sensex’s positive return of 6.03% over the same period. The stock’s 52-week high was Rs.1,403.15, underscoring the extent of the decline to the current low of Rs.479.25. This underperformance extends beyond the last year, with the stock lagging the BSE500 index over one, three months, and three years.


Return on equity (ROE) averages at 2.99%, indicating modest profitability relative to shareholders’ funds. The company’s operating losses and weak long-term fundamental strength have contributed to this subdued profitability. Furthermore, the company has reported negative results for two consecutive quarters, reinforcing the downward trend in financial health.



Valuation and Risk Considerations


Tejas Networks is currently trading at valuations that are considered risky when compared to its historical averages. The combination of declining profits, high leverage, and negative operating margins has placed the stock under pressure. Over the past year, profits have fallen by approximately 189.6%, further emphasising the challenges faced by the company in maintaining earnings stability.


The stock’s performance relative to its sector peers and the broader market suggests that it is navigating a difficult phase, with financial metrics reflecting the strain on its business model and capital structure.




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Shareholding and Sector Position


The majority shareholding in Tejas Networks remains with the promoters, maintaining a stable ownership structure. The company operates within the Telecom - Equipment & Accessories sector, which has seen mixed performance across its constituents. While the sector overall has experienced some positive momentum, Tejas Networks’ stock price trajectory has diverged, reflecting company-specific factors.


Despite the broader market’s bullish signals, including the Sensex trading above its 50-day moving average and the 50 DMA positioned above the 200 DMA, Tejas Networks continues to face headwinds that have contributed to its current valuation and price levels.



Summary of Key Metrics


To summarise, the stock’s new 52-week low of Rs.479.25 comes after a sustained period of price weakness and financial strain. Key metrics include:



  • Net sales for the latest quarter at Rs.261.82 crores, down by 90.7%

  • Operating profit to interest ratio at -3.48 times

  • Debt-equity ratio at 11.34 times for the half-year

  • Debt to EBITDA ratio at 12.63 times

  • Return on equity averaging 2.99%

  • One-year stock return of -63.03% versus Sensex’s 6.03%


These figures illustrate the financial and market challenges that have coincided with the stock’s decline to its current low.






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