Weizmann Ltd Stock Falls to 52-Week Low of Rs 82.55

Jan 23 2026 10:41 AM IST
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Weizmann Ltd, a player in the Garments & Apparels sector, recorded a fresh 52-week low of Rs.82.55 today, marking a significant decline in its stock price amid a broader market environment that remains relatively stable. The stock underperformed its sector by 3.31% and opened with a gap down of 3.68%, reflecting ongoing pressures on the company’s valuation and performance metrics.
Weizmann Ltd Stock Falls to 52-Week Low of Rs 82.55



Stock Price Movement and Market Context


On 23 Jan 2026, Weizmann Ltd’s shares opened and traded at Rs.82.55, hitting the lowest price level in the past year. This level is substantially below its 52-week high of Rs.142, representing a decline of approximately 41.9% from that peak. The stock’s performance today was notably weaker than the broader Garments & Apparels sector, which saw more modest movements. Despite the Sensex opening flat and trading near its 52-week high, Weizmann’s shares continued to trend lower, trading below all key moving averages including the 5-day, 20-day, 50-day, 100-day, and 200-day averages, signalling sustained downward momentum.



Long-Term Performance and Valuation Concerns


Over the last twelve months, Weizmann Ltd’s stock has declined by 34.87%, a stark contrast to the Sensex’s positive return of 7.53% over the same period. This underperformance extends beyond the short term, with the stock lagging the BSE500 index across one-year, three-month, and three-year horizons. The company’s valuation metrics further highlight challenges; it trades at a Price to Book Value of 2.1, which is considered expensive relative to its peers’ historical averages. Additionally, the company’s Return on Equity (ROE) stands at a negative 5.5%, indicating that the company has not been generating adequate returns on shareholder capital.



Financial Growth and Profitability Trends


Weizmann Ltd’s long-term growth rates have been modest, with net sales increasing at an annualised rate of 9.40% and operating profit growing at 14.78% over the past five years. However, recent profitability figures have been less encouraging. The company’s profits have contracted sharply, with a decline of 147.6% over the past year. This steep fall in profitability has contributed to the stock’s subdued performance and valuation pressures.




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Debt Position and Cash Flow Highlights


Despite the challenges in profitability and stock performance, Weizmann Ltd maintains a relatively strong debt servicing capacity. The company’s Debt to EBITDA ratio is a low 0.58 times, indicating manageable leverage levels. Furthermore, the latest financial results for the six months ending September 2025 show some positive cash flow indicators. Operating cash flow for the year reached Rs.13.68 crores, the highest recorded in recent periods. Net sales for the latest six months stood at Rs.65.87 crores, reflecting a growth rate of 25.66%, while profit after tax (PAT) improved to Rs.3.19 crores in the same period. These figures suggest some operational resilience despite the broader downward trend in stock price and profitability.



Shareholding and Market Grade Update


The majority shareholding in Weizmann Ltd remains with the promoters, maintaining a stable ownership structure. From a market grading perspective, the company’s Mojo Score currently stands at 37.0, with a Mojo Grade of Sell, downgraded from Hold as of 29 Jul 2025. The Market Cap Grade is rated 4, reflecting the company’s micro-cap status within the Garments & Apparels sector. This grading aligns with the stock’s recent price action and fundamental challenges.




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Sector and Market Comparison


While Weizmann Ltd’s stock has declined sharply, the broader market environment has shown relative strength. The Sensex opened at 82,335.94 points and traded near this level, only 4.68% below its 52-week high of 86,159.02. Mid-cap stocks led the market gains, with the BSE Mid Cap index rising by 0.21% on the day. In contrast, Weizmann’s stock underperformed both the sector and the broader indices, highlighting company-specific factors influencing its price movement.



Summary of Key Metrics


To summarise, Weizmann Ltd’s stock performance and financial metrics as of 23 Jan 2026 are as follows:



  • New 52-week low price: Rs.82.55

  • One-year stock return: -34.87%

  • Five-year net sales growth: 9.40% annualised

  • Five-year operating profit growth: 14.78% annualised

  • Return on Equity (ROE): -5.5%

  • Price to Book Value: 2.1 times

  • Debt to EBITDA ratio: 0.58 times

  • Operating cash flow (year): Rs.13.68 crores

  • Net sales (latest six months): Rs.65.87 crores, up 25.66%

  • Profit after tax (latest six months): Rs.3.19 crores



These figures illustrate a company facing valuation pressures and profitability declines, despite some positive cash flow and sales growth in recent periods.



Conclusion


Weizmann Ltd’s stock reaching a 52-week low of Rs.82.55 reflects a continuation of a downward trend driven by subdued profitability, valuation concerns, and underperformance relative to the broader market and sector peers. While the company demonstrates a capacity to manage debt effectively and has shown some recent sales and cash flow improvements, these factors have not yet translated into a reversal in stock price momentum. The current Mojo Grade of Sell and the downgrade from Hold earlier in 2025 underscore the challenges faced by the company in the current market environment.






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