Recent Price Movement and Market Context
On 26 Dec 2025, Wim Plast . touched Rs.444, its lowest level in the past 52 weeks. The stock has recorded a cumulative return of -4.21% over the last nine trading sessions, signalling sustained downward momentum. Despite this, it marginally outperformed its sector by 0.63% on the day, indicating some relative resilience within its peer group.
Wim Plast . is currently trading below its 5-day, 20-day, 50-day, 100-day, and 200-day moving averages, underscoring the prevailing bearish trend. This contrasts with the broader market, where the Sensex opened 183.42 points lower and was trading at 85,041.45, down 0.43%. Notably, the Sensex remains close to its 52-week high of 86,159.02, just 1.31% away, and is positioned above its 50-day and 200-day moving averages, reflecting a more bullish stance in the wider market.
Long-Term Performance and Comparative Analysis
Over the last year, Wim Plast . has generated a return of -25.66%, a stark contrast to the Sensex’s 8.37% gain during the same period. This underperformance extends beyond the one-year horizon, with the stock lagging behind the BSE500 index over the past three years, one year, and three months. The stock’s 52-week high was Rs.624, indicating a significant decline of approximately 28.8% from that peak.
Such relative weakness highlights challenges in maintaining investor confidence and market positioning within the diversified consumer products sector, where peers have generally maintained steadier valuations.
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Financial Metrics and Growth Trends
Wim Plast . has exhibited modest growth in net sales, with an annual rate of 9.06% over the past five years. Operating profit has shown a similar pattern, with a growth rate of 14.87% during the same period. These figures suggest a steady but limited expansion in core business operations.
In the most recent half-year period, cash and cash equivalents stood at Rs.3.77 crores, representing the lowest level recorded in recent times. Additionally, non-operating income accounted for 33.82% of profit before tax in the latest quarter, indicating a significant contribution from sources outside the company’s primary business activities.
Balance Sheet and Valuation Insights
The company maintains a low average debt-to-equity ratio, effectively at zero, which reflects a conservative capital structure with minimal reliance on external borrowings. Return on equity (ROE) is reported at 11%, a figure that aligns with a valuation characterised by a price-to-book value ratio of 1. This valuation level places Wim Plast . at a discount relative to its peers’ historical averages.
Despite the stock’s negative return over the past year, profits have increased by 10.2%, resulting in a price/earnings to growth (PEG) ratio of 0.9. This metric suggests that earnings growth has not been fully reflected in the stock price, although the broader market context and sector dynamics remain influential factors.
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Shareholding and Sector Position
The majority shareholding in Wim Plast . is held by promoters, indicating concentrated ownership. The company operates within the diversified consumer products sector, a segment characterised by varied product lines and competitive pressures.
While the stock’s recent price action has been subdued, the sector itself has shown mixed performance, with some companies maintaining steadier growth trajectories and valuations.
Summary of Current Market Standing
Wim Plast .’s fall to Rs.444 marks a notable milestone as the stock reaches its lowest level in a year. The sustained decline over nine consecutive sessions and trading below all key moving averages reflect a cautious market stance. The company’s financial data reveals moderate growth in sales and profits, a conservative debt profile, and valuation metrics that suggest the stock is trading at a discount relative to peers.
However, the stock’s underperformance relative to the Sensex and BSE500 indices over multiple timeframes highlights challenges in market sentiment and comparative strength. The sizeable contribution of non-operating income to recent profits and the low cash reserves may also be factors influencing investor perceptions.
Overall, Wim Plast . remains a stock with a complex profile, balancing steady financial fundamentals against a backdrop of subdued price performance and sector competition.
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