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SIGIND

Signet Industries Limited (SIGIND) Stock Analysis

Signet Industries Limited manufactures plastic packaging films, tubes, and consumer packaging products. It supplies flexible packaging to FMCG, personal care, and industrial customers. The company operates extrusion and converting facilities for polymer packaging. It is listed on Indian stock exchanges.

Industrials › Conglomerates
69.00
-1.27% 1W  |  +28.70% 52W
Market Cap
203 CR
P/E Ratio
8.9
52W High
75
52W Low
40.7
Div. Yield
0.71%
Beta
0.2
50 DMA
59.9
200 DMA
51.9
Profit Margin
1.7%
Inst. Own.
0%
Trendline Analysis
📈 CONSOLIDATING UP₹80₹69.9₹59.8₹49.7₹39.719 Mar06 May16 Jun28 Jul15 Sep6.4L
Fundamentals
Profit & Loss
MetricJun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Sales288.82268.78311.31344.13252.64257.65303.98364.82259.52306.51390.15390.61306.03
Expenses270.59248.98286.44322.92238.33236.86281.80334.16234.76285.06365.82363.40278.06
Operating Profit18.2319.8024.8721.2114.3120.7922.1830.6624.7621.4524.3327.2127.97
OPM %6.31%7.37%7.99%6.16%5.66%8.07%7.30%8.40%9.54%7.00%6.24%6.97%9.14%
Other Income0.481.000.593.101.210.420.320.27-4.580.470.420.940.73
Interest12.0413.5915.6615.1912.3114.4113.9517.8916.7514.8015.4215.4314.94
Depreciation2.412.442.452.442.392.372.332.262.342.322.242.042.51
Profit before tax4.264.777.356.680.824.436.2210.781.094.807.0910.6811.25
Tax %25.12%28.30%26.53%48.50%40.24%27.54%27.33%31.26%36.70%27.92%27.22%35.86%28.44%
Net Profit3.203.415.403.440.493.224.527.410.693.475.166.858.05
EPS in Rs1.091.161.831.170.171.091.542.520.231.181.752.332.73
Growth — CAGR
Metric3Y5Y10Y
Revenue CAGR10.0%10.0%6.0%
Profit CAGR14.0%9.0%1.0%
Shareholding Pattern
Promoters73.40%
Public26.60%
SIGIND
Holdings Analysis
Key strengths & risk signals
75
Overall
62
Fundamental
88
Technical
Risks (1)
LOW MARGIN! 1.7% profit margin - thin profits.
Strengths (4)
FAIRLY VALUED! PEG of 1.20 indicates reasonable valuation.
BULLISH TREND! 50-day average (59.9) is above 200-day average (51.9) - positive signal.
BULLISH SENTIMENT! In last 30 days: 17 up days, 12 down days. Avg volume on up days: 103,154 vs down days: 60,191. Ratio: 1.71x
STRONG! Trading at 82.5% of 52W range - near yearly highs.
Fundamental & Technical Analysis
75Overall
62Fundamental
88Technical
Fundamental Breakdown
Growth Quality
16/30
Revenue CAGR: 9.8% (MODERATE, 8/15). Profit CAGR: 7.4% (MODERATE, 8/15).
Profit Margin
2/10
LOW MARGIN! 1.7% profit margin - thin profits.
PEG Valuation
9/10
FAIRLY VALUED! PEG of 1.20 indicates reasonable valuation.
Dividend Yield
3/10
NEGLIGIBLE DIVIDEND! 0.71% yield - little to no income.
Debt to Equity
10/10
VERY LOW DEBT! D/E of 0.00 - excellent financial health.
Public Holding
14/20
MODERATE PUBLIC HOLDING! 27.42% public ownership - balanced ownership structure.
Stability Index
8/10
GOOD STABILITY! Only 1 revenue dip in history. Strong business fundamentals.
Technical Breakdown
Moving Averages
12/10
BULLISH TREND! 50-day average (59.9) is above 200-day average (51.9) - positive signal.
Price Position
8/10
STRONG POSITION! Current price (69.0) is above both moving averages.
Trend Pattern
14/20
Current trend: CONSOLIDATING UP
52W Performance
8/10
GOOD YEAR! Stock gained 28.7% in the last year.
Volume Sentiment
30/30
BULLISH SENTIMENT! In last 30 days: 17 up days, 12 down days. Avg volume on up days: 103,154 vs down days: 60,191. Ratio: 1.71x
RSI
3/5
NEUTRAL! RSI at 56.7 - balanced momentum.
52W Range
5/5
STRONG! Trading at 82.5% of 52W range - near yearly highs.
Momentum
3/5
MIXED MOMENTUM! Price growth is inconsistent - -1.3% (1 week), 4.0% (1 month), 41.2% (3 months).
Beta
5/5
LOW VOLATILITY! Beta of 0.20 - stable stock, less market risk.

Peer Comparison

Industrials · Conglomerates · 8 stocks
Industry peers
StockPriceP/EProfit MarginRevenue CAGR 5YProfit CAGR 5Y52W ChangeStock StrengthTrendlineYoY ProfitQoQ ProfitYoY RevenueQoQ Revenue
SIGIND69.008.91.7%9.8%7.4%+28.7%75 CONSOLIDATING UP+1,057.1%+19.1%+17.9%-21.7%
ROSSELLIND56.6018.35.3%-14.1%-16.9%-15.2%53 CONSOLIDATION-52.5%-116.0%-10.1%+145.3%
COMFINTE5.90-2.3%1.1%-4.7%43 CONSOLIDATION-7.8%-181.0%+56.2%+25.8%
METROGLOBL134.307.27.0%0.0%4.9%+4.2%61 HIT RESISTANCE+25.0%+42.9%+25.9%+120.9%
LANDSMILL0.6028.5117.2%3.6%-67.3%40 BREAKDOWN+166.7%-100.0%
KOTHARIPRO65.0012.62.0%-20.0%17.0%-28.6%53 BREAKDOWN-64.6%-475.0%+8.7%-14.8%
JPASSOCIAT2.40-34.7%-0.1%-31.8%36 HIT RESISTANCE-10.1%+902.9%-50.9%+6.1%
STCINDIA111.301173.2%-9.2%62 BREAKDOWN+206.3%-40.6%
Data from TradeAlone · Updated daily

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