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  4. /Nahar Polyfilms Ltd
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Nahar Polyfilms Ltd: Is It a Deep Value Opportunity?

StrongSteady Growth

As of May 31, 2026, Nahar Polyfilms Ltd (Packaging - BOPP) has a deep value score of 60/100 (rated Strong). Earnings are accelerating. 1Y return vs Nifty 500: -20%.

Nahar Polyfilms Ltd Key Facts

Value Score
60/100

Key Numbers

PEG Ratio
1.43
Current Price
₹222
Dividend Yield
0.45%
Market Cap
636 Cr
Valuation
N/A

Other Deep Value Stocks in Packaging - BOPP

Cosmo First Ltd
—
Polyplex Corporation Ltd
Weak
38
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Frequently Asked Questions: Nahar Polyfilms Ltd

Based on publicly available financial data. This is educational research, not investment advice.

What is Nahar Polyfilms Ltd's deep value score?

Nahar Polyfilms Ltd has a deep value score of 60/100 (rated Strong). This score is calculated from three components

  • Earnings Score: 24/40 — measures PAT growth momentum across quarters
  • Underperformance Score: 14/35 — how much the stock trails Nifty 500 (deeper underperformance = higher contrarian signal)
  • Quality Score: 22/25 — operational quality (margins, revenue growth, valuation)

Is Nahar Polyfilms Ltd fundamentally improving?

Nahar Polyfilms Ltd's quarterly profit (PAT) growth trajectory

  • Latest Quarter PAT Growth (QoQ): +22%
  • Previous Quarter PAT Growth (QoQ): +0%
  • 2 Quarters Ago PAT Growth (QoQ): +9%
  • PAT Acceleration: +6.3pp (profits are accelerating)
  • 3 consecutive quarters of positive PAT growth

Why is Nahar Polyfilms Ltd underperforming despite good earnings?

Nahar Polyfilms Ltd is underperforming the market despite improving earnings — this is the core deep value thesis

  • 1-Year Return vs Nifty 500: -20%
  • 6-Month Return vs Nifty 500: +5%
  • 3-Month Return vs Nifty 500: +7%
  • Yet average quarterly PAT growth is +10% — earnings are improving
  • The market often takes time to re-rate stocks with improving fundamentals. This gap between price performance and earnings improvement is what deep value research seeks to identify.

What is the earnings momentum for Nahar Polyfilms Ltd?

Nahar Polyfilms Ltd's earnings momentum is Steady — consistent growth.

  • PAT QoQ progression: +9% → +0% → +22% (2Q ago → 1Q ago → latest)
  • Acceleration: +6.3pp

Is Nahar Polyfilms Ltd undervalued?

Nahar Polyfilms Ltd's valuation metrics

  • Price-to-Earnings (PE): 8.1x
  • Price-to-Book (PB): 0.7x
  • PEG Ratio: 1.4x

What are the revenue and margin trends for Nahar Polyfilms Ltd?

Nahar Polyfilms Ltd's revenue and margin trends

  • Latest Quarter Revenue Growth (QoQ): +0%
  • Average Quarterly Revenue Growth: -5%
  • Revenue Acceleration: +6.3pp
  • Latest OPM Change: +6.4pp (margins expanding)
  • Average OPM Change: +1.5pp

What sector does Nahar Polyfilms Ltd belong to?

Nahar Polyfilms Ltd key facts

  • Sector: Packaging - BOPP
  • Market Cap: ₹636 Cr
  • Rank in Packaging - BOPP: #1 by value score
  • Overall rank among all deep value stocks: #43

Is Nahar Polyfilms Ltd a good deep value opportunity to study?

Nahar Polyfilms Ltd shows strong deep value signals — good score (60/100), accelerating earnings, and significant underperformance vs Nifty.

  • Value Score: 60/100 (Strong)
  • Earnings: Accelerating
  • 1Y Underperformance: -20% vs Nifty 500

What is the bull and bear case for Nahar Polyfilms Ltd?

Research Signals (Bull Case)

  • Earnings accelerating — profit growth speeding up
  • 3 consecutive quarters of positive PAT growth
  • Revenue growth also accelerating
  • Operating margins expanding

Which other Packaging - BOPP stocks are deep value opportunities?

Other deep value stocks in Packaging - BOPP

  • Cosmo First Ltd — monitoring
  • Polyplex Corporation Ltd — Score 38/100, Weak

How does the Packaging - BOPP sector look for deep value?

Packaging - BOPP deep value sector overview

  • 2 deep value stocks in this sector
  • Average value score: 49/100
  • Avg PAT acceleration: -29.1pp
  • Top pick: Nahar Polyfilms Ltd

What is deep value investing?

Deep value investing studies stocks that are underperforming the market despite showing improving fundamentals. The thesis is that the market has not yet recognized the earnings recovery, creating a potential valuation gap. It requires patience — recovery can take several quarters.

How is the deep value score calculated?

The deep value score (0-100) combines three factors:

- Earnings (0-40 pts): PAT growth across last 3 quarters, acceleration, and consecutive growth - Underperformance (0-35 pts): How much the stock trails Nifty 500 over 1Y, 6M, 3M (deeper underperformance = higher score) - Quality (0-25 pts): Revenue growth, margin trends, and valuation metrics (PEG, P/B)

Higher score indicates a stronger contrarian research signal.

The above FAQs are generated from publicly available earnings data. This is educational research only. Sector Alpha is not SEBI registered and does not provide investment advice.