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AGIAGI Greenpac Limited

Consumer Durable · Packaging & Containers · NSE · as of 2026-09-11 (delayed ~30 min in market hours)

AGI Greenpac Limited operates as a packaging products company in India and the United Arab Emirates. The company manufactures and markets containers and bottles, food jars, perfumery cosmetics, polyethylene terephthalate bottles, high density polyethylene bottles, polypropylene products, and security caps and closures products for use in beverages, liquor, wine, beer, pharmaceuticals, cosmetic, personal care, alcoholic beverages, liquor, fast-moving consumer goods, dairy, agrochemicals, and hospitality industries. It also offers packaging products, such as glass containers and specialty glass products. The company also exports its products. The company was formerly known as HSIL Limited and changed its name to AGI Greenpac Limited in April 2022. The company was incorporated in 1960 and is based in Gurugram, India.

762.65
1.98%
70Strong

Mkt Cap
₹4,971 Cr
P/E
14.0
P/B
2.0
Div Yield
0.87%
52W High
₹939.00
52W Low
₹465.00

Price & Volume

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Key Ratios

Market Cap (₹ cr)4,971.10
P/E13.98
P/B2.01
PEG0.79
ROE %15.61
ROCE %16.00
Debt / Equity0.10
EPS54.57
Revenue Growth %5.30
Profit Growth %19.40
Dividend Yield %0.87
Promoter Holding %70.75
FII Holding %2.18
DII Holding %
Beta-0.18

“—” means the figure isn't meaningful or isn't published for this company: ROE and Debt/Equity are undefined when shareholder equity is negative (check P/B — negative means negative equity), and DII/MF holding splits aren't provided by our current data source.

Active Pattern Signals

BUYConviction 75%

Why buy

  • Profit growth: 19.4% YoY
  • Debt/Equity: 0.10
  • Promoter holding: 70.8%
  • RSI: 55
  • MACD: fresh bullish crossover
  • Price vs EMA21: above
  • Pullback to 21-EMA signal (setup quality 80%)

Bull case

  • Profit growth: 19.4% YoY
  • Debt/Equity: 0.10
  • Promoter holding: 70.8%
  • RSI: 55

Bear case

  • Revenue growth: 5.3% YoY
  • Volume: 0.4x 20-day average
  • Max drawdown (1y): 48%
  • Beta: -0.18

Key risks

  • Elevated volatility / drawdown profile — size positions accordingly
  • Revenue growth: 5.3% YoY
  • Volume: 0.4x 20-day average

Algorithmic analysis for research only — not SEBI-registered investment advice.

Trade Plan

Entry (CMP)
₹762.65
Stop Loss
₹693.32
risk 9.1%
Target 1 (1.5R)
₹866.64
+13.6%
Target 2 (3R)
₹970.64
+27.3%
Support (20d)
₹700.00
Resistance (52w)
₹939.00
Risk : Reward
1 : 1.5 → 1 : 3
risking ₹69.33/share
ATR (volatility)
₹27.73
avg daily range

Stop = 20-day support with a 2.5×ATR risk cap (ATR ₹27.73). Levels recompute on every data refresh. Position sizing and execution are yours — this is analysis, not advice.

Score Breakdown

Fundamental74
Technical76
Momentum78
Risk (safety)37

Peers — Consumer Durable

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SREEL 10.00%
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