SSelectStock

BBTCLB&B Triplewall Containers Limited

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

B&B Triplewall Containers Limited manufactures and sells corrugated boards, boxes and packaging materials.in India. The company offers T- and I-folder products, variable depth boxes, bins, regular slotted containers, A1 self-locking boxes, fitments, self-locking boxes, and large shipper cartons, as well as 3 ply, 5 ply, and 7 ply boards. The company's products are used for packaging in various industries, such as logistics, pharmaceutical, chemicals, automotive, electronics, glassware, personal care, garment and textiles, retail, automobile, food and beverage, fruits and vegetables, FMCG, e-commerce, and relocation. B&B Triplewall Containers Limited was founded in 1992 and is based in Bengaluru, India.

227.51
3.32%
57Decent

Mkt Cap
₹472 Cr
P/E
6.6
P/B
3.6
Div Yield
0.00%
52W High
₹262.00
52W Low
₹156.00

Price & Volume

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Key Ratios

Market Cap (₹ cr)471.80
P/E6.56
P/B3.57
PEG0.01
ROE %15.60
ROCE %12.50
Debt / Equity1.93
EPS34.70
Revenue Growth %18.50
Profit Growth %473.20
Dividend Yield %0.00
Promoter Holding %85.49
FII Holding %0.00
DII Holding %
Beta0.05

“—” 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

HOLDConviction 62%

The picture

  • Revenue growth: 18.5% YoY
  • Profit growth: 473.2% YoY
  • Promoter holding: 85.5%
  • Price vs SMA50: above
  • Price vs SMA200: above
  • Golden cross setup: SMA50 above SMA200
  • EMA Crossover signal (setup quality 59%)

Bull case

  • Revenue growth: 18.5% YoY
  • Profit growth: 473.2% YoY
  • Promoter holding: 85.5%
  • Price vs SMA50: above

Bear case

  • Debt/Equity: 1.93
  • Dividend yield: 0.00%
  • MACD: bearish
  • Price vs EMA21: below

Key risks

  • Elevated volatility / drawdown profile — size positions accordingly
  • Debt/Equity: 1.93
  • Dividend yield: 0.00%

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

Trade Plan

Entry (CMP)
₹227.51
Stop Loss
₹215.60
risk 5.2%
Target 1 (1.5R)
₹245.37
+7.9%
Target 2 (3R)
₹263.23
+15.7%
Support (20d)
₹217.78
Resistance (52w)
₹262.00
Risk : Reward
1 : 1.5 → 1 : 3
risking ₹11.91/share
ATR (volatility)
₹10.19
avg daily range

Stop = 20-day support with a 2.5×ATR risk cap (ATR ₹10.19). Levels recompute on every data refresh. Position sizing and execution are yours — this is analysis, not advice.

Score Breakdown

Fundamental69
Technical55
Momentum59
Risk (safety)35

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