SSelectStock

FIBERWEBFiberweb (India) Limited

Consumer Durable · Textile Manufacturing · NSE · as of 2026-09-11 (delayed ~30 min in market hours)

Fiberweb (India) Limited manufactures and sells spunbond and melt-blown nonwoven fabrics from polypropylene in India. Its products are used in hygiene, agricultural, medical and industrial garments, automotive, geotextiles/structural engineering, textile, oil absorbents, electronics, filtration, sanitary products, and apparel applications. The company exports its products to the United States, the United Kingdom, Europe, Australia, New Zealand, South Africa, and the Gulf countries. The company was formerly known as PVD Plast Mould Industries Limited. Fiberweb (India) Limited was incorporated in 1985 and is headquartered in Mumbai, India.

27.10
0.44%
30Weak

Mkt Cap
₹79 Cr
P/E
15.0
P/B
0.4
Div Yield
0.00%
52W High
₹49.90
52W Low
₹25.17

Price & Volume

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Key Ratios

Market Cap (₹ cr)78.50
P/E14.97
P/B0.43
PEG
ROE %5.40
ROCE %6.50
Debt / Equity0.06
EPS1.81
Revenue Growth %-65.90
Profit Growth %-94.90
Dividend Yield %0.00
Promoter Holding %51.98
FII Holding %0.00
DII Holding %
Beta0.21

“—” 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

None of the 16 pattern scanners currently detects a setup on FIBERWEB — signals appear here automatically when one forms (checked on every data refresh). The Trade Plan on the right always provides stop-loss and target levels regardless.

AVOIDConviction 72%

Why avoid

  • Overall evidence is weak (AlgoScore 30/100)
  • Revenue growth: -65.9% YoY
  • Profit growth: -94.9% YoY
  • Price vs SMA50: below
  • Price vs SMA200: below

Bull case

  • Debt/Equity: 0.06
  • Promoter holding: 52.0%
  • Valuation vs sector: P/E 15.0 vs sector 26.5
  • MACD: bullish

Bear case

  • Revenue growth: -65.9% YoY
  • Profit growth: -94.9% YoY
  • Price vs SMA50: below
  • Price vs SMA200: below

Key risks

  • Elevated volatility / drawdown profile — size positions accordingly
  • Weak fundamentals — technical strength may not sustain
  • Momentum is fading versus the broader market
  • Revenue growth: -65.9% YoY
  • Profit growth: -94.9% YoY

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

Trade Plan

Entry (CMP)
₹27.10
Stop Loss
₹24.92
risk 8.1%
Target 1 (1.5R)
₹30.37
+12.1%
Target 2 (3R)
₹33.65
+24.2%
Support (20d)
₹25.17
Resistance (52w)
₹49.90
Risk : Reward
1 : 1.5 → 1 : 3
risking ₹2.18/share
ATR (volatility)
₹1.27
avg daily range

Stop = 20-day support with a 2.5×ATR risk cap (ATR ₹1.27). Levels recompute on every data refresh. Position sizing and execution are yours — this is analysis, not advice.

Score Breakdown

Fundamental35
Technical44
Momentum11
Risk (safety)26

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