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Intrinsic value · Buy/Sell verdict · scores — free· 1403 Nifty 500 stocks· EOD 2026-06-19

Maral Overseas Limited

MARALOVER · NSE · Consumer Cyclical

₹57
-0.30 (-0.52%)
ExpensiveSell
The bottom line

StocksWizard rates Maral Overseas Limited a Sell, scoring 40/100 on our blended model. At ₹57 it trades below our blended DCF and relative-multiples fair value of ₹76.3, implying roughly 34% upside to that estimate — we read the stock as undervalued by 34%. Financial health scores 14/100 (grade F), in the distress band on the Altman Z-score, with a Piotroski F-score of 6/9. It clears 5 of 12 investability checks, with durability 8, valuation 28 and momentum 85 on our 0–100 scales.

These are StocksWizard's own estimates from end-of-day public data — see how we calculate them. For information only, not investment advice.

Our verdictSolvency risk
Sell40/100
Quality8
Valuation64
Momentum85
Financial trend10
Intrinsic value
Our fair value
₹76.3
Undervalued by 34%
Price ₹57Range ₹28.5₹91.43

With a 20% margin of safety, our buy-below price is ₹61.04.

F
Financial health 14/100
Altman Z 1.57 · Distress zone

Piotroski F-score 6/9 — quality of earnings & balance sheet.

Investability checklist

Passed 5 of 12 checks42/100
  • ROE above 15%3.0%
  • Low debt (D/E < 0.5)3.38x
  • Positive free cash flow
  • Revenue growth > 10%-6%
  • Earnings growing
  • Net margin ≥ 10%0.3%
  • Current ratio > 1.50.94
  • Below our fair value
  • Margin of safety ≥ 20%
  • Above 200-day average
  • Above 50-day average
  • Positive 1-year return
  • Altman Z in safe zoneZ 1.57
  • Piotroski ≥ 76/9

1-year price

EOD · 2026-06-19
1W
+1.8%
1M
-0.1%
3M
+43.1%
6M
+24.5%
1Y

Our scores

Durability8
Valuation28
Momentum85

Durability rewards strong, low-debt, profitable businesses; Valuation rewards stocks cheap vs their sector; Momentum rewards strong price trends.

Annual financials

1999₹225 Cr revenue
Net profit ₹22 Cr10% margin
2017₹666 Cr revenue
Net profit ₹15 Cr2% margin
2023₹0 Cr revenue
Net profit ₹0 Cr
2024₹960 Cr revenue
Net profit ₹-10 Cr-1% margin
Revenue Net profit

Shareholding

Promoter79.3%
Institutions0.0%
Public & other20.7%

Promoter holding via insider stake; institutional via reported holdings.

Key fundamentals

Market cap
₹237 Cr
P/E ratio
72.2
P/B ratio
2.13
EPS (TTM)
₹0.79
ROE
3.0%
Debt / Equity
3.38x
Profit margin
0.3%
Free cash flow
₹24 Cr
52-week high
₹76.61
-25.60% from high
52-week low
₹35.41
Dividend yield
Beta
0.21

SWOT snapshot

Weaknesses

  • Low return on equity (3.0%).
  • High debt relative to equity.

Opportunities

  • Trades ~34% below our estimated fair value.

Threats

  • Rich valuation versus sector peers.
  • Balance-sheet stress — Altman Z 1.57.

About Maral Overseas Limited

Maral Overseas Limited manufactures and sell yarns, fabrics, and garments in India, North America, Europe, Gulf and the Middle East, the Far East and South East Asia, Africa, and internationally. The company offers melange, single, double, dyed, combed and carded cotton, polyester/cotton blended, multifold, viscose/birla viscose blends, modal/birla modal and blends, lyocell and blends, bamboo and blends, acrylic and blends, cotton/nylon blends, triblends, miyabi blended, giza

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Our verdict, fair value, financial-health and checklist are StocksWizard's own estimates, computed from public end-of-day data using standard models (DCF, relative valuation, Altman Z, Piotroski). For information only — not investment advice or a recommendation. Verify independently before investing.