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Maral Overseas Limited

MARALOVER | NSE

44.53

INR

-0.46

-1.02%

MARALOVER | NSE
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About Maral Overseas Limited

Sector

Consumer Cyclical

Industry

Textile Manufacturing

Earnings date

31/03/2024

As of date

24/04/2026

Close

44.53

Open

44.51

High

45.40

Low

44.50

Maral Overseas Limited manufactures and sells cotton and blended yarns knitted and processed fabrics and ready-made garments. It operates in three segments: Yarn Fabric and Textile Made-Ups. The company provides single double dyed cotton polyester/cotton blended viscose modal lyocell and blends bamboo and blends acrylic and blends cotton/nylon triblends miyabi giza pima/supima contamination free compact slub injected slub eli twist zero twist reverse twist P/C siro/mock twist BCI organic cotton recycle cotton and polyester synthetic and cellulosic yarns used in various applications such as circular and socks knitting flat knits home furnishing towel weaving carpets and rugs denims industrial and bottom weight fabrics suiting and shirts yarn dyeing and weaving. It also offers fabrics in various knits such as single jersey rib interlock piquet fleece French rib pointelle and autostriper/engineered stripe products; special fibers and yarns comprising bamboo and blends soya and blends organic cotton fairtrade certified cotton polyester slub fabric modal and blends and lyocell and blends; and special finishes. In addition the company provides a range of garments consisting of active wear casual wear and sleepwear for men and ladies; and fair trade garments and soft toys for infants and kids. The company operates in India North America Europe Gulf and the Middle East the Far East and South East Asia Africa and internationally. Maral Overseas Limited was incorporated in 1989 and is headquartered in Noida India.

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MARALOVER | NSE

Risk
49.1
Sharpe
-0.90
Luna's Score
49/100
Recommendation
Hold

Luna says (MARALOVER | NSE)

What's Working

Low Market Beta (-0.4 to 0.8)

Value Stock (Price to Book < 3)

Strong Revenue Growth (> 10%)

What's not Working

Microcap (<300M USD)

High Debt to Equity (> 0.75)

High Debt to Asset (> 0.45)

Weak Operating Margin (< 10%)

Weak Sharpe Ratio (< 0.3)

Volatility Signals

Bullish: Stable Volatility (6-month <= 1-month volatility) is positive for the stock performance.

Risk Meter

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10 days

28.3%

1 month

49.1%

3 months

52.3%

6 months

46.9%

Returns

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Fundamental Ratios

PE

-

Fwd. PE

-

Price to book

2.35

Debt to equity

3.62

Debt to assets

0.63

Ent. to EBITDA

12.80

Ent. to rev.

0.84

PEG

-

Other Fundamentals

EBITDA

434.92M

MarketCap

1.88B

MarketCap(USD)

19.69M

Div. yield

-

Op. margin

-1.98

Erngs. growth

-90.20

Rev. growth

10.20

Ret. on equity

-7.17

Short ratio

-

Short perc.

-

Market Sentiment (SMA and Price signals)

Short-term: Bullish (SMA10D > SMA1M)

Intermediate-term: Bearish (SMA1M < SMA3M)

Long-term: Bearish (SMA6M < SMA12M)

SMAs: Stock Price Trends

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Range10D

6.59

Range1M

13.69

Range3M

15.79

Volumes: Market Activity

Volume Averages

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Rel. volume

0.20

Price X volume

139.11K

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  • 1

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  • 1

Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA12.8025.23Cheaper
Ent. to Revenue0.8410.83Cheaper
PE Ratio-29.68-
Price to Book2.352.88Par
Dividend Yield-0.85-
Std. Deviation (3M)52.2751.12Par
Debt to Equity3.620.49Expensive
Debt to Assets0.630.37Expensive
Market Cap1.88B24.39BEmerging
  • 1

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