ftInvstr
UFLEX · Consumer Cyclical ₹677.0 -1.02% Mkt Cap ₹4872 Cr

UFLEX

Consumer Cyclical Packaging & Containers
₹677.0
-1.02% today · 30d +41.34%
as of 2026-09-04
Price · Daily Candles
“UFLEX surges over 12% in a day; FIIs increase stake in the underperformer.”
UFLEX’s Q4 2026 saw profit jump 16.29% YoY to ₹196 Cr, with annual net profit for 2026 soaring 122.71% YoY to ₹317 Cr. Despite this, the company exhibits negative free cash flow of -₹1057 Cr, leading to a -29.83% FCF yield, complicating intrinsic value assessment. Sales growth predictions are strong with a 0.707 rank for sales 1-year rolling over 4-years and a 0.748 rank for sales 1-year stable over 7-years.
BULL CASE
+Q4 2026 net profit increased by 16.29% YoY to ₹196 Cr, while operating profit grew 32.57% YoY.
+Annual net profit for 2026 saw a significant increase of 122.71% YoY to ₹317 Cr.
+FIIs increased their stake by 0.82 percentage points QoQ, now holding 10.03% as of Q1 2026.
+The stock price has shown short-term momentum, with a 1-day return of 12.74% and a 1-month return of 16.72%.
+ML models predict strong sales growth, with the 1-year rolling 4-year sales rank at 0.707 and the 1-year stable 7-year sales rank at 0.748.
BEAR CASE
The company recorded negative free cash flow of -₹1057 Cr, translating to a -29.83% FCF yield.
Despite recent gains, the stock is 19.67% off its 52-week high of ₹617.45 and has a 1-year return of -16.11%.
Net profit CAGR over 3 years is -12.96% and over 5 years is -17.78%, indicating a long-term decline.
ROCE stands at 8.0%, significantly lower than peers like EPL (31.35%) and AGI (25.02%).
ML predictions for free cash flow growth are weak, with 1-year recent 2-year rank at 0.079 and 1-year stable 7-year rank at 0.0.
⟳ What Changed
₹ Latest Earnings · Q ending 2026-03-31
REVENUE
₹4056 Cr
+6.34% YoY
NET PROFIT
₹196 Cr
+16.29% YoY
OPM
15.29%
+3.09pp YoY
EPS
₹27.15
PE 11.17
Intrinsic value · DCF: N/A — Company is currently free-cash-flow negative (-21.7% of mktcap). DCF assumes a going concern generating positive cash flow; a meaningful intrinsic value can only be computed once FCF turns positive. Use the Strategy Fit and ML sections instead.
◇ Sector Position
UFLEX trades at a TTM P/E of 11.17 and a ROIC of 8.0%, significantly lower than the industry median ROIC of peers like EPL (31.35%) and TCPLPACK (30.51%) which trade at higher P/E multiples.
PEERPEROCE %
UFLEX11.178.0
TIMETECHNO21.0423.82
EPL19.0231.35
AGI12.2525.02
+ 2 more peers — sign in to view
ML Forward Growth Predictions 🔒

9 ML-predicted forward-growth ranks across sales, EBIT, and FCF.

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77
SCORE / 100
Overall
6-axis composite of the sections below.
Performance STRONG 90
Valuation CHEAP 75
Growth STRONG 72
Profitability DECENT 68
Technicals NEUTRAL 68
Risk LOW 90
Key Stats
TTM PE
11.17
P/B
0.44
52W HIGH
₹723.5
OFF HIGH
-6.43%
DIV YIELD
0.68%
MKT CAP
₹4872 Cr
◉ Active Signals
MACDBullish4.5644
RSI(14)Bearish72.94
⧉ Strategy Fit 🔒

See which of ftInvstr's 50+ strategies hold UFLEX and at what entry.

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