Do these 3 things before closing this tab:
1Repair Windows errors before they cause bigger problems2Scan for outdated or missing drivers - takes under a minute3Clear out junk files and repair common Windows errorsMarketsMojo reported that Garnet Construction Ltd (BSE 526727) touched an intraday low of ₹45.2 and closed at ₹45.7 on 5 October 2026, near a stated 52-week low of ₹45. The publisher linked the weakness to deteriorating recent financial performance and bearish technical readings. Those are reported figures and explanations, not independently verified price data or proof of what caused the fall; the same-session market rally comparison also remains unconfirmed.
What happened to Garnet Construction shares?
MarketsMojo’s 5 October 2026 report said the stock fell to ₹45.2 intraday and ended the session at ₹45.7, which it described as 1.1% above a ₹45 52-week low. It also cited a 52-week high of ₹116. These figures are the publisher’s account; the available information does not independently confirm them against BSE historical quotes. Read the MarketsMojo report.
The headline’s “Markets Rally” contrast should be treated cautiously. MarketsMojo said the Sensex was above its opening level on 5 October, while also noting a decline over a recent three-week period. That does not establish a verified same-session comparison between the index and Garnet Construction. A fair comparison requires official or clearly attributed stock and index data for the same session and matching observation windows.
What reasons were reported for the decline?
MarketsMojo pointed to weak recent company results and negative technical signals. The report supplies context for the sell-off, but neither an indicator nor a reported financial metric proves that it caused the share-price move.
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Reported financial performance
MarketsMojo reported net sales of ₹10.27 crore for the latest six months, down 74.09% from its comparison period. It also reported a quarterly loss after tax of ₹1.04 crore, described as 110.5% worse than the previous four-quarter average, and quarterly PBDIT of negative ₹0.74 crore. The report does not provide enough verified underlying statement detail here to establish the precise periods and comparison bases independently.
The same article cited return on equity of 14.2%, a price-to-book ratio of 0.5, and a five-year net-sales CAGR of 11.82%. These are publisher-reported measures, not a substitute for checking the company’s filings. A low price-to-book ratio by itself does not show that a share is undervalued, particularly when recent profitability is weak.
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Garnet Construction’s investor-relations page lists annual reports and financial results, including FY 2025–26 materials. Investors assessing the reported decline in sales or loss should consult the relevant result filing and confirm its period, units and comparison basis before drawing conclusions.
Reported technical weakness
MarketsMojo said the share traded below its 5-, 20-, 50-, 100- and 200-day moving averages, and characterized several other technical readings as bearish or mildly bearish. Those readings describe price trends and momentum over chosen periods; they do not establish the company’s underlying value or explain why investors sold.
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What do the company announcements establish?
A Trendlyne index of BSE announcements identifies Garnet Construction as BSE 526727. It lists a 28 September 2026 trading-window notice: the window was to close from 1 October until 48 hours after the declaration of unaudited results for the quarter ended 30 September. The index also lists the company’s 34th AGM as held on 30 September 2026 and approval of unaudited results for the quarter ended 30 June on 14 August 2026. These entries are an index of announcements, not the original filings; the trading-window notice does not show that the upcoming results caused the share-price decline. View the announcement listing.
Independent reader supportYour contribution helps us test, update, and keep practical guides available for everyone.How should investors assess the sell-off?
The reported figures raise questions worth checking, but the available evidence does not establish whether the decline is an overreaction to temporary pressure or a sign of deeper business concerns. A disciplined assessment separates confirmed company information from market commentary and price indicators.
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- Verify the price move: Check BSE historical data for the 5 October intraday low, close and 52-week range before treating the reported prices as confirmed.
- Compare the market on matching dates: Use the same-session index close and stock data rather than combining the stock’s session with a different index observation window.
- Read the filings: Review the relevant quarterly result and annual report for sales, expenses, profit or loss, cash flows and comparison periods. Use the company’s published materials, rather than relying on a summary ratio alone.
- Distinguish signals from causes: Moving averages can show sustained price weakness, but they are not evidence of why the business or share price weakened.
- Avoid treating a low price or ratio as a buy signal: The reported 52-week low and price-to-book figure do not, by themselves, establish fair value or make a buy, hold or sell decision for a particular investor.
Product prices and availability are accurate as of the date/time indicated and are subject to change. Any price and availability information displayed on Amazon at the time of purchase will apply.




