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B & A LTD. (BNALTD) fair value: what the stock is really worth

We calculate from audited financials what B & A LTD. is really worth. The fair value tells you whether the price is too high or too low, the quality score (0 to 100) how solid the business behind it is. 26 models, 37 quality factors, updated daily.

  1. Fair value above price? No
  2. Good quality? No
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Consumer Staples · IN · ISIN INE489D01011

BA Some data Sep 13, 2026

B & A LTD.

BNALTD · BSE

Weakest SetupStrongly overvalued and low quality.

!Fair value ₹164.21 · Strongly overvalued (−54%)
!Quality 33/100
!Expensive Growth (revenue 5y +2.8 %/yr)
!Loss-making · -1.4% net margin (TTM)
!Low debt · negative free cash flow
!Trails peers (1/10)
!Narrow moat 9/100
!Evidence only medium, so the estimate is less certain
!The models disagree: range ₹43.92 to ₹284.50
!Weak on future: 8 out of 100

What runs behind every stock

69 individual criteria per stock, every one traceable See the method →

Price vs Fair Value

₹691.50 ₹145.13 Fair Value ₹164.21 Mar 2021 Sep 2026

White line = price, green steps = our fair value per fiscal year, dashed = 300-day average. As of Sep 13, 2026.

How to read this chart

60‑month range ₹145.13 – ₹691.50 · fair‑value band ₹43.92 – ₹284.50 · the ₹355.00 price screens above the ₹164.21 fair value. Dashed = 300-day average. As of Sep 13, 2026.

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Stock analysis

B & A LTD. (BNALTD) currently trades at ₹355.00, while our model-based Fair Value estimate is ₹164.21, implying the stock looks roughly 116.2% overvalued today.

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Valuation

Bull case: the Asset-Based group reads highest at a median of ₹296.43 per share, and 1 of the 6 models we run sit above the ₹355.00 price.

Bear case: the Earnings-Based group reads lowest at ₹36.89, and 5 of the 6 models stay below the price. Evidence for this calculation is medium.

Scenario range: ₹43.92 (bear) to ₹284.50 (bull), the price of ₹355.00 sits above it. Bear and bull are the same models on cautious and optimistic assumptions, a range, not a price target.

Quality & growth

The Quality Score stands at 33/100 (below-average quality), in the Consumer Staples sector.

Expensive Growth: The company is growing, but growth may require heavy reinvestment or weak cash conversion.

B & A LTD. reported revenue of ₹2.8B in FY2026 versus ₹2.9B in FY2022, a compound −0.6%/yr. Reported net income was −₹39.4M in FY2026.

Key figures

Market cap ₹1.1B (≈ $11.6M) · P/S ratio 0.39 · EPS (TTM) ₹−12.71 · Dividend yield 0.1% · Net margin −1.4% · Return on equity −1.2% · Return on assets (EBIT) 7.2% · Operating margin −40.7%.

Competitive moat

Our AI-assisted moat analysis scores the competitive advantage at 50 out of 100 (low confidence).

What moves the price

The share trades about 30% below its 52-week high and 10% above its 52-week low, currently below its 200-day average.

For context, the median of 10 Consumer Staples peers we cover trades at −18% fair-value upside, at −54%, BNALTD screens richer than that median.

Fair Value models

Bear ₹43.92 Fair Value ₹164.21 Bull ₹284.50
Model Each model values the company its own way (discounted cash flow, earnings, assets, dividends). The fair value above is their evidence-weighted blend, not the output of a single model. Bear Bear = the cautious scenario: the same model computed with conservative anchors (lower growth, margins and valuation multiples). Together with Bull it frames a plausible valuation range, not a price target.BaseBull Bull = the optimistic scenario: the same model computed with favourable anchors (higher growth, margins and valuation multiples). Together with Bear it frames a plausible valuation range, not a price target. Evidence Evidence = how well-backed THIS model's estimate is for this stock (0–100): how complete and reliable its input data are, and how well the model fits the company. The final Fair Value is an evidence-weighted blend, so better-evidenced models count more. Green ≥70, amber 50–69, grey below 50.
Highest evidence
EPV ₹26.15 ₹36.89 ₹45.84 73
ROIC Compounder ₹26.15 ₹36.89 ₹45.84 72
EV/EBITDA ₹308.30 ₹428.59 ₹548.89 67
All 6 models by family
Earnings-Based
EPV ₹26.15 ₹36.89 ₹45.84 73
Multiples
EV/EBIT ₹136.62 ₹199.69 ₹262.76 65
EV/EBITDA ₹308.30 ₹428.59 ₹548.89 67
EV/Revenue ₹82.46 ₹140.33 ₹198.21 52
Asset-Based
NCAV (Graham) ₹221.21 ₹296.43 ₹442.43 54
Economic Profit
ROIC Compounder ₹26.15 ₹36.89 ₹45.84 72

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Quality Score breakdown

Overall quality 33/100

Of which business quality 35 · Market factors (momentum, volatility) 34

Profitability 38
Margins and returns on capital today
Quality Growth 17
Are margins and returns improving?
Cashflow 5
Earnings quality: real cash, not paper profit
Fin. Strength 37
Balance sheet, leverage, solvency risk
Investment 53
Disciplined investing over empire-building
Low Volatility 60
Calm price path (market factor)
Momentum 27
Price trend over the last 3–12 months (market factor)
52W Momentum 14
Distance to the 52-week high (market factor)
Net Issuance 82
Share count: buybacks or dilution?

Open the full quality analysis →

Revenue & earnings trend

Growth Quality Growth is valuable only when reinvestment earns attractive returns (Aswath Damodaran): sustainable growth depends on return on capital, reinvestment and efficiency. Basis: total company revenue over the periods shown on the cards (3Y/5Y/all years), not per share, so a merger can show up as a growth jump; per-share earnings growth is in the value-creation card. 18/100
The company is growing, but growth may require heavy reinvestment or weak cash conversion.
Revenue growth 1 year
+7.1%
Revenue growth 3 years Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump. Per-share growth (which does include buybacks) is in the value-creation card.
−0.9%
Revenue growth 5 years Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump. Per-share growth (which does include buybacks) is in the value-creation card.
+2.8%
Revenue growth 7 years Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump. Per-share growth (which does include buybacks) is in the value-creation card.
+5.8%
Profit margin (trend) Operating margin then vs now, from reported annual statements. A falling margin after a boom year is the classic peak-earnings signal: the growth rate then leans on an inflated base.
11.0% (2021) → 1.6% (2026)
What shareholders gained per year We only publish this rate when it is defensible. Reason: fiscal 2026 is a loss year, no rate is defined from a loss
not computed

BNALTD screens 116% overvalued. Compare with Goodricke Group →

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Peer GroupHow this stock ranks against its sector: the green marker is this stock, the band is the typical 25–75% peer range, and the tick is the median. (Industry “Food Products” was too small, so the broader sector is used.)Consumer Staples · 1782 stocks

Beats the sector median on 1/9 measures
Overall it trails its sector peers.
Valuation
Quality Score 33 · Bottom 25%
Fair Value upside −85% · Bottom 25%
Profitability
Return on assets 1% · Below median
Net margin (TTM) −1% · Bottom 25%
Operating margin (TTM) −41% · Bottom 25%
Growth and dividend
Revenue growth 2% · Below median
Dividend yield (TTM) 0.1% · Bottom 25%
Balance sheet
Debt / equity 0.21× · Above median

Valuation Multiplesvs Consumer Staples median · lower = cheaper

EV/EBITDA 1.5× · Cheapest 25%

Strength profile in five axes (Snowflake)

VALUEFUTUREPASTHEALTHDIVIDEND
This stock
VALUEFUTUREPASTHEALTHDIVIDEND
Sector peers
VALUE (fair-value potential)0 · sector 29
FUTURE (revenue growth)8 · sector 15
PAST (return on equity)0 · sector 27
HEALTH (low debt)90 · sector 96
DIVIDEND (yield)3 · sector 56

VALUE 0: the price sits above our fair-value range.

Context: sector, industry, market

Values & ESG

Does this company touch areas you may want to avoid? The classification is inferred from sector and industry.

None of the checked exposures detected

Similar stocks

10 more Food Products stocks, each showing price versus our Fair Value estimate.

Stock Price Fair Value vs Fair Value
Goodricke Group 500166 ₹217.35 ₹178.30 −18%
GOODRICKE GOODRICKE ₹217.35 ₹176.20 −19%
WARDWIZFBL WARDWIZFBL ₹9.40 ₹1.78 −81%
MLKFOOD MLKFOOD ₹80.30 ₹125.83 +57%
Milkfood Limited 507621 ₹80.30 ₹129.16 +61%
BENGALT BENGALT ₹141.50 ₹79.21 −44%
TIRUSTA TIRUSTA ₹140.90 ₹141.45 +0%
SOURCENTRL SOURCENTRL ₹107.00 ₹47.71 −55%
B & A Limited 508136 ₹400.95 ₹164.21 −59%
Tirupati Starch and Chemicals Limited 524582 ₹140.90 ₹222.60 +58%

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Cite: Fair Value Calculator (2026). "B & A LTD. Fair Value". https://www.fairvalue-calculator.com/stock/BNALTD

Frequently asked questions

Is B & A LTD. (BNALTD) overvalued or undervalued?
As of Sep 13, 2026, our model estimates a fair value of ₹164.21 versus a price of ₹355.00, about −54% upside (overvalued).
What is the fair value of BNALTD?
Our model-based fair value for B & A LTD. is ₹164.21 (as of Sep 13, 2026), built from audited fundamentals. The current price: ₹355.00.
What is the quality score of BNALTD?
B & A LTD. has a Quality Score of 33/100. It measures business quality (profitability, growth, cash flow, balance-sheet strength, investment discipline, share issuance). Market factors such as price momentum and volatility do not enter the number; they are shown separately in the detail view.
What is the price target for B & A LTD. (BNALTD)?
Our model-based price target is the fair value of ₹164.21 (as of Sep 13, 2026) from 6 valuation models. Cautious scenario ₹43.92, optimistic scenario ₹284.50. It is a calculation from audited fundamentals, not an analyst target.
What is the B & A LTD. stock forecast for 2026?
Our models put fair value at ₹164.21, about −54% upside versus a price of ₹355.00 (overvalued). Cautious scenario ₹43.92, optimistic scenario ₹284.50. The calculation is refreshed regularly with new filings.
What is the revenue of B & A LTD. (BNALTD)?
B & A LTD. reported trailing-twelve-month revenue of about ₹2.8B (latest available figure, as of Sep 13, 2026).
Does B & A LTD. pay a dividend?
B & A LTD. currently shows a dividend yield of about 0.13% relative to its recent price (as of Sep 13, 2026).
What is the intrinsic value of B & A LTD. (BNALTD)?
Intrinsic value and fair value mean the same thing: what the business is worth on its numbers, independent of the share price. For B & A LTD. it is ₹164.21 per share (as of Sep 13, 2026), against a price of ₹355.00. It is the blended result of 6 valuation models (cash flow, earnings, asset, dividend).
Is B & A LTD. stock overvalued or undervalued in 2026?
As of Sep 13, 2026, BNALTD trades above its calculated fair value: price ₹355.00, fair value ₹164.21, a gap of about −54% (overvalued). The calculation is refreshed with each new quarterly report, so the verdict can change during the year.
Is fair value the same as the market price of BNALTD?
No. The price is what the market pays today (₹355.00); the fair value is what the company's own numbers justify (₹164.21). For B & A LTD. the two are ₹190.79 per share apart. That gap is exactly why we show both numbers side by side.
How much is B & A LTD. worth?
The market values B & A LTD. at about ₹1.1B (market capitalisation, as of Sep 13, 2026). Per share that is ₹355.00; our models calculate a fair value of ₹164.21 per share.
What do the bullish and bearish scenarios say about BNALTD?
Our models span a range for B & A LTD.: cautious scenario ₹43.92, base ₹164.21, optimistic ₹284.50 per share (as of Sep 13, 2026, price ₹355.00). The range comes from different growth and margin assumptions, not from analyst opinions.
How solid is the balance sheet of B & A LTD. (BNALTD)?
Balance-sheet figures for B & A LTD. (as of Sep 13, 2026): return on equity −1.2%, debt of 0.21 per unit of equity. They feed the Quality Score of 33/100, which measures business quality independently of the share price.
How far is BNALTD from its 52-week high?
B & A LTD. trades at ₹355.00, about 30% below its 52-week high of ₹509.90 and 10% above the low of ₹323.80 (as of Sep 13, 2026). Distance from the high says nothing about value: that is what the fair value of ₹164.21 is for.
Which stocks are comparable to B & A LTD.?
From the same area (Consumer Staples) we also value Goodricke Group, GOODRICKE, WARDWIZFBL, MLKFOOD, among others. Each of them has its own fair-value calculation on this site using the same models, so the comparison is like for like.
Is B & A LTD. stock attractive at the current price?
The data as of Sep 13, 2026: price ₹355.00, calculated fair value ₹164.21 (−54%), Quality Score 33/100, from 6 models. Whether that fits your horizon and risk tolerance is your call. We provide the calculation, not investment advice.
How is the fair value of BNALTD calculated?
We run B & A LTD. through 6 models from four families: discounted cash flow, earnings models, asset and balance-sheet models, and dividend models. Every model gets the same audited fundamentals; the result is the weighted average of ₹164.21, with the spread shown as a cautious and an optimistic scenario.
Is it still worth investing in stocks now?
The global stock market currently sits 16.1 % above its aggregate fair value. B & A LTD. itself currently trades above fair value. An expensive market is no reason to stay out and no reason to buy everything at once: keep a broad savings plan running, buy single stocks only with money you can do without, and hold part of your money liquid while the market is high. The full picture including sectors is on is it worth investing now.
What is the share price of B & A LTD. (BNALTD)?
The closing price on Sep 21, 2026 was ₹355.00. Our model-based fair value is ₹164.21, about −54% upside (overvalued). We carry closing prices from our data provider, not a live tick.
What should I pay attention to with B & A LTD. right now?
The price sits above even our optimistic bull case (₹284.50). The favourable scenario is already priced in. Weak quality (33/100) and above fair value at the same time, the margin of safety is missing on both counts. The model range is unusually wide (₹43.92 to ₹284.50). The outcome hinges heavily on assumptions, so read the point estimate with caution.

Key figures of B & A LTD.

How large is the market capitalisation of B & A LTD. (BNALTD)?
The market capitalisation of B & A LTD. is ₹1.1B (≈ $11.6M). The stock-market value of the whole company: share price times number of shares. It is what the market asks for the entire business today.
What is the P/S ratio of B & A LTD. (BNALTD)?
The price-to-sales ratio of B & A LTD. is 0.39 (last twelve months). Price to sales: market value relative to yearly revenue. Useful when profit is thin or distorted.
What are the earnings per share of B & A LTD. (BNALTD)?
Earnings per share at B & A LTD. are ₹−12.71. Earnings per share over the last twelve months: total profit spread across every single share.
What is the dividend yield of B & A LTD. (BNALTD)?
The dividend yield of B & A LTD. is 0.1%. Yearly dividend relative to the share price. 3% pays 3 per 100 invested. Below: how much of profit is used for it.
What is the net margin of B & A LTD. (BNALTD)?
The net margin of B & A LTD. is −1.4% (fiscal year 2026). How much of every unit of revenue ends up as profit. 10% means 10 cents of profit per dollar of sales.
What is the return on equity of B & A LTD. (BNALTD)?
The return on equity (ROE) of B & A LTD. is −1.2% (last twelve months). Profit relative to shareholders' equity, how efficiently the company works with its owners' money.
What is the EBIT return on assets of B & A LTD. (BNALTD)?
On an EBIT basis the return on assets of B & A LTD. is 7.2% (avg 5y). Operating profit (EBIT) relative to everything the company owns, as a multi-year average. It describes the business model rather than one good or bad year.
What is the operating margin of B & A LTD. (BNALTD)?
The operating margin of B & A LTD. is −40.7% (last twelve months). Profit from the core business (before interest and taxes) relative to revenue.
How fast is revenue growing at B & A LTD. (BNALTD)?
Revenue at B & A LTD. is growing +1.6% versus a year earlier (3y avg −0.9%). How much revenue grew versus a year earlier (YoY). The 3-year average next to it puts the single year in context.
How fast are earnings growing at B & A LTD. (BNALTD)?
Earnings per share at B & A LTD. are growing +0.3% versus a year earlier. How much earnings per share grew versus a year earlier.
How much free cash flow does B & A LTD. (BNALTD) generate?
The free cash flow of B & A LTD. is −₹326M (fiscal year 2026). The cash truly left after running and investing in the business, this is what pays dividends and buybacks.
How much net debt does B & A LTD. (BNALTD) carry?
The net debt of B & A LTD. is ₹983M (fiscal year 2026). Debt minus cash on hand. The note shows how many years of free cash flow could in theory pay it off.
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