10 new case studies · 14 news items · updated 04 Oct 2026ContactEducation only · not investment advice
Manage Our FinanceIndian stock case studies · every morning

Today › Decorative paints › Asian Paints

Decorative paints Historical case study · data as of 01 Jul 2026 · published 04 Oct 2026 (95 days later)

Asian Paints — 100-point case study

How Asian Paints looked on 50 technical and 50 fundamental measures on 01 Jul 2026 — and what happened over the next three months. Education only; not a current view.

CodesNSE: ASIANPAINT · BSE: 500820
Close on 01 Jul 2026₹2,716.40
Market cap then₹2,60,557 crore
ValuationP/E 59.3× · P/B 12.19×
MomentumRSI (14) 58 · 1-year return +14.6%
Next 3 months-11.4% vs Nifty 50 -6.6% (to 01 Oct 2026)

Scorecard

Technical — 50 points

22 bullish · 22 neutral · 2 caution · 3 bearish — the picture leaned positive.

Fundamental — 50 points

16 bullish · 30 neutral · 0 caution · 3 bearish — the picture leaned positive.

Price chart

2,0632,3072,5502,7943,038Jul 25Oct 25Jan 26Apr 26Jul 26Oct 26R2 2,921R1 2,805S1 2,608S2 2,492Snapshot 01 JulWhat happened next →
Close (to snapshot) Close (after) 50-day avg 200-day avg Support Resistance

Technical analysis — 50 points

Calculated by code from daily prices up to 01 Jul 2026. Standard formulas (RSI, MACD, ADX use Wilder smoothing).

A. Trend

#PointReadingTagCommentary
1Short-term trend (20 days)slope -0.03%/dayNeutralOver the last 20 sessions the regression line of closing prices was falling about 0.03% a day — a flat, sideways phase.
2Medium-term trend (~5 months)3M return +19.7%BullishThe 100-session trend line was up (+0.19%/day) and the stock was +19.7% over three months, so the medium-term picture was bullish.
3Long-term trend (1 year)1Y return +14.6%BullishCompared with a year earlier the price was +14.6%. A strong positive year.
4Weekly chart trend10W 2,649.00 / 30W 2,540.60BullishOn the weekly chart the stock showed a weekly close above a rising 10-week and 30-week average stack.
5Swing structure (highs/lows)last highs 2,778.80→2,832.70; lows 2,385.50→2,607.90BullishThe two most recent swing points showed higher swing highs and higher swing lows — classic uptrend structure.
6ADX (14) — trend strength27.8BullishADX at 27.8 shows a trend of moderate strength. ADX measures strength only, not direction.
7+DI vs –DI+DI 25.1 / –DI 15.7Bullish+DI was above –DI: upward price pressure outweighed downward pressure.

B. Moving averages

#PointReadingTagCommentary
8Price vs 20-day SMA2,695.08 (+0.8%)BullishClose of 2,716.40 was 0.8% above the 20-day SMA — the short-term trend filter was positive.
9Price vs 50-day SMA2,616.18 (+3.8%)BullishClose of 2,716.40 was 3.8% above the 50-day SMA — the medium-term trend filter was positive.
10Price vs 200-day SMA2,558.93 (+6.2%)BullishClose of 2,716.40 was 6.2% above the 200-day SMA — the long-term trend filter was positive.
119 / 21 EMA crossover9E 2,680.77 / 21E 2,675.41BullishThe 9-day EMA was above the 21-day EMA; the last crossover happened on 13 Apr 2026.
12Golden / death cross (50 vs 200)last golden cross 17 Jun 2026BullishThe 50-day average was 2.2% above the 200-day. The most recent signal was a golden cross on 17 Jun 2026.
1350-day SMA slope+7.1% in 20 sessionsBullishThe 50-day average rose 7.1% over the past month — rising.
14MA ribbon alignment2,695 / 2,616 / 2,468 / 2,559NeutralThe 20/50/100/200-day averages were tangled — no clean order, typical of a transition or range.
15Monthly anchored VWAP2,687.80 (+1.1%)BullishAnchored to the start of July, the volume-weighted average price was 2,687.80; the close was above it — buyers that month were on average in profit.

C. Momentum

#PointReadingTagCommentary
16RSI (14)57.7BullishRSI at 57.7 showed positive momentum without being overbought.
17RSI divergence (last 40 days)bearish divergenceCautionComparing the last 20 sessions with the 20 before: bearish divergence: price made a higher high but RSI made a lower high.
18MACD line vs signalMACD 16.89 / signal 29.07BearishMACD was below its signal line — momentum turning or staying negative.
19MACD histogram (5-day change)-13.58 → -12.19BullishThe histogram rose over the last five sessions, meaning momentum was improving.
20MACD vs zero line16.89BullishMACD above zero means the 12-day EMA was above the 26-day EMA — a positive momentum regime.
21Stochastic (14,3,3)%K 20.1 / %D 13.7BullishSlow stochastic at 20.1 was mid-range with %K above %D.
22Williams %R (14)-55.7Neutral%R of -55.7 put the close in the middle of its 14-day range.
23CCI (20)-19NeutralCCI at -19 was within the normal ±100 band.
24Rate of change (10-day)-1.2%NeutralPrice changed -1.2% over ten sessions.

D. Volatility

#PointReadingTagCommentary
25Bollinger Band position (%B)%B 0.64 (bands 2,617.24–2,772.92)Neutral%B of 0.64 — inside the bands, upper half.
26Bollinger width / squeezewidth 5.8% (12th pct of 6M)CautionBand width was at the 12th percentile of the last six months. A squeeze like this often precedes a larger move (direction unknown).
27ATR (14)₹58.53 (2.2% of price)NeutralA typical day's range was about ₹58.53, or 2.2% of the price — useful for judging how much 'normal noise' to expect.
28Historical volatility (30-day)17.3% vs 1Y 23.9%NeutralAnnualised 30-day volatility was 17.3%, below the one-year level of 23.9%.
29Keltner Channel (20, 2×ATR)2,561.10–2,792.87NeutralThe close was inside the channel, so no volatility breakout.
30Beta vs Nifty 50 (1Y daily)0.97NeutralA beta of 0.97 means the stock tended to move roughly in line with the Nifty 50 day to day.

E. Volume & money flow

#PointReadingTagCommentary
31Volume vs 20-day averagelast day 0.75× / 5-day 1.50×NeutralThe final session traded 0.75× its 20-day average volume and the last five sessions averaged 1.50× — heavier than usual participation.
32Up-day vs down-day volume (20d)ratio 1.07NeutralAverage volume on up days was 1.07× that on down days — balanced.
33On-Balance Volume (20d)OBV risingBullishOBV rose over the month while price rose — volume confirmed the price move.
34Accumulation/Distribution linefalling (20d)BearishThe A/D line fell, meaning closes tended to be in the lower part of daily ranges on meaningful volume.
35Chaikin Money Flow (20)-0.17BearishCMF at -0.17 indicated net outflows.
36Money Flow Index (14)55.7BullishMFI, a volume-weighted RSI, was 55.7.
37Liquidity (avg daily turnover)₹393 cr/dayNeutralAbout ₹393 crore changed hands per day on average over 20 sessions — liquid.

F. Price levels

#PointReadingTagCommentary
38Support levels (S1/S2/S3)2,607.90 / 2,492.38 / 2,372.60NeutralNearest support (prior swing lows) sat at 2,607.90, 4.2% below the close, then 2,492.38, 2,372.60.
39Resistance levels (R1/R2/R3)2,804.78 / 2,920.70 / 2,985.70NeutralNearest resistance (prior swing highs) sat at 2,804.78, 3.3% above the close, then 2,920.70, 2,985.70.
40Monthly pivot points (for next month)P 2,687.80 | R1 2,751.60 | S1 2,652.60NeutralClassic pivots from July's high/low/close gave a pivot of 2,687.80; the close was above it.
41Fibonacci retracement (6M swing)23.6% 2,304 | 38.2% 2,420 | 50.0% 2,515 | 61.8% 2,609NeutralMeasuring the 6-month fall from 2,914.50 to 2,115.00, the close was nearest the 61.8% retracement at 2,609.09.
4252-week high / lowH 2,985.70 / L 2,115.00NeutralThe close was 9.0% below the 52-week high and 28.4% above the 52-week low.
43Unfilled price gaps (6M)2 open; latest gap-up 15 Apr at 2,362.50NeutralThere were 2 unfilled gap(s). The latest, a gap-up on 15 Apr 2026, left an open level at 2,362.50 that price had not revisited.

G. Patterns

#PointReadingTagCommentary
44Price structure / chart patternpullback inside a larger uptrendNeutralRule-based pattern scan: pullback inside a larger uptrend. (Classical patterns like head-and-shoulders are judgement calls; we report only what the rules detect.)
45Breakout / breakdown (20-day)range 2,607.90–2,832.70NeutralThe close was inside the prior 20-day range of 2,607.90–2,832.70.
46Latest candlestickOrdinary green candleNeutralOn 01 Jul the candle opened 2,648.00, ranged 2,624.00–2,723.00 and closed 2,716.40: Ordinary green candle. Single candles are weak signals on their own.
47Ichimoku Cloudcloud 2,390.35–2,554.22; Tenkan 2,694.50 / Kijun 2,720.30BullishPrice was above the cloud and the Tenkan line was below the Kijun line — a bullish Ichimoku setup.

H. Relative strength & summary

#PointReadingTagCommentary
48Relative strength vs Nifty 501M +0.5% / 3M +16.7%BullishThe stock outperformed the Nifty 50 by 16.7 points over three months and outperformed by 0.5 points over one month.
49Relative strength vs Nifty 50 (6M)6M +5.0%BullishNo sector index in today's data set, so we show the 6-month comparison instead: 5.0 points ahead of the Nifty 50.
50Technical summary22 bullish · 3 bearish · 22 neutral · 2 cautionBullishAcross the 49 readings the technical picture leaned positive. Levels that mattered: support 2,607.90, resistance 2,804.78. This is a description of the chart on 01 Jul 2026, not a forecast.

Fundamental analysis — 50 points

Uses only results published by 01 Jul 2026: FY26 annual (Apr 2025–Mar 2026), the Jan–Mar 2026 quarter and the Mar 2026 shareholding. ₹ crore, consolidated unless stated. Valuation uses the 01 Jul 2026 close.

A. Valuation

#PointReadingTagCommentary
1P/E (trailing 12 months)59.3×NeutralAt ₹2,716.40 the market valued the company at about ₹2,60,557 crore, or 59.3× the ₹4,394 crore profit of the four quarters to Mar 2026. That is a premium multiple — the market expected growth.
2Price / Book12.19×NeutralMarket cap was 12.19× the Mar 2026 book value (equity + reserves) of ₹21,372 crore.
3Price / Sales7.32×NeutralThe company was valued at 7.32× its trailing-12-month sales of ₹35,584 crore.
4EV / EBITDA (approx.)39.5×NeutralEnterprise value (market cap + ₹3,929 cr borrowings; cash not netted) was 39.5× trailing operating profit of ₹6,696 crore.
5Earnings yield1.7%NeutralThe inverse of P/E: each ₹100 invested bought about ₹1.7 of annual earnings. Investors often compare this with the ~6–7% yield on 10-year government bonds.
6PEG (P/E ÷ 3-yr profit CAGR)37.90BearishP/E of 59.3 divided by 3-year profit growth of 1.6% a year gives a PEG of 37.90. Below 1 is often read as growth being cheaply priced; above 2 as expensive.
7Dividend yield (trailing 12M)1.01%NeutralDividends with ex-dates in the 12 months to the snapshot totalled ₹27.5 a share, a 1.01% yield on the ₹2,716.40 price.
8Market capitalisation₹2,60,557 crNeutralAt about ₹2.61 lakh crore the company was a large-cap.
9Graham number vs price₹479.22 vs ₹2,716.40NeutralBenjamin Graham's conservative fair-value yardstick √(22.5 × EPS × book value per share) came to ₹479.22; the price was 467% above it. Quality franchises usually trade above this number.

B. Growth

#PointReadingTagCommentary
10Revenue growth FY26 (YoY)+4.9%NeutralRevenue for FY26 was ₹35,584 crore, +4.9% versus FY25.
11Q4 FY26 revenue growth (YoY)+10.6%BullishThe Jan–Mar 2026 quarter brought ₹9,247 crore of revenue, +10.6% on the same quarter a year earlier.
12Net profit growth FY26 (YoY)+18.5%BullishFY26 net profit was ₹4,395 crore, +18.5% on FY25's ₹3,710 crore.
13Q4 FY26 profit growth (YoY)+69.0%BullishQuarterly profit was ₹1,185 crore versus ₹701 crore a year earlier (+69.0%).
14Revenue CAGR (3 years)1.0%BearishRevenue compounded at 1.0% a year from FY23 to FY26.
15Profit CAGR (3 years)1.6%BearishNet profit compounded at 1.6% a year from FY23 to FY26.
16Revenue CAGR (5 years)10.4%NeutralOver five years (FY21–FY26) revenue compounded at 10.4% a year.
17EPS growth FY26 (reported)+17.9%BullishReported EPS went from ₹38.23 to ₹45.09 (+17.9%). Differences from profit growth come from changes in share count (bonus, buyback, new issues).

C. Profitability

#PointReadingTagCommentary
18Operating margin FY2619%NeutralOperating profit (EBITDA) was 19% of sales in FY26 versus 18% in FY25.
19Operating margin trend (4 quarters)18% → 18% → 20% → 19%NeutralQuarterly margins moved from 18% to 19% over the last four quarters — broadly stable.
20Net profit margin FY2612.4%Neutral₹12.4 of every ₹100 of revenue ended up as net profit in FY26.
21Return on equity FY2621.6%BullishFY26 profit was 21.6% of average shareholders' equity. Above ~15% is generally considered good; below 10% weak.
22ROCE FY2626%BullishReturn on capital employed (debt + equity) was 26% in FY26.
23Return on assets FY2612.73%NeutralNet profit was 12.73% of total assets.
24Effective tax rate FY2627%NeutralThe company paid about 27% of pre-tax profit as tax; India's base corporate rate is ~25%.
25Other income share of pre-tax profit12%NeutralNon-operating 'other income' of ₹728 crore made up 12% of pre-tax profit.

D. Balance sheet

#PointReadingTagCommentary
26Debt / equity0.18BullishBorrowings of ₹3,929 crore were 0.18× equity — very low leverage.
27Debt / EBITDA0.59×BullishDebt equalled 0.59 years of FY26 operating profit.
28Interest coverage31.8×BullishEarnings before interest and tax covered interest cost 31.8 times.
29Book value growth+10.2%BullishShareholders' equity grew +10.2% from ₹19,400 crore to ₹21,372 crore in FY26.
30Capital work in progress₹1,849 cr (19% of fixed assets)NeutralProjects under construction (CWIP) were 19% of fixed assets — a modest pipeline.
31Working capital days38 daysNeutralWorking capital tied up equalled 38 days of sales (FY25: 52). Negative means suppliers/customers fund operations.
32Cash conversion cycle84 daysNeutralIt took 84 days to turn inventory and receivables into cash, net of supplier credit.
33Debtor days46 (FY25 46)NeutralCustomers took 46 days on average to pay, versus 46 a year earlier.

E. Cash flow

#PointReadingTagCommentary
34Operating cash flow FY26₹7,088 crBullishThe business generated ₹7,088 crore of operating cash in FY26 versus ₹4,424 crore in FY25.
35Free cash flow FY26₹5,604 crBullishAfter capital spending, free cash flow was ₹5,604 crore.
36Cash conversion (CFO ÷ net profit)1.61×BullishOperating cash flow was 1.61× reported profit — profits were well backed by cash.
37Free-cash-flow yield2.2%NeutralFY26 free cash flow was 2.2% of the snapshot market cap.
38Free cash flow — 3-year total₹11,821 crBullishFree cash flow over FY24–FY26 added up to ₹11,821 crore.
39Capex FY26 (CFO – FCF)₹1,484 crNeutralImplied capital expenditure was about ₹1,484 crore, 4.2% of sales.

F. Dividends & shareholder returns

#PointReadingTagCommentary
40Dividend payout ratio FY2661%NeutralThe company paid out about 61% of FY26 profit as dividends.
41Dividend consistency (3 years)58% / 65% / 61%BullishPayout ratios for FY24 / FY25 / FY26 — dividends were paid every year.
42Share capital change (FY25→FY26)+0.0%NeutralPaid-up equity capital changed +0.0% (₹96 cr → ₹96 cr). Essentially unchanged — no dilution.

G. Ownership

#PointReadingTagCommentary
43Promoter holding52.63% (+0.00 pts YoY)NeutralPromoters owned 52.63% at Mar 2026 versus 52.63% a year earlier.
44Foreign institutional holding12.11% (-0.12 pts YoY)NeutralFIIs held 12.11% at Mar 2026, down from 12.23% a year before.
45Domestic institutional holding21.74% (+6.23 pts YoY)BullishMutual funds, insurers and other DIIs held 21.74%, up from 15.51%.
46Number of shareholders10.0 lakh (-17.5% YoY)NeutralThe shareholder count moved from 12.1 lakh to 10.0 lakh in a year — a rough gauge of retail interest.
47Promoter pledgenone reportedNeutralOur source showed no pledged promoter shares.

H. Quality & summary

#PointReadingTagCommentary
48Financial health checklist (Piotroski-style, 8 tests)6/8NeutralPassed: positive profit, positive operating cash flow, CFO > net profit, operating margin improved, ROA improved, no meaningful dilution (<3%). Failed: leverage fell, asset turnover improved.
49Automated screen flags1 strength(s) · 2 weakness(es)NeutralStrengths: Company has been maintaining a healthy dividend payout of 61.4%. Weaknesses: Stock is trading at 10.8 times its book value; The company has delivered a poor sales growth of 10.4% over past five years. (Flags generated by the data source’s rule screen.)
50Fundamental summary16 bullish · 3 bearish · 30 neutral · 0 cautionBullishOn the numbers published by 01 Jul 2026 the fundamental picture leaned positive. Valuation: P/E 59.3×, P/B 12.19×. This describes the data, not a recommendation.

News in the three months before the snapshot

Company news from 01 Apr 2026 – 01 Jul 2026 that an investor could have known on the snapshot date.

What happened next (01 Jul 2026 → 01 Oct 2026)

Later news

Educational summary. On 01 Jul 2026 the technical picture leaned positive and the fundamental picture leaned positive. Over the next three months the stock moved -11.4% against -6.6% for the Nifty 50. Here the chart's message did not line up neatly with what followed — a reminder that indicators describe the past, not the future. One case proves nothing on its own; the value is in seeing many cases over time. This page does not say whether to buy, sell or hold Asian Paints today.

Method designed by Pawan Kumar Sharma, CPA · ACCA · CIA. Numbers are computed by our engine from the sources listed below.

Sources: daily prices — Yahoo Finance history pages; financials and shareholding — Screener.in (fetched 04 Oct 2026); index — Nifty 50 via Yahoo Finance; news — linked articles. Calculations by Manage Our Finance. Report a correction

More case studies today

₹3,143.60close 01 Jul
Diversified infrastructure incubatorNSE: ADANIENTData as of 01 Jul 2026

Adani Enterprises — 100-point case study

Technical
Fundamental

What happened next (3 months): -10.4% vs Nifty 50 -6.6%

Technical: positiveFundamental: negativeP/E 42.8×P/B 5.26×RSI 661Y +19.9%
₹1,848.20close 01 Jul
Ports and logisticsNSE: ADANIPORTSData as of 01 Jul 2026

Adani Ports & SEZ — 100-point case study

Technical
Fundamental

What happened next (3 months): -6.0% vs Nifty 50 -6.6%

Technical: positiveFundamental: positiveP/E 33.3×P/B 4.44×RSI 591Y +27.7%
₹8,618.50close 01 Jul
Hospitals and healthcareNSE: APOLLOHOSPData as of 01 Jul 2026

Apollo Hospitals — 100-point case study

Technical
Fundamental

What happened next (3 months): -5.6% vs Nifty 50 -6.6%

Technical: positiveFundamental: positiveP/E 61.9×P/B 13.07×RSI 651Y +15.0%