Eternal Ltd Stock Forecast & Price Targets (Nov 2025 - 2026)
Comprehensive Technical & Fundamental Analysis for Traders & Investors
Stock Information
Current Price:
₹328.00
Symbol (NSE):
ETERNAL
Previous Close:
₹328.30
52Wk High/Low:
₹368.40 / ₹189.60
Market Cap:
₹3,16,869 Cr
PE Ratio:
110.93
EPS (TTM):
₹2.96
ROE:
11.83%
Price Target Forecast
Upside Price Targets
| Time Frame | Target Price (₹) | Potential Gain |
|---|---|---|
| Short Term (Nov-Dec 2025) | 350-370 | 7-13% |
| Medium Term (Q1 2026) | 385-420 | 17-28% |
| Long Term (FY 2026) | 450-520 | 37-58% |
| Multibagger Potential (If Growth Accelerates) | 600+ | 83%+ |
Downside Price Targets
| Time Frame | Target Price (₹) | Potential Loss |
|---|---|---|
| Short Term (Nov-Dec 2025) | 300-315 | 4-9% |
| Medium Term (Q1 2026) | 280-295 | 10-15% |
| Long Term (FY 2026) | 240-270 | 18-27% |
| Worst Case Scenario | 200-230 | 30-39% |
Technical Levels
Resistance Levels
- Immediate Resistance ₹340-345
- Strong Resistance ₹360-365
- Breakout Level ₹370-375
- All-Time High Resistance ₹385-390
- Psychological Resistance ₹400-410
Support Levels
- Immediate Support ₹320-325
- Strong Support ₹305-310
- Breakdown Level ₹295-300
- Major Support ₹280-285
- Critical Support ₹260-265
Strategic Levels
- Strong Buy Zone ₹300-315
- Breakout Buy Level ₹370+
- Strong Sell Zone ₹380-400
- Profit Booking Zone ₹360-380
- Breakdown Sell Level ₹295-
Expected Financial Performance (2026)
| Financial Indicator | Projected 2026 | Growth vs 2025 |
|---|---|---|
| Revenue | ₹320-350B | 58-73% |
| Net Income | ₹8-10B | 52-90% |
| EPS | ₹0.85-1.10 | 47-90% |
| EBITDA | ₹4-5B | 57-96% |
| Net Profit Margin | 2.8-3.2% | 8-23% |
| PE Ratio (Projected) | 85-95 | -14 to -23% |
Pro Trading & Investment Tips
For Short-Term Traders (1-3 months)
- Buy near support levels (₹305-315) for targets of ₹340-360
- Use stop loss at ₹295 for long positions
- Consider shorting if price breaks below ₹295 with target of ₹280
- Watch for breakout above ₹370 for momentum trading opportunities
- Book profits in the ₹360-380 resistance zone
For Medium-Term Investors (3-12 months)
- Accumulate on dips to ₹300-320 levels
- Price target of ₹385-420 for Q1 2026
- Hold with stop loss at ₹280
- Partial profit booking recommended at ₹380-400 levels
- Monitor quarterly results for growth sustainability
For Long-Term Investors (1+ years)
- Buy in staggered manner between ₹300-340
- Long-term target of ₹450-520 for FY 2026
- Hold core position with trailing stop loss
- Re-evaluate if fundamentals change significantly
- Multibagger potential if company executes growth plans effectively
Important Disclaimer
This analysis is based on current financial data, technical indicators, and market conditions which can change anytime. The company's financial position and market dynamics may change, so regularly monitor your investments and stay updated with company news and performance. Past performance is not indicative of future results. Consult with a financial advisor before making investment decisions.


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