B&B Triplewall

NSE: BBTCL · Packaging

52W Range₹156 ₹240

Snapshot

Unlock B&B Triplewall's vital signs

Growth · Profitability · Valuation · Strength · Conviction

Company Overview

Business

B&B Triplewall Containers Limited specialises in the manufacturing and distribution of corrugated boards and boxes, including multi-ply boards and specialised containers. The company serves a diverse range of sectors such as FMCG, e-commerce, pharmaceuticals, and agriculture.

Business Model

The company generates revenue through the sale of corrugated packaging solutions, ranging from standard slotted containers to complex self-locking and large shipper cartons. It operates as a B2B supplier, leveraging its manufacturing capabilities to provide customisable, recyclable packaging products.

  • Founded:1992
  • Headquarters:Krishnagiri, India

Growth Outlook

Growth is driven by the rising demand for sustainable and recyclable packaging solutions across the e-commerce and FMCG sectors in India. The company continues to expand its product portfolio to cater to the evolving logistical requirements of its diverse industrial client base.

Key Risks

  • Raw Material Price Volatility. Fluctuations in the cost of kraft paper, the primary raw material, can significantly impact profit margins.
  • Competitive Intensity. The corrugated packaging industry is highly fragmented with low entry barriers, leading to intense price competition.
  • Economic Cyclicality. Demand for packaging is closely linked to industrial production and consumer spending, making the company vulnerable to economic downturns.

Price

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Key Metrics

REVENUE

₹616 Cr

TTM · consolidated

+25.3%YoY

NET PROFIT

₹20 Cr

TTM · consolidated

+422.4%YoY

EPS

₹40.25

TTM · consolidated

+473.4%YoY

RETURN ON EQUITY

16.9%

TTM · consolidated

+22.1 ppYoY

RETURN ON CAPITAL EMPLOYED

19.7%

TTM · consolidated

+15.7 ppYoY

P/E

5.4x

Q4 FY26 · consolidated

5.4 vs -423.0x5Y avg

EV/EBITDA

7.4x

Q4 FY26 · consolidated

7.4 vs 12.6x5Y avg

EBITDA MARGIN

14.9%

TTM · consolidated

+6.6 ppYoY

NET PROFIT MARGIN

5.5%

Q4 FY26 · consolidated

+6.9 ppYoY

DEBT TO EQUITY

1.8%

Q4 FY26 · consolidated

-0.3 ppYoY

Peers · Packaging

CompanyMkt Cap (Cr)P/EEV/EBITDARev Gr YoYEBITDA MgnROEROCE1Y Return
B&B TriplewallBBTCL
3435.417.3825.3%14.9%16.9%19.7%+22.8%
Cropster AgroCROPSTER
5113.9136.30105.9%7.1%19.3%20.4%-67.6%
TPL PlastechTPLPLASTEH
45421.9413.5121.0%11.5%19.0%25.3%+0.6%
Subam PapersSUBAM
4368.0%+176.4%
Kanpur Plastipa.KANPRPLA
42511.377.4414.0%10.8%17.8%20.4%-4.5%
Haldyn GlassHALDYNGL
42426.7010.8121.5%15.4%11.3%11.8%-10.1%

As of Q4 FY26

Financials