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ARROWGREEN · Materials · 2026-08-21

Arrow Greentech Ltd

6.8★★ GoodEven -0.8Stage 2 · wk 11In scan: Pullback Hunter · Prop Scan · Breakout WatchMARKET: BULL RISING · 2026-08-21
₹713.2
+3.00% today
₹1,076 Cr · Small cap
About this companyMaterials· Packaging
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Arrow Greentech Limited, together with its subsidiaries, engages in the manufacture and sale of water-soluble films, bio-compostable products, and other green products in India and internationally. It operates through the Green Products and High-Tech Products segments. The company also offers packaging films for agro chemicals, liquid detergents, seed tapes, laundry bags, toilet blocks, and powder detergents. In addition, it provides embroidery films, mold release films, and water transfer printing films for the decoration of a range of products. Furthermore, the company offers plasticizer-free thermoplastic and transparent materials. Additionally, it provides security based and pharmaceutical products, and deals in anti-counterfeit solutions, IPRs, and other high-tech products, as well as intellectual property based products. Arrow Greentech Limited was formerly known as Arrow Coated Products Limited and changed its name to Arrow Greentech Limited in May 2016. The company was incorporated in 1992 and is based in Mumbai, India.

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P/E (TTM)
14.7
Forward —
Earnings Growth (YoY)
+3.4%
Revenue +1.7%
Dividend Yield
0.84%
P/B 3.6
vs 52W High
-11.9%
₹345.8 lo₹809.1 hi
11.9% below 52W high — pullback range
How far this stock is from its 52-week high. A pullback of 3–20% while Stage 2 structure holds is typically a better entry than chasing near the high.
Stage Maturity
Week 11
1w13w26w
Week 11 — early Stage 2, building
How long this stock has been in Stage 2. The sweet spot is typically 13–26 weeks — enough time to prove the structure holds, not so long it's extended. Very fresh (wk 1–4) often needs more time to confirm.
vs 200 DMA
31.5%
200 DMA: ₹542.4 · rising
Long-term trend anchor. When stock and Nifty are both above their 200 DMA, the macro backdrop supports continuation.
Rel Volume
0.77x
vs 50-day avg
Low vol (0.5–1x) on pullbacks = resting, not being sold. High vol on breakouts = commitment. Volume spike on down days is a warning sign.
Trend Health
MA20 trending up · +4.4% vs MA50 +15.3%
Two-layer momentum read: the glyph shows whether the 20-day MA is rising (↑/↗), flat (→), or rolling over (↓). The ⇈ flag fires when the 20-day MA is pulling away from the 50-day MA — short-term momentum building on top of the longer trend. Best when both glyphs agree.
Sector
Materials
↑ Building
Stage 2%
39.3%
20d Δ
+8.0pp
1M return
+2.7%
3M return
+1.4%
Sector Stage-2 % · last 20 days
This stock ranks #129 of 158 Stage 2 stocks in Materials by RS. Lagging sector peers.
Industry
Packaging
↑ Building
Stage 2%
66.7%
20d Δ
+33.3pp
1M return
+14.5%
3M return
+34.9%
Industry Stage-2 % · last 20 days
Ranks #12 of 14 Stage 2 stocks in this industry.
Price + Volume Chart
Loading price chart…
Stage Cycle Timeline2023-05-26 → 2026-08-21
S2 20w
S3 14w
S2 26w
S1 15w
S4 32w
2023-05-262026-08-21
S1S2S3S4Setup score (0–10, dashed line at 5)
S2 13w → S3 3w → S2 20w → S3 14w → S2 26w → S3 1w → S2 9w → S3 5w → S4 13w → S1 15w → S4 32w → S1 7w → S2 11w current
Total tracked: 168 weeks across 13 stage runs.
1M
+0.5%
3M
+49.4%
6M
+67.3%
YTD
+37.4%
1Y
-7.4%
Scan Membership
Pullback Hunter
Latest: 2026-08-21
Prop Scan
Latest: 2026-08-21
Breakout Watch
Latest: 2026-06-08
60 appearances in last 60 days. First seen: 2026-06-08.
Stocks that stay in the scan for 13+ weeks are in the highest observed-return cohort — they keep qualifying because the structure remains intact, not by luck. Persistence in the scan is itself a quality signal.
Recent Stage Timeline
2026-08-21S2
Wk 11 · Vol x
2026-08-20S2
Wk 11 · Vol x
2026-08-19S2
Wk 11 · Vol x
2026-08-18S2
Wk 11 · Vol x
2026-08-17S2
Wk 10 · Vol x
2026-08-14S2
Wk 10 · Vol x
2026-08-13S2
Wk 10 · Vol x
2026-08-12S2
Wk 10 · Vol x
2026-08-11S2
Wk 10 · Vol x
2026-08-10S2
Wk 9 · Vol x
2026-08-07S2
Wk 9 · Vol x
2026-08-06S2
Wk 9 · Vol x
Sector Peers — Stage 2All →
COMSYN
wk 10 · -1.2% from hi
9.6
GULFPETRO
wk 9 · -0.5% from hi
9.6
MMP
wk 11 · -1.1% from hi
9.4
SIGIND
wk 2 · -1.4% from hi
9.2
SBCL
wk 15 · -10.1% from hi
9.0
Moving averages & range
50 DMA
₹682.1
200 DMA
₹542.4
52W High
₹809.1
52W Low
₹345.8
5D Low
₹692.4
Resistance levels (recent highs)
20d High
₹809.1
60d High
₹809.1
120d High
₹809.1
250d High
₹809.1
Next resistance
+13.5%
to 20d High

All analytics based on EOD data. Data as of 2026-08-21. Past data patterns are not indicative of future results. This page is a data analytics tool only.