44LOW

BBN

BABY B FPO [BBN]
Baby Bunting Group Limited, together with its subsidiaries, engages in the retail of maternity and baby goods in Australia and New Zealand. The company's principal products include prams, cots and nursery furniture, car safety, toys, babywear, feeding, nappies, Manchester, and associated accessories. It also provides car seat installation and hire services for nursery products, as well as operates retail stores and related online stores. In addition, the company offers car seat recycling, breast pump hire, store layby, and shopping consultation services. The company's products primarily cater to parents with children from newborn to three years of age, and parents-to-be. Baby Bunting Group Limited was founded in 1979 and is based in Dandenong, Australia.
Consumer Cyclical · ASX Small Cap
$1.5800 -0.6%

Updated 26 Mar 2026 · Scores refresh every scan

Appeared in 2 consecutive scans→ Score +9First seen: 2026-02-25

Score Breakdown

Technical45
Catalyst50
Sentiment50
Fundamental81
Momentum59
Risk Gate41
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Active Signals

Bullish Signals

  • RSI is looking oversold — historically a spot where stocks tend to bounce
  • Stochastic is deep in oversold territory — bounce conditions forming
  • Above-average volume (1.9x) on a red day — sellers in control
  • Lagging the Small Ords index — relative strength of 0.88, underperforming its peers
  • Cash positive / operating cashflow positive
  • Low P/S ratio (0.4x)
  • Moderate revenue growth (+7%)
  • EPS estimates revised upward (+10pts)
  • Near 52-week low (13% of range)
  • Earnings in sharp decline (-52% QoQ)
  • CANSLIM I: Institutional ownership (57%)
  • Sentiment is mixed — no strong consensus either way
  • Altman Z-Score grey zone (2.28, low-confidence approx)
  • Beneish M-Score -2.06 (grey zone -2.22 to -1.78): possible earnings manipulation
  • RBA hiking (-5pts)

Risk Signals

  • Trading below both moving averages — the trend is working against this one
  • Below the 200-day average — the long-term trend is still working against it
  • Post-earnings drift: negative surprise (SUE -10)
  • Not enough chatter to gauge sentiment — defaulting to neutral
  • The bigger volume days are the down days — volume-weighted momentum is negative (-1.10%/day)
  • Overseas neutral (-1pts, S&P500 neutral, VIX 25)
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Recent Catalysts

NONE Change of Director's Interest Notice - Gary Levin
NONE 1H FY26 Results Announcement
NONE Half Yearly Report and Accounts
LOW 1H FY26 Investor Presentation

Recent ASX Announcements

2026-03-01 Change of Director's Interest Notice - Gary Levin
2026-02-16 1H FY26 Investor Presentation PRICE SENSITIVE
2026-02-16 1H FY26 Results Announcement PRICE SENSITIVE
2026-02-16 Half Yearly Report and Accounts PRICE SENSITIVE

Key Metrics

$213.5M
Market Cap
245K
Avg Volume
1.9x
Vol Ratio
$1.33 — $3.29
52-Week Range
0.3%
Short Interest
N/A
Cash Runway
6.7%
ROE
1.4%
Profit Margin

CANSLIM Analysis

FactorRatingDetail
CCurrent EPSfailEPS Growth: -52%
AAnnual EarningsfailCAGR: 0%
NNew Highs / Catalystsneutral
SSupply & DemandneutralFloat: 80%
LLeader vs LaggardlaggardRS: -8
IInstitutional SponsorshippassInst: 57%
MMarket DirectionneutralNeutral

Sector: Consumer Cyclical

Ranked #50 of 68 · Sector avg: 46

View all Consumer Cyclical signals →
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