Colgate-Palmolive (India) Ltd
Fmcg | Mid Cap
Colgate-Palmolive (India) Ltd, operating in the FMCG sector, exhibits a mixed financial performance. The company shows strengths in solvency and certain aspects of efficiency, particularly in managing its inventory and receivables. However, it faces challenges in liquidity, growth, coverage, financial metrics, and profitability, indicating potential areas for improvement. The company's high capital expenditure suggests investments in future growth, but this needs to translate into improved financial outcomes in the long run. Overall, the company's financial health is average, with a blend of positive and negative indicators that warrant careful monitoring. The weighted average calculation method considers recent performance more heavily, reflecting the impact of current strategies.
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- Valuation MetricsHighly Overvalued
- Market Metrics
- Stock Reports
- Stock News
- Growth Ratio1.00
- Financial Ratio3.60
- Profitability Ratio1.00
- Efficiency Ratio2.67
- Coverage Ratio1.00
- Solvency Ratio4.00
- Liquidity Ratio1.00
- Peer Assessment
- Management AssessmentStrong
- Risk AssessmentStrong
- 1 HourNeutral
- 2 HoursBearish
- 4 HoursBearish
- 1 DayBearish
- 1 WeekNeutral
- 1 MonthNeutral
Colgate-Palmolive (India) Ltd, operating in the FMCG sector, exhibits a mixed financial performance. The company shows strengths in solvency and certain aspects of efficiency, particularly in managing its inventory and receivables. However, it faces challenges in liquidity, growth, coverage, financial metrics, and profitability, indicating potential areas for improvement. The company's high capital expenditure suggests investments in future growth, but this needs to translate into improved financial outcomes in the long run. Overall, the company's financial health is average, with a blend of positive and negative indicators that warrant careful monitoring. The weighted average calculation method considers recent performance more heavily, reflecting the impact of current strategies.
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Overall Valuation Score
P/E RATIO (TTM)
41.00
Industry Median
32.74
Mid Cap Median
82.41
P/E RATIO
125.18
P/B RATIO
165.11
Industry Median
5.71
Mid Cap Median
85.84
P/S RATIO
26.88
Industry Median
5.18
Mid Cap Median
16.42
Others
PEG RATIO
3.81
EV/EBITDA RATIO
98.20
The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹1997.8 as on Jun 21, 2026.
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Concall Report⬤22nd May 25
Analyst Conference Call Transcript (May 2025)
NEUTRAL SENTIMENT
The growth ratios are generally weak, indicating that the company is not experiencing significant growth in revenue, operating profit, earnings per share, assets, or net income. This suggests a need to explore new growth opportunities or optimize current strategies to drive better performance. The FMCG sector is competitive, and sustained growth is essential for maintaining market position.
| Growth Ratios | Mar 2006 | Mar 2007 | Mar 2008 | Mar 2009 | Mar 2010 |
|---|---|---|---|---|---|
| Revenue Growth Rate | 14.35 | 13.87 | 15.51 | 15.43 | |
| Operating Profit Growth Rate | 10.56 | 26.13 | 14.34 | 51.22 | |
| Earnings Per Share (EPS) Growth | 6.02 | 58.79 | 21.22 | 51.86 | |
| Asset Growth Rate | 10.66 | 3.26 | 9.6 | 10.76 | |
| Net Income Growth Rate | 5.71 | 60.14 | 21.52 | 51.39 |
Revenue Growth Rate
Operating Profit Growth Rate
Earnings Per Share (EPS) Growth
Asset Growth Rate
Net Income Growth Rate
The financial ratios present a mixed performance. Capital Expenditures is a high score. However, adjusted earnings per share, cash earnings per share, book value per share, and dividend per share are low. This suggests a need to improve core earnings and enhance shareholder value through better financial management.
| Financial Ratios | Mar 2006 | Mar 2007 | Mar 2008 | Mar 2009 | Mar 2010 |
|---|---|---|---|---|---|
| Adjusted Earnings Per Share (Adjusted EPS) | 0.99 | 1.34 | 17 | 20.86 | 31.14 |
| Cash Earnings Per Share (Cash EPS) | 1.35 | 1.24 | 18.43 | 22.57 | 33.36 |
| Book Value Per Share | 2.07 | 2.04 | 12 | 15.43 | 23.64 |
| Dividend Per Share (DPS) | 3.76 | 4.75 | 6.5 | 7.46 | 10.05 |
| Capital Expenditures (CapEx) | 40.8 | 29.4 | 43.3 | 33.6 | 31.3 |
Adjusted Earnings Per Share (Adjusted EPS)
Cash Earnings Per Share (Cash EPS)
Book Value Per Share
Dividend Per Share (DPS)
Capital Expenditures (CapEx)
The profitability ratios are generally weak, indicating that the company is not generating sufficient profits from its operations. The low gross profit margin, return on capital employed, return on equity, return on assets, operating margin, and net margin suggest a need to improve cost management, pricing strategies, and operational efficiency to enhance profitability.
| Profitability Ratios | Mar 2006 | Mar 2007 | Mar 2008 | Mar 2009 | Mar 2010 |
|---|---|---|---|---|---|
| Gross Profit Margin | 12.13 | 13.87 | 15.65 | 15.25 | 20.56 |
| Return on Capital Employed (ROCE) | 67.28 | 87 | 134 | 176 | 179 |
| Return on Equity (ROE) | 49.82 | 53.24 | 141.07 | 133.33 | 131.72 |
| Return on Assets (ROA) | 28.21 | 28.19 | 34.43 | 35.92 | 49.04 |
| Operating Margin | 15.94 | 15.41 | 17.07 | 16.9 | 22.14 |
| Net Margin | 12.4 | 11.46 | 16.12 | 16.96 | 22.24 |
Gross Profit Margin
Return on Capital Employed (ROCE)
Return on Equity (ROE)
Return on Assets (ROA)
Operating Margin
Net Margin
The efficiency ratios present a mixed view. While the company shows strength in managing its inventory and receivables, its fixed asset and capital turnover ratios are weak. This indicates that the company may not be efficiently utilizing its fixed assets and capital to generate sales. Improving asset utilization could enhance overall efficiency and profitability.
| Efficiency Ratios | Mar 2006 | Mar 2007 | Mar 2008 | Mar 2009 | Mar 2010 |
|---|---|---|---|---|---|
| Fixed Asset Turnover Ratio | 6.88 | 7.68 | 7 | 6.82 | 7.72 |
| Inventory Turnover Ratio | 13.05 | 14.24 | 14.94 | 16.35 | 15.48 |
| Receivables Turnover Ratio | 182.5 | 161.38 | 163.33 | 169.8 | 186.67 |
| Days Sales in Inventory Ratio | 27.97 | 25.63 | 24.43 | 22.32 | 23.58 |
| Receivable Days | 2 | 2.26 | 2.23 | 2.15 | 1.96 |
| Capital Turnover Ratio | 3.96 | 4.57 | 8.51 | 7.69 | 5.84 |
Fixed Asset Turnover Ratio
Inventory Turnover Ratio
Receivables Turnover Ratio
Days Sales in Inventory Ratio
Receivable Days
Capital Turnover Ratio
The coverage ratios are weak, indicating that the company may face challenges in meeting its interest and dividend obligations. The low interest coverage ratio suggests that the company's earnings are barely sufficient to cover its interest expenses. Similarly, the low equity dividend coverage ratio indicates a limited capacity to cover dividend payments to shareholders.
| Coverage Ratios | Mar 2006 | Mar 2007 | Mar 2008 | Mar 2009 | Mar 2010 |
|---|---|---|---|---|---|
| Interest Coverage Ratio | 192 | 196 | 307 | 175.5 | 251 |
| Equity Dividend Coverage Ratio | 1.37 | 1.15 | 1.33 | 1.41 | 1.59 |
Interest Coverage Ratio
Equity Dividend Coverage Ratio
The solvency ratios present a mixed picture. While the company exhibits a very conservative approach to debt, leading to high scores in debt-related metrics, the equity ratio is weak. This suggests that the company relies heavily on equity to finance its assets. This may limit its financial flexibility and potential for growth through leverage.
| Solvency Ratios | Mar 2006 | Mar 2007 | Mar 2008 | Mar 2009 | Mar 2010 |
|---|---|---|---|---|---|
| Debt Ratio | 0.02 | 0.02 | 0.03 | 0.02 | 0.01 |
| Debt to Equity Ratio | 0.02 | 0.02 | 0.03 | 0.02 | 0.01 |
| Equity Ratio | 0.98 | 0.98 | 0.97 | 0.98 | 0.99 |
| Debt To Asset Ratio | 0.01 | 0.01 | 0.01 | 0.01 | 0.01 |
Debt Ratio
Debt to Equity Ratio
Equity Ratio
Debt To Asset Ratio
The liquidity position of Colgate-Palmolive (India) Ltd is weak, suggesting potential challenges in meeting short-term obligations. The low current, quick, and cash ratios indicate that the company may struggle to convert its current assets into cash quickly. This might limit its ability to respond to immediate financial needs or unexpected expenses. While the FMCG sector typically benefits from stable demand, maintaining sufficient liquidity is crucial for operational flexibility and risk management.
| Liquidity Ratios | Mar 2006 | Mar 2007 | Mar 2008 | Mar 2009 | Mar 2010 |
|---|---|---|---|---|---|
| Current Ratio | 0.9 | 0.91 | 0.76 | 0.88 | 1.1 |
| Quick Ratio | 0.69 | 0.72 | 0.61 | 0.72 | 0.9 |
| Cash Ratio | 0.25 | 0.27 | 0.27 | 0.44 | 0.63 |
| Operating Cash Flow Ratio | 0.53 | 0.37 | 0.52 | 0.6 | 0.73 |
Current Ratio
Quick Ratio
Cash Ratio
Operating Cash Flow Ratio
Peer Comparison empowers investors to evaluate a company against its industry peers using key financial metrics like P/E ratio, EPS, and profit margins. It helps identify whether a company is overvalued, undervalued, or performing in line with competitors. Investors can use this data to spot opportunities, assess risks, and make informed decisions. This contextual view adds depth beyond standalone company analysis.
| NO | Company Name | Health Score | P/E Ratio | Valuation | OPM | EPS | Latest Profit & Loss |
|---|---|---|---|---|---|---|---|
| 1 | Marico Ltd | 7.75 | 60.21 | Neutral | 2328.00 | 14.95 | 1813.00 |
| 2 | Dabur India Ltd | 7.70 | 39.65 | Neutral | 2450.00 | 8.41 | 1869.00 |
| 3 | Colgate-Palmolive (India) Ltd | 3.51 | 125.18 | Highly Overvalued | 434.00 | 48.73 | 436.00 |
| 4 | Procter & Gamble Hygiene and Health Care Ltd | 3.51 | 35.15 | Neutral | 1171.00 | 263.86 | 856.00 |
| 5 | Gillette India Ltd | 3.51 | 38.99 | Neutral | 943.00 | 200.80 | 654.00 |
Colgate-Palmolive (India) Ltd demonstrates effective management with strong profitability, efficient capital use, and a healthy financial structure. Consistent sales and profit growth, high ROCE and ROE, indicate proficient management. Stable shareholding, particularly consistent promoter holding, reinforces confidence. Efficient working capital management is evident from the negative cash conversion cycle. These factors point to a capable management team focused on profitability and shareholder returns.
| Category | Metric | Value | Assessment |
|---|---|---|---|
| PROS | Profit Growth (3Y) | 33% | Strong profit growth |
| ROCE | 99.50 | Capital being used productively | |
| Promoter Holding | 51.00% | Confidence and alignment with shareholders | |
| CONS | P/E Ratio | 149 | High P/E ratio compared to peers |
Financial Performance & Growth
Colgate-Palmolive demonstrates robust financial performance and growth. The company has shown consistent sales and profit increases over the years. Compounded Profit Growth (3Y) is at 33%, indicating substantial profitability improvement. The OPM % has been maintained well, reflecting operational efficiency.
| Metric | Mar 2006-Mar 2008 | Mar 2009-Mar 2011 | Mar 2012-Mar 2014 | Mar 2015-Mar 2017 | Mar 2018-Mar 2020 | |---|---|---|---|---| | Sales Growth (%) | 14.2% | 18.5% | 12.4% | 6.9% | 4.1% | | Profit Growth (%) | 20.2% | 21.4% | 14.2% | 10.1% | 9.8% |
Capital Efficiency & Returns
Colgate-Palmolive showcases excellent capital efficiency and returns. The current ROCE is 99.50, indicating highly productive use of capital. ROE is also strong at 73.59, reflecting good returns on shareholder funds.
| Metric | 2006-2010 | 2011-2015 | 2016-2020 |
|---|---|---|---|
| Avg. ROCE (%) | 145.6% | 165.4% | 136.4% |
Financial Health & Prudence
Colgate-Palmolive exhibits strong financial health and prudence. The debt levels are minimal, with low borrowings. The company consistently shares profits through dividends, as indicated by the Dividend Payout %. This reflects a commitment to rewarding shareholders and maintaining financial stability.
| Metric | 2006-2010 | 2011-2015 | 2016-2020 |
|---|---|---|---|
| Avg. Borrowings | 4.59 | 4.69 | 4.69 |
| Avg. Dividend Payout (%) | 72% | 67% | 70% |
Shareholding & Ownership Structure
Colgate-Palmolive has a stable and favorable shareholding structure. The promoters maintain a consistent holding of 51.00%, indicating strong alignment with the company's long-term vision. Significant interest from institutional investors is evidenced by consistent FII and DII holdings. This mix of ownership suggests confidence in the company's management and future prospects.
| Shareholder Type | Mar 2017 | Mar 2019 | Mar 2021 | Mar 2023 | Mar 2025 |
|---|---|---|---|---|---|
| Promoters | 51.00% | 51.00% | 51.00% | 51.00% | 51.00% |
| FIIs | 16.25% | 15.37% | 16.90% | 21.50% | 22.23% |
| DIIs | 9.05% | 10.18% | 10.02% | 7.34% | 7.84% |
Colgate-Palmolive (India) Ltd. indicates a low-risk profile due to strong financial health with minimal debt and efficient working capital management, as evidenced by its negative cash conversion cycle. Consistent profitability and high returns on capital employed further mitigate financial risks. Stable promoter holding and significant institutional investment reflect confidence in the company's governance and future prospects, contributing to a favorable risk outlook.
Off-balance sheet exposure quantification
There is no significant off-balance sheet exposure evident from the provided data, which indicates a conservative and transparent financial approach.
Contingent liability evaluation
Based on the provided data, there are no readily apparent indicators of significant contingent liabilities that pose an immediate threat to the company's financial stability.
Accounting quality red flags
The data suggests a consistent and stable financial reporting environment.
Regulatory compliance cost trends
There is no specific data available on regulatory compliance cost trends.
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Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Market Sentiment
Analysis Driven By 26 Technical Indicators From The 1 Hour Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Momentum Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 102011.76Bearish
- SMA 202023.15Bearish
- SMA 502048.54Bearish
- EMA 102010.16Bearish
- EMA 202022.91Bearish
- EMA 502037.32Bearish
- DEMA 101996.88Bullish
- DEMA 202003.55Bearish
- DEMA 502027.03Bearish
- TEMA 101996.10Bullish
- TEMA 201993.68Bullish
- TEMA 502020.70Bearish
- MACD-15.03Bearish
- ADX26.28Strong Trend
- IndicatorValueSignal
- RSI32.29Neutral
- CCI-124.24Oversold
- ROC 9-1.21Bearish
- ROC 14-1.38Bearish
- ROC 25-3.49Bearish
- Stoch K13.62Oversold
- Stoch D8.91Oversold
- IndicatorValueSignal
- BB Upper2054.57Neutral
- BB Middle2023.15Neutral
- BB Lower1991.73Neutral
- ATR12.38Low Volatility
- IndicatorValueSignal
- MFI24.56Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Market Sentiment
Analysis Driven By 26 Technical Indicators From The 2 Hours Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Strong Bearish
Momentum Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 102018.01Bearish
- SMA 202043.92Bearish
- SMA 502035.48Bearish
- EMA 102018.33Bearish
- EMA 202031.31Bearish
- EMA 502043.34Bearish
- DEMA 102000.17Bullish
- DEMA 202017.27Bearish
- DEMA 502025.55Bearish
- TEMA 101993.75Bullish
- TEMA 202003.77Bearish
- TEMA 502026.26Bearish
- MACD-12.68Bearish
- ADX19.10Weak Trend
- IndicatorValueSignal
- RSI36.89Neutral
- CCI-111.89Oversold
- ROC 9-1.49Bearish
- ROC 14-3.25Bearish
- ROC 25-1.28Bearish
- Stoch K5.93Oversold
- Stoch D4.52Oversold
- IndicatorValueSignal
- BB Upper2105.16Neutral
- BB Middle2043.92Neutral
- BB Lower1982.69Neutral
- ATR18.60Low Volatility
- IndicatorValueSignal
- MFI26.81Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Market Sentiment
Analysis Driven By 26 Technical Indicators From The 4 Hours Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Strong Bearish
Momentum Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 102041.50Bearish
- SMA 202040.45Bearish
- SMA 502070.30Bearish
- EMA 102029.55Bearish
- EMA 202038.11Bearish
- EMA 502054.82Bearish
- DEMA 102016.48Bearish
- DEMA 202024.51Bearish
- DEMA 502045.52Bearish
- TEMA 102004.86Bearish
- TEMA 202026.32Bearish
- TEMA 50N/AN/A
- MACD-10.59Bearish
- ADX19.74Weak Trend
- IndicatorValueSignal
- RSI39.95Neutral
- CCI-113.68Oversold
- ROC 9-3.14Bearish
- ROC 14-2.74Bearish
- ROC 25-0.44Bearish
- Stoch K5.25Oversold
- Stoch D9.44Oversold
- IndicatorValueSignal
- BB Upper2096.26Neutral
- BB Middle2040.45Neutral
- BB Lower1984.63Neutral
- ATR31.52Low Volatility
- IndicatorValueSignal
- MFI40.26Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Market Sentiment
Analysis Driven By 33 Technical Indicators From The 1 Day Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Strong Bearish
Momentum Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 102040.67Bearish
- SMA 202044.82Bearish
- SMA 502080.68Bearish
- SMA 1002079.09Bearish
- SMA 2002143.09Bearish
- EMA 102038.44Bearish
- EMA 202052.12Bearish
- EMA 502066.59Bearish
- EMA 1002086.44Bearish
- EMA 2002161.93Bearish
- DEMA 102026.13Bearish
- DEMA 202030.56Bearish
- DEMA 502053.93Bearish
- DEMA 1002031.21Bearish
- DEMA 2001995.55Bullish
- TEMA 102027.50Bearish
- TEMA 202017.10Bearish
- TEMA 502055.80Bearish
- TEMA 1002060.99Bearish
- TEMA 2001984.26Bullish
- MACD-16.39Bearish
- ADX15.87Weak Trend
- IndicatorValueSignal
- RSI41.41Neutral
- CCI-78.53Neutral
- ROC 140.39Bullish
- ROC 25-6.93Bearish
- Stoch K28.69Neutral
- Stoch D44.21Neutral
- IndicatorValueSignal
- BB Upper2130.76Neutral
- BB Middle2044.82Neutral
- BB Lower1958.88Neutral
- ATR50.38Low Volatility
- IndicatorValueSignal
- MFI56.34Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Market Sentiment
Analysis Driven By 21 Technical Indicators From The 1 Week Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Momentum Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 202077.35Bullish
- SMA 502168.39Bearish
- EMA 202090.96Bearish
- EMA 502193.83Bearish
- DEMA 202050.98Bullish
- DEMA 502016.81Bullish
- TEMA 202082.22Bearish
- TEMA 501961.84Bullish
- MACD-26.05Bullish
- ADX12.42Weak Trend
- IndicatorValueSignal
- RSI46.82Neutral
- CCI-80.51Neutral
- ROC 14-5.70Bearish
- ROC 25-1.52Bearish
- Stoch K56.07Neutral
- Stoch D59.97Neutral
- IndicatorValueSignal
- BB Upper2314.02Neutral
- BB Middle2077.34Neutral
- BB Lower1840.67Neutral
- ATR114.39High Volatility
- IndicatorValueSignal
- MFI44.00Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Market Sentiment
Analysis Driven By 25 Technical Indicators From The 1 Month Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Momentum Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 62064.87Bearish
- SMA 122167.28Bearish
- SMA 242544.15Bearish
- EMA 62082.77Bearish
- EMA 122186.89Bearish
- EMA 242290.00Bearish
- DEMA 62007.27Bullish
- DEMA 122007.02Bullish
- DEMA 242249.00Bearish
- TEMA 62033.41Bullish
- TEMA 121940.29Bullish
- TEMA 242025.11Bullish
- MACD92.57Bearish
- ADX20.79Weak Trend
- IndicatorValueSignal
- RSI49.08Neutral
- CCI-15.75Neutral
- ROC 25-27.08Bearish
- ROC 5033.56Bullish
- Stoch K11.48Oversold
- Stoch D36.65Neutral
- IndicatorValueSignal
- BB Upper2982.03Neutral
- BB Middle2367.98Neutral
- BB Lower1753.93Neutral
- ATR274.29Low Volatility
- IndicatorValueSignal
- MFI48.92Neutral