Godrej Consumer Products Ltd
Fast Moving Consumer Goods | Large Cap
Godrej Consumer Products Ltd presents a mixed financial picture, characterized by strong core profitability and low debt, but contrasted by significant concerns in liquidity and recent earnings growth. The company excels in generating profits from its sales and operations, and its minimal reliance on debt provides a stable long-term foundation. It is also successfully growing its revenue and operating profit, indicating healthy business demand. However, a major point of concern is the sharp decline in net income and earnings per share, suggesting that top-line growth is not translating into shareholder value. The company's ability to meet its short-term financial obligations appears strained. While it is investing heavily for the future, and rewarding shareholders with dividends, these actions seem disconnected from its recent earnings performance. The future outlook depends on whether its large investments can generate sufficient returns to fix the underlying issues with bottom-line growth and cash flow.
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- Valuation MetricsOvervalued
- Market Metrics
- Stock Reports
- Stock News
- Growth Ratio5.20
- Financial Ratio3.60
- Profitability Ratio7.60
- Efficiency Ratio5.33
- Coverage Ratio6.80
- Solvency Ratio8.00
- Liquidity Ratio2.00
- Peer Assessment
- Management AssessmentBalanced
- Risk AssessmentBalanced
- 1 HourNeutral
- 2 HoursBearish
- 4 HoursBearish
- 1 DayBearish
- 1 WeekBearish
- 1 MonthBearish
Godrej Consumer Products Ltd presents a mixed financial picture, characterized by strong core profitability and low debt, but contrasted by significant concerns in liquidity and recent earnings growth. The company excels in generating profits from its sales and operations, and its minimal reliance on debt provides a stable long-term foundation. It is also successfully growing its revenue and operating profit, indicating healthy business demand. However, a major point of concern is the sharp decline in net income and earnings per share, suggesting that top-line growth is not translating into shareholder value. The company's ability to meet its short-term financial obligations appears strained. While it is investing heavily for the future, and rewarding shareholders with dividends, these actions seem disconnected from its recent earnings performance. The future outlook depends on whether its large investments can generate sufficient returns to fix the underlying issues with bottom-line growth and cash flow.
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Overall Valuation Score
P/E RATIO (TTM)
93.30
Industry Median
25.60
Large Cap Median
61.51
P/E RATIO
68.01
P/B RATIO
10.53
Industry Median
4.71
Large Cap Median
10.50
P/S RATIO
105.60
Industry Median
1.68
Large Cap Median
56.75
Others
PEG RATIO
16.92
EV/EBITDA RATIO
38.47
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Concall Report⬤30th Jan 26
Q3 FY26 Earnings Conference Call
BULLISH SENTIMENT
Quarterly Report⬤23rd Jan 26
Quarterly Financial Results Q3 FY 2025-26
NEUTRAL SENTIMENT
The company's growth profile is highly contradictory. It shows strong performance in growing its sales and operating profits, which points to market expansion and good operational management. However, this positive trend is completely reversed at the bottom line, with both net income and earnings per share experiencing a severe decline. This alarming disconnect suggests that factors like high non-operating expenses, taxes, or one-time losses are erasing the benefits of its business growth before they reach shareholders.
| Growth Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Revenue Growth Rate | 11.31 | 8.47 | 5.86 | 1.9 | 5.67 |
| Operating Profit Growth Rate | 0.42 | 1.41 | 21.04 | 1.96 | 4.68 |
| Earnings Per Share (EPS) Growth | 3.62 | -4.53 | -132.91 | -430.47 | 0.44 |
| Asset Growth Rate | |||||
| Net Income Growth Rate | 3.6 | -4.54 | -132.96 | -430.12 | 0.49 |
Revenue Growth Rate
Operating Profit Growth Rate
Earnings Per Share (EPS) Growth
Asset Growth Rate
Net Income Growth Rate
This category reveals a potential disconnect in the company's financial strategy. On one hand, it is paying a very high dividend to its shareholders. On the other, its per-share earnings are extremely weak, and it is simultaneously undertaking very large capital expenditures. This combination suggests a potential strain on cash resources, as the company is investing heavily in the future while also maintaining a generous shareholder payout that isn't supported by current profits.
| Financial Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Adjusted Earnings Per Share (Adjusted EPS) | |||||
| Cash Earnings Per Share (Cash EPS) | 0 | 0 | 0 | 0 | 0 |
| Book Value Per Share | |||||
| Dividend Per Share (DPS) | 0 | 0 | 15.02 | 24.99 | 20.01 |
| Capital Expenditures (CapEx) | 3 | 8 | 31 | 559 | 543 |
Adjusted Earnings Per Share (Adjusted EPS)
Cash Earnings Per Share (Cash EPS)
Book Value Per Share
Dividend Per Share (DPS)
Capital Expenditures (CapEx)
The company's core profitability is a major strength. It demonstrates a strong ability to control production and operating costs, resulting in healthy margins from its sales. Furthermore, it generates excellent returns on the capital invested in its operations. This operational and financial efficiency at the core of the business is a key positive. However, the analysis is incomplete as data on the returns to shareholders (ROE) and on the total asset base (ROA) is not available.
| Profitability Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Gross Profit Margin | 17.91 | 16.57 | 19.27 | 19.36 | 19.03 |
| Return on Capital Employed (ROCE) | 19 | 17 | 19 | 19 | 19 |
| Return on Equity (ROE) | |||||
| Return on Assets (ROA) | |||||
| Operating Margin | 19.62 | 18.35 | 20.98 | 20.99 | 20.79 |
| Net Margin | 14.52 | 12.78 | -3.98 | 12.89 | 12.26 |
Gross Profit Margin
Return on Capital Employed (ROCE)
Return on Equity (ROE)
Return on Assets (ROA)
Operating Margin
Net Margin
The company's operational efficiency is a mixed bag. On the positive side, it is quite effective in collecting payments from its customers, which helps with cash flow. However, there are signs of inefficiency in how it uses its assets, both fixed and overall capital, to generate sales. This suggests that while customer credit management is a strength, the productivity of its large investments is a potential weakness. Data on inventory management is inconclusive, making a full assessment of operational flow difficult.
| Efficiency Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Fixed Asset Turnover Ratio | |||||
| Inventory Turnover Ratio | N/A | N/A | N/A | N/A | N/A |
| Receivables Turnover Ratio | 11.06 | 10.74 | 9.12 | 7.93 | 8.3 |
| Days Sales in Inventory Ratio | N/A | N/A | N/A | N/A | N/A |
| Receivable Days | 33 | 34 | 40 | 46 | 44 |
| Capital Turnover Ratio |
Fixed Asset Turnover Ratio
Inventory Turnover Ratio
Receivables Turnover Ratio
Days Sales in Inventory Ratio
Receivable Days
Capital Turnover Ratio
The company's coverage position is mixed. It has an excellent ability to cover its interest payments from its operating profits, indicating very low default risk on its debt. This is a sign of strong financial health. However, on the other hand, its earnings do not currently cover the dividends being paid to shareholders. This suggests the dividend policy may be unsustainable if earnings do not recover, as it may be funded from sources other than current profit.
| Coverage Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Interest Coverage Ratio | 18.66 | 12.35 | 1.64 | 8.4 | 8.8 |
| Equity Dividend Coverage Ratio | 0.72 | 0.91 |
Interest Coverage Ratio
Equity Dividend Coverage Ratio
The company exhibits a very strong solvency position. The metrics show an extremely low reliance on debt financing, meaning most of the company's assets are funded by equity. This is a significant strength, as it minimizes financial risk, reduces the burden of interest payments, and provides a solid cushion against economic downturns. The company's long-term stability appears robust due to this conservative financial structure.
| Solvency Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Debt Ratio | |||||
| Debt to Equity Ratio | |||||
| Equity Ratio | |||||
| Debt To Asset Ratio |
Debt Ratio
Debt to Equity Ratio
Equity Ratio
Debt To Asset Ratio
The company's liquidity position appears weak. The data suggests a potential challenge in meeting its short-term financial obligations using its most readily available assets. This indicates a tight cash position, which could create difficulties in funding day-to-day operations or responding to unexpected financial needs. For an FMCG company that relies on constant cash flow, this is a significant area of concern and indicates potential financial pressure.
| Liquidity Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Current Ratio | |||||
| Quick Ratio | |||||
| Cash Ratio | |||||
| Operating Cash Flow Ratio |
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 | 60.48 | Neutral | 2328.00 | 14.95 | 1813.00 |
| 2 | Dabur India Ltd | 7.70 | 40.14 | Neutral | 2450.00 | 8.41 | 1869.00 |
| 3 | Godrej Consumer Products Ltd | 5.55 | 68.01 | Overvalued | 3156.00 | 14.81 | 1861.00 |
| 4 | Colgate-Palmolive (India) Ltd | 3.51 | 127.02 | Highly Overvalued | 434.00 | 48.73 | 436.00 |
Management effectiveness for Godrej Consumer Products is mixed. The company demonstrates significant strengths in financial prudence and capital management, evidenced by a low debt-to-equity ratio, a strong interest coverage ratio, and historically efficient cash conversion. High and stable promoter holding also signals confidence. However, these positives are counterbalanced by notable weaknesses in recent performance. The company is experiencing slowing sales growth and a significant decline in adjusted net profit margins. The large exceptional loss recorded in the latest fiscal year, coupled with volatile quarterly earnings, raises concerns about near-term financial stability and growth trajectory. The combination of a robust balance sheet and weakening P&L performance indicates a management team facing operational headwinds.
Financial Performance & Growth
The company's financial performance shows signs of stress. Sales growth has decelerated, with the TTM growth at 5.86% and recent quarters showing a weaker trend. Compounded sales growth over 3 years (4%) is lower than the 5-year (7%) and 10-year (6%) averages, indicating a recent slowdown. More concerning is the decline in profitability. Adjusted net profit (excluding exceptional items) fell by 19.5% in FY24. This follows a negative growth of 3% in FY23, indicating a sustained pressure on profits. The adjusted net profit margin has compressed from 12.9% in FY23 to 9.9% in FY24. While operating margins have remained relatively stable around 21%, the sharp drop in adjusted net profit in the last quarter (Mar 2024) highlights earnings volatility. The reported net loss of ₹561 Cr in FY24, driven by large exceptional items, further clouds the performance picture.
| Metric (Adjusted Profit Growth %) | 2016–2017 | 2018–2020 | 2021–2023 | 2024 | 2025 (Est) | 2026 (Est) |
|---|---|---|---|---|---|---|
| Values | 19.5% | 10.7% | 3.7% | -19.5% | 34.5% | 8.4% |
Capital Efficiency & Returns
Management demonstrates good capital efficiency. The Return on Capital Employed (ROCE) has been consistently strong, standing at 19.6% in the latest period and maintaining a healthy level over the past decade. While there was a dip to 17% in FY23, it has recovered, showing resilience. Similarly, Return on Equity (ROE) is adequate at 15.1%, with the last year's performance at 16% being in line with its 3-year and 5-year averages. A key strength is the company's working capital management. The Cash Conversion Cycle (CCC) was a highly efficient 16 days in Mar 2024. Historically, the company has even operated with a negative CCC, showcasing its ability to manage inventory, receivables, and payables effectively. These metrics collectively point to a management team that utilizes its capital base productively to generate returns.
| Metric (ROCE %) | 2015–2017 | 2018–2020 | 2021–2023 | 2024 | 2025 (Est) | 2026 (Est) |
|---|---|---|---|---|---|---|
| Values | 21.7% | 20.0% | 18.7% | 19.0% | 19.0% | 19.0% |
Financial Health & Prudence
The company's financial health is robust, reflecting prudent management. The Debt-to-Equity ratio as of March 2024 is very low at 0.25, indicating a conservative capital structure with minimal reliance on debt. Although total borrowings increased significantly in FY24, the overall leverage remains well under control. This financial prudence is further confirmed by the strong Interest Coverage Ratio, which stood at a comfortable 9.5x in FY24. While this is a decrease from 13.0x in the previous year, it still signifies a very strong capacity to meet interest obligations from operating profits. The company also demonstrates a commitment to shareholders by paying dividends, as evidenced by a 1.96% dividend yield and a cash outflow of ₹511 Cr for dividends in FY24. The enterprise value is primarily driven by market capitalization rather than debt, underscoring the company's solid financial foundation.
| Metric (Borrowings, ₹ Cr) | 2015–2017 | 2018–2020 | 2021–2023 | 2024 | 2025 (Est) | 2026 (Est) |
|---|---|---|---|---|---|---|
| Values | 3,203 | 3,488 | 1,566 | 3,222 | 4,009 | 4,416 |
Shareholding & Ownership Structure
The ownership structure indicates strong alignment and investor confidence. Promoter holding is high and stable at 63.21% as of March 2024, which is a significant indicator of the founding family's long-term commitment and confidence in the business. This high stake aligns the promoters' interests directly with those of other shareholders. Furthermore, the company maintains a strong institutional backing, with a combined FII and DII holding of 31.5%. While FII holding has seen a gradual decrease over the years, this has been more than compensated by a consistently increasing DII holding, which grew from 2.16% in 2017 to 8.94% in 2024. This shift suggests growing confidence from domestic institutions, which is a positive signal for the company's standing in its home market. The substantial and stable promoter stake, coupled with robust institutional ownership, provides a solid foundation for corporate governance and long-term strategy.
| Metric (Promoter Holding %) | 2017–2019 | 2020–2022 | 2023-2024 | 2025 (Est) | 2026 (Est) |
|---|---|---|---|---|---|
| Values | 63.26% | 63.23% | 63.22% | 53.07% | 53.06% |
The overall risk profile is mixed. While the company has a strong, conservatively managed balance sheet which is a significant mitigating factor, there are prominent risks emerging from its operational performance and accounting. The primary risk is the significant accounting red flag in FY24, where a massive exceptional item and negative 'other income' resulted in a substantial net loss, obscuring the underlying operational profitability. This event introduces uncertainty. Additionally, the tangible slowdown in sales growth and the decline in adjusted profitability point to business-level risks, possibly from increased competition or market saturation. The combination of a strong financial foundation with weakening performance and a major accounting anomaly creates a mixed risk picture.
Accounting quality red flags
A major accounting red flag is present in the financial statements for the fiscal year ending March 2024. The company reported a large exceptional item of -₹2,416 Cr for the year. Concurrently, 'Other Income' was reported as a substantial negative figure of -₹2,209 Cr. This led to a reported net loss of -₹561 Cr, despite the company generating a healthy operating profit of ₹2,957 Cr. Such a large, negative non-operating entry drastically skews the financial picture and raises questions about the nature of this charge, which could be related to a significant asset impairment, a provision for a large liability, or a major strategic write-off. This single event creates significant uncertainty and reduces the clarity of the company's true earnings power for the period.
Foreign exchange or interest rate exposure
The company's exposure to interest rate risk has increased following a rise in borrowings from ₹1,130 Cr in FY23 to ₹3,222 Cr in FY24. This is reflected in the interest coverage ratio, which declined from 13.0x to 9.5x over the same period. However, a coverage ratio of 9.5x is still very healthy and indicates a strong ability to service its debt obligations from operating earnings. The risk is well-managed due to the company's strong profitability and low overall leverage (Debt/Equity of 0.25). While the absolute debt level has risen, the company's capacity to handle the associated interest costs remains robust, making this a low-to-moderate risk area.
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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
Bearish
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 101005.42Bearish
- SMA 201012.48Bearish
- SMA 501021.74Bearish
- EMA 101005.72Bearish
- EMA 201011.36Bearish
- EMA 501016.58Bearish
- DEMA 10999.89Bullish
- DEMA 201002.95Bullish
- DEMA 501015.01Bearish
- TEMA 10999.80Bullish
- TEMA 20998.13Bullish
- TEMA 501010.90Bearish
- MACD-6.55Bearish
- ADX25.28Strong Trend
- IndicatorValueSignal
- RSI36.67Neutral
- CCI-95.86Neutral
- ROC 9-0.28Bearish
- ROC 14-1.79Bearish
- ROC 25-2.23Bearish
- Stoch K21.04Neutral
- Stoch D13.42Oversold
- IndicatorValueSignal
- BB Upper1030.01Neutral
- BB Middle1012.47Neutral
- BB Lower994.94Neutral
- ATR6.72Low Volatility
- IndicatorValueSignal
- MFI66.45Neutral
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 101009.88Bearish
- SMA 201021.83Bearish
- SMA 501013.18Bearish
- EMA 101009.60Bearish
- EMA 201014.88Bearish
- EMA 501016.90Bearish
- DEMA 101001.76Bullish
- DEMA 201010.01Bearish
- DEMA 501014.41Bearish
- TEMA 10998.81Bullish
- TEMA 201003.22Bearish
- TEMA 501017.93Bearish
- MACD-4.70Bearish
- ADX21.59Weak Trend
- IndicatorValueSignal
- RSI39.27Neutral
- CCI-107.87Oversold
- ROC 9-1.53Bearish
- ROC 14-2.33Bearish
- ROC 25-0.35Bearish
- Stoch K10.30Oversold
- Stoch D9.45Oversold
- IndicatorValueSignal
- BB Upper1049.57Neutral
- BB Middle1021.83Neutral
- BB Lower994.09Neutral
- ATR9.41Low Volatility
- IndicatorValueSignal
- MFI36.31Neutral
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 101020.19Bearish
- SMA 201017.83Bearish
- SMA 501016.82Bearish
- EMA 101013.66Bearish
- EMA 201015.63Bearish
- EMA 501021.37Bearish
- DEMA 101008.76Bearish
- DEMA 201013.99Bearish
- DEMA 501008.16Bearish
- TEMA 101002.79Bullish
- TEMA 201014.58Bearish
- TEMA 50N/AN/A
- MACD-1.80Bearish
- ADX13.74Weak Trend
- IndicatorValueSignal
- RSI44.31Neutral
- CCI-97.15Neutral
- ROC 9-3.90Bearish
- ROC 14-2.53Bearish
- ROC 252.75Bullish
- Stoch K7.67Oversold
- Stoch D11.90Oversold
- IndicatorValueSignal
- BB Upper1046.34Neutral
- BB Middle1017.82Neutral
- BB Lower989.31Neutral
- ATR15.60Low Volatility
- IndicatorValueSignal
- MFI23.04Neutral
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
Bearish
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 101017.85Bearish
- SMA 201016.96Bearish
- SMA 501048.24Bearish
- SMA 1001090.95Bearish
- SMA 2001135.07Bearish
- EMA 101019.37Bearish
- EMA 201021.88Bearish
- EMA 501043.04Bearish
- EMA 1001077.05Bearish
- EMA 2001117.47Bearish
- DEMA 101020.26Bearish
- DEMA 201012.32Bearish
- DEMA 501005.17Bullish
- DEMA 1001020.99Bearish
- DEMA 2001060.57Bearish
- TEMA 101023.27Bearish
- TEMA 201018.00Bearish
- TEMA 501004.00Bullish
- TEMA 100999.40Bullish
- TEMA 2001024.94Bearish
- MACD-6.01Bullish
- ADX17.61Weak Trend
- IndicatorValueSignal
- RSI44.63Neutral
- CCI-20.54Neutral
- ROC 14-1.95Bearish
- ROC 25-2.07Bearish
- Stoch K56.31Neutral
- Stoch D65.98Neutral
- IndicatorValueSignal
- BB Upper1048.62Neutral
- BB Middle1016.96Neutral
- BB Lower985.30Neutral
- ATR26.43Low Volatility
- IndicatorValueSignal
- MFI38.91Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Market Sentiment
Analysis Driven By 21 Technical Indicators From The 1 Week 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 201082.08Bearish
- SMA 501148.65Bearish
- EMA 201074.68Bearish
- EMA 501126.20Bearish
- DEMA 201023.97Bullish
- DEMA 501074.55Bearish
- TEMA 201007.68Bullish
- TEMA 501034.21Bearish
- MACD-38.62Bearish
- ADX16.18Weak Trend
- IndicatorValueSignal
- RSI42.40Neutral
- CCI-130.51Oversold
- ROC 14-7.46Bearish
- ROC 25-12.89Bearish
- Stoch K24.16Neutral
- Stoch D22.41Neutral
- IndicatorValueSignal
- BB Upper1226.06Neutral
- BB Middle1082.07Neutral
- BB Lower938.09Neutral
- ATR60.24Low Volatility
- IndicatorValueSignal
- MFI34.83Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Market Sentiment
Analysis Driven By 25 Technical Indicators From The 1 Month 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 61112.50Bearish
- SMA 121148.84Bearish
- SMA 241202.70Bearish
- EMA 61088.40Bearish
- EMA 121126.90Bearish
- EMA 241143.36Bearish
- DEMA 61041.79Bearish
- DEMA 121080.82Bearish
- DEMA 241159.33Bearish
- TEMA 61025.12Bullish
- TEMA 121043.93Bearish
- TEMA 241096.67Bearish
- MACD56.91Bearish
- ADX16.82Weak Trend
- IndicatorValueSignal
- RSI49.18Neutral
- CCI-19.95Neutral
- ROC 25-15.60Bearish
- ROC 5037.74Bullish
- Stoch K33.30Neutral
- Stoch D44.39Neutral
- IndicatorValueSignal
- BB Upper1332.80Neutral
- BB Middle1158.67Neutral
- BB Lower984.55Neutral
- ATR142.14Low Volatility
- IndicatorValueSignal
- MFI46.58Neutral