Graphite India Ltd
General Industrials | Small Cap
Graphite India Ltd, operating in the General Industrials sector, showcases a mixed financial performance. The company exhibits strong solvency and coverage ratios, indicating a solid ability to meet its long-term obligations and cover interest expenses. Its financial ratios, particularly book value and dividend per share, are also robust. However, the company struggles with liquidity and efficiency, suggesting challenges in managing short-term assets and utilizing its assets effectively. Growth ratios are weak, reflecting declines in revenue and operating profit. Profitability metrics are also inconsistent, with high gross profit and operating margins offset by low returns on equity and assets. Overall, Graphite India demonstrates financial stability but needs to address its liquidity, efficiency, and growth challenges to achieve sustained success.
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- Valuation MetricsNeutral
- Market Metrics
- Stock Reports
- Stock News
- Growth Ratio2.80
- Financial Ratio6.40
- Profitability Ratio6.40
- Efficiency Ratio4.67
- Coverage Ratio6.80
- Solvency Ratio10.00
- Liquidity Ratio2.00
- Peer Assessment
- Management AssessmentBalanced
- Risk AssessmentBalanced
- 1 HourNeutral
- 2 HoursNeutral
- 4 HoursBearish
- 1 DayBearish
- 1 WeekBearish
- 1 MonthBullish
Graphite India Ltd, operating in the General Industrials sector, showcases a mixed financial performance. The company exhibits strong solvency and coverage ratios, indicating a solid ability to meet its long-term obligations and cover interest expenses. Its financial ratios, particularly book value and dividend per share, are also robust. However, the company struggles with liquidity and efficiency, suggesting challenges in managing short-term assets and utilizing its assets effectively. Growth ratios are weak, reflecting declines in revenue and operating profit. Profitability metrics are also inconsistent, with high gross profit and operating margins offset by low returns on equity and assets. Overall, Graphite India demonstrates financial stability but needs to address its liquidity, efficiency, and growth challenges to achieve sustained success.
Overall Valuation Score
P/E RATIO (TTM)
47.34
Industry Median
37.90
Small Cap Median
37.90
P/E RATIO
71.38
P/B RATIO
2.13
Industry Median
2.19
Small Cap Median
2.19
P/S RATIO
4.57
Industry Median
4.09
Small Cap Median
4.09
Others
PEG RATIO
0.00
EV/EBITDA RATIO
35.68
The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹639.55 as on Jun 21, 2026.
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The company's growth prospects are mixed. While asset growth is strong, indicating investment in future capacity, revenue, operating profit, and EPS growth are poor. This suggests challenges in converting investments into increased profitability. The weighted average calculation, influenced by recent declines in profitability, reflects these concerns. Focusing on strategies to improve revenue and profit growth will be crucial for long-term success.
| Growth Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Revenue Growth Rate | 54.6 | 5.09 | -7.26 | -13.22 | 11.41 |
| Operating Profit Growth Rate | -313.02 | -31.88 | -145.83 | -276.92 | -20.55 |
| Earnings Per Share (EPS) Growth | -1675 | -60.51 | 305.49 | -42.82 | -62.11 |
| Asset Growth Rate | 13.93 | 3.35 | 4.33 | 6.44 | 4.88 |
| Net Income Growth Rate | -1678.12 | -60.59 | 304.52 | -43.11 | -62.66 |
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 picture. Book value per share and dividend per share are strong, while adjusted EPS is poor. Cash EPS and capital expenditures are below average. The weighted average calculation, influenced by strong book value and dividend, reflects an overall average outlook. Focusing on improving EPS and managing capital expenditures effectively can enhance long-term financial performance.
| Financial Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Adjusted Earnings Per Share (Adjusted EPS) | 25.9 | 11.85 | 2.62 | 23.13 | 8.92 |
| Cash Earnings Per Share (Cash EPS) | 28.72 | 13.13 | 45.38 | 28.1 | 13.64 |
| Book Value Per Share | 253.69 | 254.56 | 287.74 | 300.82 | 300.46 |
| Dividend Per Share (DPS) | 10.07 | 8.47 | 11.17 | 11.12 | 0 |
| Capital Expenditures (CapEx) | 88 | 168 | 715 | 157 | 250 |
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 profitability is mixed. Gross profit margin, ROCE, and operating margin are strong, indicating efficient operations and good returns on capital. However, ROE and net margin are poor. The weighted average calculation, influenced by strong gross profit and operating margins, reflects an overall average outlook. Addressing the low ROE and net margin will be crucial for improving overall profitability.
| Profitability Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Gross Profit Margin | 13.31 | 8.02 | -7.56 | 6.37 | 3.72 |
| Return on Capital Employed (ROCE) | 14 | 7 | 1 | 10 | 5 |
| Return on Equity (ROE) | 10.21 | 4.01 | 14.35 | 7.81 | 2.92 |
| Return on Assets (ROA) | 7.27 | 4.79 | -2.11 | 3.5 | 2.65 |
| Operating Margin | 15.13 | 9.81 | -4.85 | 9.88 | 7.05 |
| Net Margin | 16.68 | 6.26 | 27.29 | 17.89 | 6 |
Gross Profit Margin
Return on Capital Employed (ROCE)
Return on Equity (ROE)
Return on Assets (ROA)
Operating Margin
Net Margin
The company's efficiency in utilizing its assets is mixed. While days sales in inventory and receivable days are well-managed, fixed asset, inventory, receivables, and capital turnover ratios are poor. This suggests potential inefficiencies in asset management and working capital processes. The weighted average calculation, influenced by recent performance, reflects these areas of concern. Improving asset turnover could enhance profitability and overall operational performance.
| Efficiency Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Fixed Asset Turnover Ratio | 4.38 | 4.03 | 3.11 | 2.34 | 2.47 |
| Inventory Turnover Ratio | 1.92 | 1.45 | 1.72 | 1.89 | 2.31 |
| Receivables Turnover Ratio | 6.88 | 5.86 | 5.52 | 5.17 | 5.03 |
| Days Sales in Inventory Ratio | 190.1 | 251.72 | 212.21 | 193.12 | 158.01 |
| Receivable Days | 53.05 | 62.29 | 66.12 | 70.6 | 72.56 |
| Capital Turnover Ratio | 0.61 | 0.64 | 0.53 | 0.44 | 0.49 |
Fixed Asset Turnover Ratio
Inventory Turnover Ratio
Receivables Turnover Ratio
Days Sales in Inventory Ratio
Receivable Days
Capital Turnover Ratio
The company's coverage ratios are strong, particularly the interest coverage ratio, indicating a robust ability to meet its interest obligations. However, the equity dividend coverage ratio is poor, suggesting potential issues in sustaining dividend payments from equity. The weighted average calculation, influenced by strong interest coverage, reflects an overall positive outlook. Maintaining strong coverage ratios is crucial for investor confidence and financial stability.
| Coverage Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Interest Coverage Ratio | 139.6 | 25.77 | 60.82 | 54.73 | 10.76 |
| Equity Dividend Coverage Ratio | 2.56 | 1.2 | 3.7 | 2.13 |
Interest Coverage Ratio
Equity Dividend Coverage Ratio
The company's solvency is strong, indicating a solid long-term financial stability and low risk of financial distress. The high equity ratio and low debt ratios suggest a conservative capital structure, which supports long-term sustainability. The weighted average calculation, reflecting consistent values, underscores this positive outlook. This strong solvency provides a solid foundation for future growth and resilience against economic downturns.
| Solvency Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Debt Ratio | 0 | 0 | 0 | 0 | 0 |
| Debt to Equity Ratio | 0 | 0 | 0 | 0 | 0 |
| Equity Ratio | 1 | 1 | 1 | 1 | 1 |
| Debt To Asset Ratio | 0 | 0 | 0 | 0 | 0 |
Debt Ratio
Debt to Equity Ratio
Equity Ratio
Debt To Asset Ratio
The company's liquidity position is weak, indicating potential difficulties in meeting its short-term obligations. While maintaining sufficient cash reserves is a positive aspect, the company's challenges in converting assets into cash raise concerns about its ability to handle immediate liabilities. The weighted average calculation, heavily influenced by the most recent year, reflects this ongoing struggle. This situation could impact the company's operational flexibility and its capacity to invest in growth opportunities.
| Liquidity Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Current Ratio | 2.21 | 2.13 | 1.8 | 1.5 | 1.34 |
| Quick Ratio | 0.94 | 0.61 | 0.66 | 0.63 | 0.65 |
| Cash Ratio | 0.11 | 0.06 | 0.06 | 0.13 | 0.03 |
| Operating Cash Flow Ratio | -0.36 | -0.1 | 0.58 | 0.37 | 0.05 |
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 | Raghav Productivity Enhancers Ltd | 7.70 | 100.33 | Neutral | 75.00 | 6.35 | 55.00 |
| 2 | RHI Magnesita India Ltd | 7.16 | -20.60 | Neutral | 442.00 | -22.65 | -383.00 |
| 3 | HEG Ltd | 6.71 | 30.07 | Neutral | 398.00 | 9.36 | 341.00 |
| 4 | Graphite India Ltd | 6.23 | 71.38 | Neutral | 201.00 | 13.51 | 171.00 |
| 5 | Vesuvius India Ltd | 3.97 | 35.73 | Overvalued | 361.00 | 12.84 | 261.00 |
Graphite India Ltd.'s management demonstrates a mixed performance. The company shows strong compounded profit growth over the past 5 and 10 years. Consistent promoter holding indicates stability. However, declining sales growth and fluctuating operating profit margins suggest operational inefficiencies. Overall, the management effectiveness requires a balanced view. The company's ability to leverage other income to offset operational losses also underscores the need for a cautious approach. Recent sales decreases and inconsistent profitability highlight areas needing improved performance.
| Category | Metric | Value | Assessment |
|---|---|---|---|
| PROS | Compounded Profit Growth (5 Years) | 59% | Strong profit growth indicating effective financial strategies |
| Promoter Holding | 65.34% | Consistent promoter holding reflects stability and confidence | |
| CONS | Sales Growth (TTM) | -13% | Declining sales growth raises concerns about market competitiveness |
| Operating Profit Margin (2024) | -5% | Fluctuating margins suggest operational inefficiencies |
Financial Performance & Growth
Graphite India's financial performance shows mixed trends in revenue and profitability. Sales growth has been inconsistent. Despite a significant increase in other income in recent years, reliance on core operational efficiency is imperative.
| Metric | 2014–2016 | 2017–2019 | 2020–2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|---|
| Sales Growth (%) | -7.3% | 62.0% | 8.1% | 5.1% | -7.27% | -13.21% |
Over the period from 2014 to 2016, the company experienced negative sales growth, averaging -7.3%. This was followed by a significant turnaround between 2017 and 2019, with sales growth averaging 62.0%, driven by increased demand and favorable market conditions. From 2020 to 2022, sales growth stabilized at 8.1%. In 2023, the sales growth was 5.1%, but it declined by -7.27% in 2024 and further to -13.21% in 2025. This decline indicates challenges in maintaining revenue levels and adapting to market changes. The inconsistent sales growth suggests potential vulnerabilities in the company's market position or operational strategies.
Capital Efficiency & Returns
Capital efficiency and returns for Graphite India display variability, particularly in ROCE, reflecting sensitivity to market conditions. Return on Equity (ROE) has also experienced fluctuations, mirroring the trends observed in ROCE. Both metrics highlight the company's challenges in sustaining consistent profitability and efficiency in capital utilization.
| Metric | 2014–2016 | 2017–2019 | 2020–2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|---|
| ROCE % | 6.7% | 93.7% | 5.3% | 7% | 1% | 10% |
From 2014 to 2016, the average ROCE was 6.7%, indicating modest efficiency in capital utilization. A significant increase occurred between 2017 and 2019, with ROCE averaging 93.7%, primarily driven by high demand and favorable pricing conditions. However, from 2020 to 2022, ROCE declined to an average of 5.3%, reflecting normalization of market conditions and reduced profitability. In 2023, ROCE was 7%, followed by a sharp decline to 1% in 2024. A slight recovery to 10% was observed in 2025. This volatility indicates that the company's capital efficiency is highly susceptible to external market dynamics.
Financial Health & Prudence
Graphite India maintains a relatively stable financial position with controlled debt and consistent dividend payouts, reflecting a conservative approach to financial management.
| Metric | 2014–2016 | 2017–2019 | 2020–2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|---|
| Borrowings | 377.3 | 300.3 | 365.7 | 432 | 177 | 172 |
| Dividend Payout (%) | 52.7% | 39.7% | 1.7% | 83% | 27% | 46% |
The company's borrowings have been managed prudently. From 2014 to 2016, the average borrowings were approximately 377.3. This decreased to 300.3 between 2017 and 2019, indicating improved debt management. From 2020 to 2022, borrowings averaged 365.7. In 2023, borrowings stood at 432, decreasing significantly to 177 in 2024 and 172 in 2025. This reduction reflects a strategic effort to deleverage and strengthen the balance sheet. The dividend payout ratio has been relatively consistent. From 2014 to 2016, the average payout was 52.7%, decreasing slightly to 39.7% between 2017 and 2019. From 2020 to 2022, the average payout was 1.7%. In 2023, the payout ratio increased to 83%, followed by 27% in 2024 and 46% in 2025. This indicates a commitment to rewarding shareholders while maintaining financial flexibility.
Shareholding & Ownership Structure
Graphite India exhibits a stable and favorable ownership structure, characterized by consistent promoter holding and increasing institutional interest, reflecting confidence in the company's prospects.
| Metric | Jun 2022 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 | Dec 2024 | Mar 2025 |
|---|---|---|---|---|---|---|---|---|
| Promoter Holding | 65.34% | 65.34% | 65.34% | 65.34% | 65.34% | 65.34% | 65.34% | 65.34% |
| FIIs (%) | 5.30% | 4.39% | 4.27% | 4.56% | 4.39% | 4.59% | 5.06% | 5.46% |
| DIIs (%) | 9.50% | 9.48% | 10.63% | 12.17% | 11.39% | 10.00% | 9.93% | 10.51% |
The promoter holding has remained constant at 65.34% across all quarters. Institutional interest, particularly from Domestic Institutional Investors (DIIs), has shown an increasing trend. DII holdings have risen from 9.50% in June 2022 to 10.51% in March 2025, with a peak of 12.17% in March 2024. This indicates growing confidence among domestic institutions in the company's performance and potential. Foreign Institutional Investors (FIIs) holdings have also seen a slight increase from 5.30% in June 2022 to 5.46% in March 2025. This overall stability and increasing institutional interest suggest a positive outlook on the company's governance and future prospects.
Graphite India faces moderate risks primarily due to fluctuating operational performance and external market dependencies. The inconsistent sales growth and operating profit margins indicate potential vulnerabilities in maintaining stable financial results. The company's reliance on other income to boost profitability also introduces a degree of uncertainty. While the financial health is stable, with controlled debt and consistent dividend payouts, the operational volatility and market-driven performance necessitate careful risk management.
Segment performance volatility
The segment performance volatility is evident from the fluctuations in quarterly sales and operating profit, indicating potential business risks. The quarterly results show significant variations in sales and operating profit margins (OPM %). For example, OPM % fluctuates from 10% in Mar 2022 to -12% in Jun 2023, and then rises to 17% in Sep 2024 before dropping to -2% in Dec 2024. Such variability indicates unstable performance, which may affect overall profitability and investor confidence.
Foreign exchange or interest rate exposure
The company is exposed to foreign exchange or interest rate risks, as indicated by fluctuations in other income and interest expenses. The quarterly data shows significant volatility in other income, which can be influenced by foreign exchange gains or losses. The interest expenses, while relatively stable, also contribute to financial risk, especially when operating profits are negative. This exposure may impact profitability and financial stability.
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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
Strong Bullish
- IndicatorValueSignal
- SMA 10643.89Bearish
- SMA 20650.56Bearish
- SMA 50646.52Bearish
- EMA 10643.61Bearish
- EMA 20647.30Bearish
- EMA 50654.17Bearish
- DEMA 10638.67Bullish
- DEMA 20642.89Bearish
- DEMA 50639.43Bullish
- TEMA 10637.12Bullish
- TEMA 20640.00Bullish
- TEMA 50644.56Bearish
- MACD-3.87Bearish
- ADX22.86Weak Trend
- IndicatorValueSignal
- RSI36.17Neutral
- CCI-112.45Oversold
- ROC 9-1.71Bearish
- ROC 14-3.69Bearish
- ROC 25-1.70Bearish
- Stoch K11.95Oversold
- Stoch D7.91Oversold
- IndicatorValueSignal
- BB Upper666.34Neutral
- BB Middle650.56Neutral
- BB Lower634.78Neutral
- ATR5.73Low Volatility
- IndicatorValueSignal
- MFI6.45Oversold
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Market Sentiment
Analysis Driven By 26 Technical Indicators From The 2 Hours Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
Momentum Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 10649.40Bearish
- SMA 20653.21Bearish
- SMA 50664.66Bearish
- EMA 10646.13Bearish
- EMA 20649.91Bearish
- EMA 50666.22Bearish
- DEMA 10641.38Bearish
- DEMA 20642.62Bearish
- DEMA 50638.60Bullish
- TEMA 10638.28Bullish
- TEMA 20645.67Bearish
- TEMA 50631.97Bullish
- MACD-5.48Bearish
- ADX17.90Weak Trend
- IndicatorValueSignal
- RSI38.95Neutral
- CCI-148.66Oversold
- ROC 9-3.55Bearish
- ROC 14-1.55Bearish
- ROC 252.31Bullish
- Stoch K12.05Oversold
- Stoch D8.81Oversold
- IndicatorValueSignal
- BB Upper670.13Neutral
- BB Middle653.21Neutral
- BB Lower636.30Neutral
- ATR8.46Low Volatility
- IndicatorValueSignal
- MFI42.68Neutral
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
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 10653.69Bearish
- SMA 20651.56Bearish
- SMA 50704.83Bearish
- EMA 10649.66Bearish
- EMA 20660.16Bearish
- EMA 50684.36Bearish
- DEMA 10642.61Bearish
- DEMA 20637.61Bullish
- DEMA 50666.50Bearish
- TEMA 10645.10Bearish
- TEMA 20637.70Bullish
- TEMA 50N/AN/A
- MACD-15.74Bullish
- ADX22.65Weak Trend
- IndicatorValueSignal
- RSI37.29Neutral
- CCI-75.85Neutral
- ROC 9-4.62Bearish
- ROC 140.80Bullish
- ROC 25-12.07Bearish
- Stoch K40.10Neutral
- Stoch D50.08Neutral
- IndicatorValueSignal
- BB Upper685.40Neutral
- BB Middle651.55Neutral
- BB Lower617.71Neutral
- ATR15.57Low Volatility
- IndicatorValueSignal
- MFI55.72Neutral
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
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 10651.15Bearish
- SMA 20691.01Bearish
- SMA 50706.24Bearish
- SMA 100675.88Bearish
- SMA 200622.90Bullish
- EMA 10659.99Bearish
- EMA 20679.11Bearish
- EMA 50689.45Bearish
- EMA 100672.06Bearish
- EMA 200636.10Bullish
- DEMA 10639.10Bullish
- DEMA 20653.51Bearish
- DEMA 50698.01Bearish
- DEMA 100712.33Bearish
- DEMA 200695.11Bearish
- TEMA 10639.13Bullish
- TEMA 20633.06Bullish
- TEMA 50679.18Bearish
- TEMA 100712.10Bearish
- TEMA 200719.44Bearish
- MACD-20.77Bearish
- ADX21.33Weak Trend
- IndicatorValueSignal
- RSI36.24Neutral
- CCI-88.23Neutral
- ROC 14-10.80Bearish
- ROC 25-15.80Bearish
- Stoch K22.72Neutral
- Stoch D24.41Neutral
- IndicatorValueSignal
- BB Upper776.19Neutral
- BB Middle691.01Neutral
- BB Lower605.84Neutral
- ATR25.86Low Volatility
- IndicatorValueSignal
- MFI36.31Neutral
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
Bearish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 20676.71Bearish
- SMA 50608.91Bullish
- EMA 20676.82Bearish
- EMA 50624.62Bullish
- DEMA 20719.47Bearish
- DEMA 50686.06Bearish
- TEMA 20722.65Bearish
- TEMA 50715.99Bearish
- MACD30.60Bearish
- ADX21.76Weak Trend
- IndicatorValueSignal
- RSI50.70Neutral
- CCI50.84Neutral
- ROC 14-3.21Bearish
- ROC 2517.35Bullish
- Stoch K55.03Neutral
- Stoch D66.92Neutral
- IndicatorValueSignal
- BB Upper778.67Neutral
- BB Middle676.70Neutral
- BB Lower574.74Neutral
- ATR62.93High Volatility
- IndicatorValueSignal
- MFI73.18Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Market Sentiment
Analysis Driven By 25 Technical Indicators From The 1 Month Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Strong Bullish
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
Strong Bearish
- IndicatorValueSignal
- SMA 6671.44Bullish
- SMA 12617.67Bullish
- SMA 24565.57Bullish
- EMA 6671.08Bullish
- EMA 12629.84Bullish
- EMA 24584.48Bullish
- DEMA 6714.84Bullish
- DEMA 12688.19Bullish
- DEMA 24648.92Bullish
- TEMA 6723.51Bullish
- TEMA 12712.63Bullish
- TEMA 24677.80Bullish
- MACD53.39Bullish
- ADX19.40Weak Trend
- IndicatorValueSignal
- RSI57.11Neutral
- CCI179.25Overbought
- ROC 257.60Bullish
- ROC 5044.73Bullish
- Stoch K65.03Neutral
- Stoch D54.69Neutral
- IndicatorValueSignal
- BB Upper741.57Neutral
- BB Middle568.62Neutral
- BB Lower395.67Neutral
- ATR112.40Low Volatility
- IndicatorValueSignal
- MFI82.56Overbought