Maruti Suzuki India Ltd
Automobile And Auto Components | Large Cap
Maruti Suzuki India Ltd. demonstrates exceptional financial health, underscored by a very strong overall score. The company's primary strengths are its outstanding solvency, as it operates completely debt-free, and its remarkable growth in revenue, profits, and assets. Profitability is another key highlight, with all margins and returns indicating superior efficiency and market leadership. The company also reliably covers its dividend payments. The main area of caution is its liquidity, where its ability to cover short-term obligations with readily available assets is constrained, suggesting a tight cash management cycle. While the company is highly efficient in managing inventory and collecting payments, its returns on large capital investments are still developing. Substantial capital expenditures signal a strong focus on future growth, which supports a positive outlook despite the short-term liquidity pressures.
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- Valuation MetricsNeutral
- Market Metrics
- Stock Reports
- Stock News
- Growth Ratio10.00
- Financial Ratio8.40
- Profitability Ratio10.00
- Efficiency Ratio8.00
- Coverage Ratio9.20
- Solvency Ratio10.00
- Liquidity Ratio3.08
- Peer Assessment
- Management AssessmentStrong
- Risk AssessmentBalanced
- 1 HourBearish
- 2 HoursNeutral
- 4 HoursNeutral
- 1 DayNeutral
- 1 WeekBearish
- 1 MonthBearish
Maruti Suzuki India Ltd. demonstrates exceptional financial health, underscored by a very strong overall score. The company's primary strengths are its outstanding solvency, as it operates completely debt-free, and its remarkable growth in revenue, profits, and assets. Profitability is another key highlight, with all margins and returns indicating superior efficiency and market leadership. The company also reliably covers its dividend payments. The main area of caution is its liquidity, where its ability to cover short-term obligations with readily available assets is constrained, suggesting a tight cash management cycle. While the company is highly efficient in managing inventory and collecting payments, its returns on large capital investments are still developing. Substantial capital expenditures signal a strong focus on future growth, which supports a positive outlook despite the short-term liquidity pressures.
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Overall Valuation Score
P/E RATIO (TTM)
29.15
Industry Median
24.49
Large Cap Median
28.69
P/E RATIO
28.69
P/B RATIO
3.93
Industry Median
3.93
Large Cap Median
3.93
P/S RATIO
2.26
Industry Median
2.14
Large Cap Median
2.14
Others
PEG RATIO
1.05
EV/EBITDA RATIO
15.84
The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹13395 as on Jun 21, 2026.
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Concall Report⬤28th Apr 26
Q4 FY26 Earnings Conference Call
BULLISH SENTIMENT
Quarterly Report⬤28th Apr 26
Standalone Audited Financial Results for the Quarter and Year Ended March 31, 2026
UNDEFINED SENTIMENT
Concall Report⬤31st Oct 25
Q2 FY26 Earnings Conference Call
NEUTRAL SENTIMENT
The company is in a phase of exceptional growth, as reflected by the perfect scores across all growth metrics based on a weighted average of recent performance. It has achieved outstanding expansion in revenue, operating profit, and net income. This rapid growth signals strong market demand, successful strategies, and a dominant competitive position. The significant increase in assets points to aggressive investment for the future, and the remarkable growth in earnings per share shows this success is translating directly into value for shareholders.
| Growth Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Revenue Growth Rate | 25.52 | 33.1 | 20.66 | 7.79 | 19.88 |
| Operating Profit Growth Rate | 6.3 | 91.74 | 68.88 | 8.58 | 6.09 |
| Earnings Per Share (EPS) Growth | -11.61 | 111.65 | 57.83 | 7.5 | 1.24 |
| Asset Growth Rate | 4.6 | 13.32 | 36.3 | 14.45 | 12.81 |
| Net Income Growth Rate | -11.6 | 111.62 | 64.27 | 7.5 | 1.24 |
Revenue Growth Rate
Operating Profit Growth Rate
Earnings Per Share (EPS) Growth
Asset Growth Rate
Net Income Growth Rate
The company’s financial standing from a shareholder's perspective is strong. Based on a weighted average of recent data, key metrics like earnings per share and dividends have shown excellent growth, creating significant value for investors. The underlying book value of the company is also steadily increasing. A contrasting point is the high level of capital expenditure. While this represents a significant cash outflow for investment in future growth, it is a negative factor in some scoring models but positive for long-term prospects.
| Financial Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Adjusted Earnings Per Share (Adjusted EPS) | 93.54 | 223.31 | 429.81 | 460.22 | 467.52 |
| Cash Earnings Per Share (Cash EPS) | 220.83 | 365.46 | 596.94 | 640.38 | 682.23 |
| Book Value Per Share | 1832.22 | 2046.06 | 2727.26 | 3064.97 | 3412.61 |
| Dividend Per Share (DPS) | 60.36 | 89.7 | 124.41 | 133.75 | 140.07 |
| Capital Expenditures (CapEx) | 3323 | 6247 | 9155 | 10603 | 10346 |
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 outstanding, achieving a perfect score. The weighted average of its performance shows excellence across all key profitability metrics. The company is highly effective at converting revenue into profit, from its gross margin down to its net margin. Furthermore, it generates excellent returns on the capital invested by shareholders and on its total asset base. This all-around strength points to superior operational efficiency, strong market pricing power, and robust financial management.
| Profitability Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Gross Profit Margin | 3.35 | 6.98 | 9.42 | 9.56 | 8.03 |
| Return on Capital Employed (ROCE) | 6 | 14 | 24 | 22 | 19 |
| Return on Equity (ROE) | 7.01 | 13.29 | 15.75 | 15.07 | 13.7 |
| Return on Assets (ROA) | 7.7 | 13.04 | 16.15 | 15.32 | 14.41 |
| Operating Margin | 6.51 | 9.38 | 13.13 | 13.23 | 11.7 |
| Net Margin | 4.39 | 6.98 | 9.51 | 9.48 | 8.01 |
Gross Profit Margin
Return on Capital Employed (ROCE)
Return on Equity (ROE)
Return on Assets (ROA)
Operating Margin
Net Margin
The company demonstrates strong overall efficiency. It excels at managing its inventory and collecting payments from customers, indicating robust demand and effective operational control. The weighted average of these metrics is excellent. However, its performance in generating sales from its fixed assets and total capital is less impressive. This suggests that while day-to-day operations are very efficient, the company's recent large-scale investments are not yet generating revenue at their full potential, a common scenario during expansion phases.
| Efficiency Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Fixed Asset Turnover Ratio | 6.43 | 6.59 | 5.09 | 4.64 | 5.24 |
| Inventory Turnover Ratio | 25.94 | 27.99 | 26.76 | 22.61 | 18.49 |
| Receivables Turnover Ratio | 53.31 | 44.08 | 35.92 | 27.46 | 30.86 |
| Days Sales in Inventory Ratio | 14.07 | 13.04 | 13.64 | 16.14 | 19.74 |
| Receivable Days | 6.85 | 8.28 | 10.16 | 13.29 | 11.83 |
| Capital Turnover Ratio | 1.6 | 1.9 | 1.65 | 1.59 | 1.71 |
Fixed Asset Turnover Ratio
Inventory Turnover Ratio
Receivables Turnover Ratio
Days Sales in Inventory Ratio
Receivable Days
Capital Turnover Ratio
The company's ability to cover its financial commitments is excellent. As it operates without any debt, interest payments are not a concern, resulting in an exceptionally high interest coverage. Furthermore, its profits provide strong and healthy coverage for the dividends it pays to its shareholders. This indicates that the company's dividend policy is sustainable and that it retains sufficient earnings for reinvestment, reflecting a low-risk financial profile and a strong commitment to shareholder returns.
| Coverage Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Interest Coverage Ratio | 37.98 | 56.2 | 90.81 | 102.13 | 80.99 |
| Equity Dividend Coverage Ratio | 2.13 | 3.03 | 3.45 | 3.45 | 3.33 |
Interest Coverage Ratio
Equity Dividend Coverage Ratio
The company exhibits an exceptional and ideal solvency position. The weighted average of its solvency metrics confirms that it operates entirely without debt. All of its assets are funded by equity, which eliminates financial risk associated with borrowing and interest payments. This debt-free structure provides maximum financial stability, insulating the company from economic downturns and giving it significant flexibility for future investments and operations. It represents the lowest possible risk profile from a long-term debt perspective.
| 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 capacity to meet its immediate financial obligations is an area of concern. The analysis, based on a weighted average of historical data, shows that its holdings of cash and other easily convertible assets are low compared to its short-term liabilities. This indicates a very lean working capital structure, where the company relies heavily on incoming cash from its daily operations to pay its bills. While its operational cash flow provides some support, the overall liquidity position is tight, which could present challenges if unexpected financial needs arise.
| Liquidity Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Current Ratio | 0.83 | 0.64 | 0.76 | 0.7 | 0.67 |
| Quick Ratio | 0.64 | 0.46 | 0.58 | 0.5 | 0.39 |
| Cash Ratio | 0.16 | 0 | 0.1 | 0.02 | 0.04 |
| Operating Cash Flow Ratio | 0.1 | 0.41 | 0.57 | 0.45 | 0.46 |
Current Ratios
Quick Ratios
Cash Ratios
Operating Cash Flow Ratios
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 | Maruti Suzuki India Ltd | 8.67 | 28.69 | Neutral | 21456.00 | 459.46 | 14680.00 |
Management effectiveness at Maruti Suzuki is strong, reflected in excellent recent financial performance and prudent financial management. The company demonstrates robust sales and profit growth, with a 21% compounded sales growth over 5 years and a significant 100% increase in net profit in FY2024. Capital efficiency is outstanding, highlighted by a consistently negative cash conversion cycle (-31 days in FY24) and a strong ROCE recovery to 24%. Financial health is a key strength; the company is virtually debt-free with an exceptionally high interest coverage ratio (96x). Stable promoter holding (58.19%) and consistent dividend payouts further reinforce management's alignment with shareholders. While declining FII holding and a notable reliance on 'other income' are points to monitor, the overall picture is one of robust and effective management.
| Category | Metric | Value | Assessment |
|---|---|---|---|
| PROS | Strong Recent Growth | Sales +21% (5Y), Profit +100% (FY24) | outstanding |
| Excellent Capital Efficiency | ROCE: 24%, Negative CCC: -31 Days | excellent | |
| Outstanding Financial Health | Debt/Equity: 0.00, ICR: 96x | very strong | |
| High Promoter Holding | 58.19% | stable | |
| CONS | Reliance on Other Income | 24.4% of FY24 PBT | weak |
| Declining FII Holding | -2.23% in last year | declining |
Financial Performance & Growth
Maruti Suzuki's management has demonstrated an excellent ability to drive growth, particularly in the recent fiscal period. After a period of muted performance between FY20 and FY22, the company has staged a remarkable comeback. Compounded sales growth stands at a strong 21% over the last 5 years, culminating in a 20.7% growth in FY2024. Profitability has followed a similar, even more impressive trajectory. While profit growth was volatile historically, it surged by 139% in FY2023 and another 100% in FY2024, indicating a powerful recovery and operational leverage. Operating Profit Margin (OPM) has also rebounded from a low of 7% in FY2022 to 13% in FY2024, nearing its historical highs and signaling improved operational efficiency. The only point of concern is the significant contribution of 'Other Income' to pre-tax profits, which stood at 24.4% in FY2024.
Capital Efficiency & Returns
The company's management of capital is outstanding, a key strength reflected across multiple metrics. The Return on Capital Employed (ROCE) has recovered impressively from a dip to 6% in FY2022, reaching a strong 24% in FY2024. This demonstrates an effective allocation and utilization of capital in generating profits. Similarly, the Return on Equity (ROE) has improved, standing at a healthy 15.7% in FY2024. The most remarkable indicator of capital efficiency is the Cash Conversion Cycle (CCC), which has been consistently negative for over a decade. In FY2024, the CCC was -31 days, indicating that the company effectively uses its suppliers' credit to finance its operations and receives cash from customers before it has to pay its suppliers. This is a sign of immense operational efficiency and strong bargaining power within its value chain.
Financial Health & Prudence
Management's approach to financial health is exceptionally prudent and conservative, resulting in a fortress-like balance sheet. The company is virtually debt-free, with total borrowings of just ₹119 crore against a massive equity base of ₹85,636 crore as of March 2024. This near-zero leverage (Debt-to-Equity of 0.001) provides significant financial stability and insulates the company from interest rate volatility. Consequently, the Interest Coverage Ratio (ICR) is extremely high at 96 times in FY2024 (Operating Profit of ₹18,626 Cr / Interest of ₹194 Cr), indicating that earnings can cover interest expenses with an overwhelming margin of safety. Furthermore, the company has a strong track record of sharing its success with shareholders, maintaining a consistent dividend payout ratio, which was 29% in FY2024.
Shareholding & Ownership Structure
The shareholding structure indicates strong promoter conviction and growing domestic institutional confidence, though tempered by declining foreign interest. Promoter holding is high and has been gradually increasing, reaching 58.19% in March 2024. This signifies a strong alignment of the promoters' interests with those of minority shareholders. Domestic Institutional Investors (DIIs) have also shown increasing faith, raising their stake from 16.25% in FY2022 to 18.86% in FY2024. However, a notable counter-trend is the consistent selling by Foreign Institutional Investors (FIIs), whose holding has decreased from a peak of over 25% in FY2018 to 19.64% in March 2024. While the strong promoter and DII holding provides a stable ownership base, the persistent reduction in FII ownership is a point of concern regarding international investor sentiment.
The overall risk profile is moderate. While the company's financial health is exceptionally strong, reducing fundamental risks, there are specific areas of concern. The primary risk pertains to accounting quality, with 'Other Income' contributing a significant 24.4% to pre-tax profits in FY2024. Its high proportion makes core profitability appear less robust and introduces potential volatility from non-operational sources. Additionally, a consistent decline in FII holding over the past year (from 21.87% to 19.64%) signals a potential shift in sentiment among foreign institutional investors, which could impact stock valuation and liquidity. These factors represent notable risks that require monitoring.
Accounting Quality
A potential red flag in Maruti's accounting is the significant and persistent contribution of 'Other Income' to its overall profitability. In FY2024, other income stood at ₹4,248 crore, accounting for 24.4% of the Profit Before Tax (PBT). This proportion has been consistently high, averaging over 30% in the FY21-23 period. While this income likely stems from returns on the company's substantial cash and investment reserves (₹57,296 crore in March 2024), its large scale creates a dependency on non-operational returns. This introduces a level of earnings volatility that is outside of the core automotive business and can obscure the true performance of the primary operations.
Investor Sentiment
There is a clear pattern of divestment by Foreign Institutional Investors (FIIs). Their holding has dropped from 21.87% in June 2023 to 19.64% by March 2024, continuing a longer-term trend of reduction from a peak of over 25% in 2018. This continuous offloading by a significant investor category represents a risk to the stock's valuation and liquidity, indicating a potential negative sentiment from this cohort, even as domestic institutions increase their positions.
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Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bearish
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 1013436.60Bearish
- SMA 2013514.60Bearish
- SMA 5013497.52Bearish
- EMA 1013444.96Bearish
- EMA 2013490.70Bearish
- EMA 5013460.88Bearish
- DEMA 1013391.50Bullish
- DEMA 2013442.33Bearish
- DEMA 5013577.86Bearish
- TEMA 1013391.94Bullish
- TEMA 2013365.18Bullish
- TEMA 5013566.89Bearish
- MACD-42.29Bearish
- ADX21.76Weak Trend
- IndicatorValueSignal
- RSI41.86Neutral
- CCI-80.77Neutral
- ROC 9-0.27Bearish
- ROC 14-1.55Bearish
- ROC 25-2.02Bearish
- Stoch K14.73Oversold
- Stoch D12.22Oversold
- IndicatorValueSignal
- BB Upper13702.67Neutral
- BB Middle13514.60Neutral
- BB Lower13326.53Neutral
- ATR76.31Low Volatility
- IndicatorValueSignal
- MFI36.65Neutral
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 1013494.20Bearish
- SMA 2013621.05Bearish
- SMA 5013300.50Bullish
- EMA 1013477.63Bearish
- EMA 2013486.05Bearish
- EMA 5013374.92Bullish
- DEMA 1013422.13Bearish
- DEMA 2013537.67Bearish
- DEMA 5013518.81Bearish
- TEMA 1013367.91Bullish
- TEMA 2013467.05Bearish
- TEMA 5013607.32Bearish
- MACD22.42Bearish
- ADX19.31Weak Trend
- IndicatorValueSignal
- RSI47.15Neutral
- CCI-113.01Oversold
- ROC 9-1.47Bearish
- ROC 14-1.92Bearish
- ROC 252.50Bullish
- Stoch K10.83Oversold
- Stoch D8.40Oversold
- IndicatorValueSignal
- BB Upper13939.74Neutral
- BB Middle13621.05Neutral
- BB Lower13302.36Neutral
- ATR106.99Low Volatility
- IndicatorValueSignal
- MFI26.38Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
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 1013613.40Bearish
- SMA 2013360.55Bullish
- SMA 5013199.32Bullish
- EMA 1013483.54Bearish
- EMA 2013407.11Bullish
- EMA 5013283.88Bullish
- DEMA 1013532.47Bearish
- DEMA 2013544.57Bearish
- DEMA 5013398.49Bullish
- TEMA 1013472.30Bearish
- TEMA 2013598.29Bearish
- TEMA 50N/AN/A
- MACD101.14Bearish
- ADX16.90Weak Trend
- IndicatorValueSignal
- RSI52.42Neutral
- CCI12.71Neutral
- ROC 9-3.53Bearish
- ROC 142.68Bullish
- ROC 252.45Bullish
- Stoch K47.83Neutral
- Stoch D52.57Neutral
- IndicatorValueSignal
- BB Upper13939.07Neutral
- BB Middle13360.55Neutral
- BB Lower12782.03Neutral
- ATR184.75Low Volatility
- IndicatorValueSignal
- MFI47.68Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
Market Sentiment
Analysis Driven By 33 Technical Indicators From The 1 Day Timeframe
Trend Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
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 1013357.40Bullish
- SMA 2013227.80Bullish
- SMA 5013280.26Bullish
- SMA 10013698.95Bearish
- SMA 20014858.14Bearish
- EMA 1013400.85Bearish
- EMA 2013308.51Bullish
- EMA 5013358.93Bullish
- EMA 10013733.05Bearish
- EMA 20013977.25Bearish
- DEMA 1013532.50Bearish
- DEMA 2013403.62Bearish
- DEMA 5013043.38Bullish
- DEMA 10013108.69Bullish
- DEMA 20014047.12Bearish
- TEMA 1013579.08Bearish
- TEMA 2013517.36Bearish
- TEMA 5013270.75Bullish
- TEMA 10012670.87Bullish
- TEMA 20013343.26Bullish
- MACD85.35Bullish
- ADX13.64Weak Trend
- IndicatorValueSignal
- RSI53.08Neutral
- CCI59.24Neutral
- ROC 143.47Bullish
- ROC 252.45Bullish
- Stoch K63.68Neutral
- Stoch D71.72Neutral
- IndicatorValueSignal
- BB Upper13733.52Neutral
- BB Middle13227.80Neutral
- BB Lower12722.08Neutral
- ATR288.00Low Volatility
- IndicatorValueSignal
- MFI47.50Neutral
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
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 2013581.95Bearish
- SMA 5014511.90Bearish
- EMA 2013675.46Bearish
- EMA 5013918.24Bearish
- DEMA 2013060.36Bullish
- DEMA 5014245.44Bearish
- TEMA 2012699.96Bullish
- TEMA 5013658.15Bearish
- MACD-456.58Bearish
- ADX27.38Strong Trend
- IndicatorValueSignal
- RSI46.11Neutral
- CCI-63.27Neutral
- ROC 14-5.60Bearish
- ROC 25-18.57Bearish
- Stoch K43.49Neutral
- Stoch D34.22Neutral
- IndicatorValueSignal
- BB Upper15298.35Neutral
- BB Middle13581.95Neutral
- BB Lower11865.55Neutral
- ATR699.54Low Volatility
- IndicatorValueSignal
- MFI48.99Neutral
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
Bullish
Volatility Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 614150.00Bearish
- SMA 1214401.17Bearish
- SMA 2413207.01Bearish
- EMA 613762.09Bearish
- EMA 1213848.27Bearish
- EMA 2413202.27Bearish
- DEMA 613303.79Bearish
- DEMA 1214197.66Bearish
- DEMA 2414620.29Bearish
- TEMA 612818.38Bullish
- TEMA 1213697.59Bearish
- TEMA 2414596.35Bearish
- MACD1585.95Bearish
- ADX27.86Strong Trend
- IndicatorValueSignal
- RSI54.52Neutral
- CCI65.70Neutral
- ROC 252.41Bullish
- ROC 5073.61Bullish
- Stoch K68.77Neutral
- Stoch D71.03Neutral
- IndicatorValueSignal
- BB Upper16958.53Neutral
- BB Middle13308.89Neutral
- BB Lower9659.24Neutral
- ATR1407.65Low Volatility
- IndicatorValueSignal
- MFI63.90Neutral