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Quality Foils (India) Ltd

Metals & Mining | Small Cap

Quality Foils (India) Ltd Health Insights
Health Score : 5.90Health Score : 5.90

Quality Foils (India) Ltd, operating in the General Industrials sector, presents a mixed financial landscape. The company demonstrates strong solvency and profitability, indicating a solid foundation in managing its debts and generating profits. High scores in debt-related ratios and various profitability metrics like gross profit margin and return on capital employed highlight effective financial strategies. However, the company faces challenges in liquidity and growth, as reflected in lower scores. Efficiency ratios also reveal areas needing improvement, particularly in asset and capital turnover. The absence of dividend coverage and low-interest coverage are areas of concern. While the company excels in managing debt and maintaining profitability, addressing liquidity, growth, and efficiency will be crucial for sustained financial health. The recent decline in revenue and earnings growth rates poses a significant risk. Capital expenditure is a notable strength, suggesting ongoing investments in the company's future.

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Overview
Ratio
Financial
Quality Foils (India) Ltd Health Insights
Health Score : 5.90Health Score : 5.90

Quality Foils (India) Ltd, operating in the General Industrials sector, presents a mixed financial landscape. The company demonstrates strong solvency and profitability, indicating a solid foundation in managing its debts and generating profits. High scores in debt-related ratios and various profitability metrics like gross profit margin and return on capital employed highlight effective financial strategies. However, the company faces challenges in liquidity and growth, as reflected in lower scores. Efficiency ratios also reveal areas needing improvement, particularly in asset and capital turnover. The absence of dividend coverage and low-interest coverage are areas of concern. While the company excels in managing debt and maintaining profitability, addressing liquidity, growth, and efficiency will be crucial for sustained financial health. The recent decline in revenue and earnings growth rates poses a significant risk. Capital expenditure is a notable strength, suggesting ongoing investments in the company's future.

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Neutral

Overall Valuation Score

Highly Undervalued
Undervalued
Neutral
Overvalued
Highly Overvalued
Neutral

P/E RATIO (TTM)

11.38

Undervalued

Industry Median

21.14

Undervalued
Undervalued

Small Cap Median

20.54

Undervalued

P/E RATIO

11.38

P/B RATIO

0.53

Highly Undervalued

Industry Median

1.95

Highly Undervalued
Highly Undervalued

Small Cap Median

1.88

Highly Undervalued

P/S RATIO

0.08

Highly Undervalued

Industry Median

0.85

Highly Undervalued
Highly Undervalued

Small Cap Median

0.76

Highly Undervalued

Others

Neutral

PEG RATIO

0.00

Neutral
Undervalued

EV/EBITDA RATIO

4.15

Undervalued

The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹58.6 as on Jun 20, 2026.

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Growth Ratio Summary
Growth Ratio SummaryGrowth Score : 2.00

The growth ratios reflect a concerning trend of declining performance. Significant negative growth rates across revenue, operating profit, EPS, assets, and net income indicate substantial challenges in expanding the business. This downturn could be attributed to various factors, including market conditions, competition, or internal inefficiencies. Addressing these issues is critical to revitalize growth and ensure long-term sustainability.

PoorRevenue Growth RatePoor
PoorOperating Profit Growth RatePoor
PoorEarnings Per Share (EPS) GrowthPoor
PoorAsset Growth RatePoor
PoorNet Income Growth RatePoor
Growth RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue Growth Rate45.163.33-16.67-2.5821.85
Operating Profit Growth Rate016.67-28.57080
Earnings Per Share (EPS) Growth68.75-90.34-57.965.963.41
Asset Growth Rate20-2.56-9.2142.038.16
Net Income Growth Rate10050-66.6700
01.

Revenue Growth Rate

02.

Operating Profit Growth Rate

03.

Earnings Per Share (EPS) Growth

04.

Asset Growth Rate

05.

Net Income Growth Rate

Financial Ratio Summary
Financial Ratio SummaryFinancial Score : 4.00

The financial ratios present a mixed view of the company's financial performance. While capital expenditures indicate ongoing investments in the company's future, the low adjusted EPS, cash EPS, and book value per share raise concerns about profitability and shareholder value. The absence of dividends further impacts investor returns. Improving earnings and managing shareholder value are key to enhancing overall financial health.

PoorAdjusted Earnings Per Share (Adjusted EPS)Poor
WeakCash Earnings Per Share (Cash EPS)Weak
PoorBook Value Per SharePoor
PoorDividend Per Share (DPS)Poor
ExcellentCapital Expenditures (CapEx)Excellent
Financial RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Adjusted Earnings Per Share (Adjusted EPS)206.673.33-3.333.33
Cash Earnings Per Share (Cash EPS)3016.67101013.33
Book Value Per Share20093.3396.67100106.67
Dividend Per Share (DPS)00000
Capital Expenditures (CapEx)2.30.6623.14.5
01.

Adjusted Earnings Per Share (Adjusted EPS)

02.

Cash Earnings Per Share (Cash EPS)

03.

Book Value Per Share

04.

Dividend Per Share (DPS)

05.

Capital Expenditures (CapEx)

Profitability Ratio Summary
Profitability Ratio SummaryProfitability Score : 9.40

The company demonstrates strong profitability, suggesting effective management of costs and revenue generation. High scores across various profitability metrics, such as gross profit margin, ROCE, ROE, operating margin, and net margin, indicate that the company is efficient in converting sales into profits and generating returns on its investments. This strong profitability enhances financial stability and attractiveness to investors.

ExcellentGross Profit MarginExcellent
ExcellentReturn on Capital Employed (ROCE)Excellent
ExcellentReturn on Equity (ROE)Excellent
WeakReturn on Assets (ROA)Weak
ExcellentOperating MarginExcellent
ExcellentNet MarginExcellent
Profitability RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Gross Profit Margin2.782.691.941.993.26
Return on Capital Employed (ROCE)98747
Return on Equity (ROE)1010.713.453.333.12
Return on Assets (ROA)7.699.217.255.18.49
Operating Margin3.333.763.233.314.89
Net Margin1.111.610.650.660.54
01.

Gross Profit Margin

02.

Return on Capital Employed (ROCE)

03.

Return on Equity (ROE)

04.

Return on Assets (ROA)

05.

Operating Margin

06.

Net Margin

Efficiency Ratio Summary
Efficiency Ratio SummaryEfficiency Score : 5.33

The company's efficiency in managing its assets and operations is mixed. While it demonstrates strength in managing inventory and receivables, as indicated by the days sales in inventory and receivable days, it lags in fixed asset and capital turnover. This suggests that the company is effective in certain aspects of its working capital management but struggles to generate revenue from its fixed assets and overall capital investment. Improving asset utilization could enhance overall efficiency and profitability.

WeakFixed Asset Turnover RatioWeak
WeakInventory Turnover RatioWeak
PoorReceivables Turnover RatioPoor
ExcellentDays Sales in Inventory RatioExcellent
ExcellentReceivable DaysExcellent
PoorCapital Turnover RatioPoor
Efficiency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Fixed Asset Turnover Ratio99.37.053.213.76
Inventory Turnover Ratio10.7910.059.548.337.88
Receivables Turnover Ratio5.865.845.726.216.97
Days Sales in Inventory Ratio33.8336.3238.2643.8246.32
Receivable Days62.2962.563.8158.7852.37
Capital Turnover Ratio4.994.593.652.953.34
01.

Fixed Asset Turnover Ratio

02.

Inventory Turnover Ratio

03.

Receivables Turnover Ratio

04.

Days Sales in Inventory Ratio

05.

Receivable Days

06.

Capital Turnover Ratio

Coverage Ratio Summary
Coverage Ratio SummaryCoverage Score : 2.00

The coverage ratios reflect a weak ability to meet interest and dividend obligations. The low-interest coverage ratio indicates potential difficulties in covering interest expenses, while the absence of equity dividend coverage suggests no dividend payments to shareholders. Improving earnings and managing debt effectively are essential to enhance coverage ratios and ensure financial stability and shareholder returns.

PoorInterest Coverage RatioPoor
PoorEquity Dividend Coverage RatioPoor
Coverage RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Interest Coverage Ratio1.6721.6721.5
Equity Dividend Coverage Ratio
01.

Interest Coverage Ratio

02.

Equity Dividend Coverage Ratio

Solvency Ratio Summary
Solvency Ratio SummarySolvency Score : 9.00

The company exhibits a strong solvency position, suggesting a robust ability to meet its long-term obligations. The favorable scores indicate that the company has a solid equity base relative to its debt, which provides a buffer against financial distress. This also reflects prudent financial management and a balanced capital structure. The company's ability to manage its debt effectively contributes to its long-term financial stability and attractiveness to investors.

ExcellentDebt RatioExcellent
ExcellentDebt to Equity RatioExcellent
AverageEquity RatioAverage
ExcellentDebt To Asset RatioExcellent
Solvency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debt Ratio0.450.310.320.410.42
Debt to Equity Ratio0.820.450.470.690.72
Equity Ratio0.550.690.680.590.58
Debt To Asset Ratio0.210.160.190.220.22
01.

Debt Ratio

02.

Debt to Equity Ratio

03.

Equity Ratio

04.

Debt To Asset Ratio

Liquidity Ratio Summary
Liquidity Ratio SummaryLiquidity Score : 3.08

The company's liquidity position reflects a mixed performance. While the current and operating cash flow ratios suggest some ability to meet short-term obligations, the low cash ratio indicates limited immediate liquidity. The quick ratio, although slightly better, still suggests a reliance on inventory to cover short-term liabilities. This dependency can be problematic if inventory cannot be quickly converted to cash. On a positive note, the company's liquidity has generally improved over the past few years, but there is room to enhance its immediate cash availability to ensure financial stability.

PoorCurrent RatioPoor
WeakQuick RatioWeak
PoorCash RatioPoor
WeakOperating Cash Flow RatioWeak
Liquidity RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Current Ratio1.361.551.611.071.09
Quick Ratio0.91.081.080.630.62
Cash Ratio0.040.160.040.030.03
Operating Cash Flow Ratio-0.050.250.55-0.040.04
01.

Current Ratio

02.

Quick Ratio

03.

Cash Ratio

04.

Operating Cash Flow Ratio

Peer Comparison With 3 Companies

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
1Quality Foils (India) Ltd5.9011.38Neutral9.005.151.00
2Excellent Wires and Packaging Ltd5.6734.00Neutral2.143.381.51
3Supreme Engineering Ltd4.55-2.77Neutral-5.00-0.57-11.00
Management Assessment Summary
OrangeBalanced Management

The management effectiveness of Quality Foils (India) Ltd. shows a mixed outlook. Promoter holding has increased, signaling confidence. However, profit growth is declining, and the operating profit margin is decreasing. The Return on Equity (ROE) is low. While the company has managed its working capital, declining profitability raises concerns. The overall assessment suggests that while there are strengths, challenges need to be addressed to enhance long-term sustainability and shareholder value.

Category Metric Value Assessment
PROS Promoter Holding 58.47% Increased promoter confidence
CONS Profit Growth -66% TTM Declining profit growth
OPM % 3% Mar 2025 Decreasing Operating Profit Margin
Return on Equity (ROE) 2% Low returns on shareholder funds
WeakFinancial Performance & GrowthWeak
PoorCapital Efficiency & ReturnsPoor
AverageFinancial Health & PrudenceAverage
GoodShareholding & Ownership StructureGood
01.

Financial Performance & Growth

02.

Capital Efficiency & Returns

03.

Financial Health & Prudence

04.

Shareholding & Ownership Structure

Risk Assessment Summary
OrangeBalanced Risk

The risk assessment for Quality Foils (India) Ltd. indicates a moderate level of risk due to segment performance volatility and increasing borrowings.

AverageSegment performance volatilityAverage
AverageForeign exchange or interest rate exposureAverage
AverageRegulatory compliance cost trendsAverage
01.

Segment performance volatility

02.

Foreign exchange or interest rate exposure

03.

Regulatory compliance cost trends

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Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Market Sentiment

Analysis Driven By 26 Technical Indicators From The 1 Hour Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

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

Neutral

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 1058.02Bullish
  3. SMA 2058.04Bullish
  4. SMA 5053.84Bullish
  5. EMA 1058.13Bullish
  6. EMA 2057.43Bullish
  7. EMA 5054.23Bullish
  8. DEMA 1058.51Bullish
  9. DEMA 2059.23Bearish
  10. DEMA 5059.13Bearish
  11. TEMA 1058.33Bullish
  12. TEMA 2058.56Bullish
  13. TEMA 50N/AN/A
  14. MACD1.23Bearish
  15. ADX59.86Strong Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI66.83Neutral
  3. CCI54.70Neutral
  4. ROC 91.03Bullish
  5. ROC 14-0.17Bearish
  6. ROC 259.94Bullish
  7. Stoch K96.61Overbought
  8. Stoch D85.88Overbought
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper59.95Neutral
  3. BB Middle58.04Neutral
  4. BB Lower56.14Neutral
  5. ATR0.44Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI20.33Neutral

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

Bullish

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

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 1058.16Bullish
  3. SMA 2056.40Bullish
  4. SMA 5048.90Bullish
  5. EMA 1057.69Bullish
  6. EMA 2055.92Bullish
  7. EMA 5051.61Bullish
  8. DEMA 1058.92Bearish
  9. DEMA 2059.56Bearish
  10. DEMA 50N/AN/A
  11. TEMA 1058.37Bullish
  12. TEMA 2059.64Bearish
  13. TEMA 50N/AN/A
  14. MACD2.58Bearish
  15. ADX62.83Strong Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI73.07Overbought
  3. CCI71.37Neutral
  4. ROC 9-0.17Bearish
  5. ROC 144.74Bullish
  6. ROC 2521.07Bullish
  7. Stoch K97.12Overbought
  8. Stoch D84.67Overbought
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper61.18Neutral
  3. BB Middle56.40Neutral
  4. BB Lower51.63Neutral
  5. ATR0.68Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI43.39Neutral

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

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

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 1056.68Bullish
  3. SMA 2051.65Bullish
  4. SMA 50N/AN/A
  5. EMA 1056.05Bullish
  6. EMA 2053.01Bullish
  7. EMA 50N/AN/A
  8. DEMA 1059.36Bearish
  9. DEMA 2058.59Bullish
  10. DEMA 50N/AN/A
  11. TEMA 1059.34Bearish
  12. TEMA 20N/AN/A
  13. TEMA 50N/AN/A
  14. MACD3.52Bullish
  15. ADX42.95Strong Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI71.39Overbought
  3. CCI91.08Neutral
  4. ROC 99.94Bullish
  5. ROC 1427.11Bullish
  6. ROC 2546.50Bullish
  7. Stoch K91.64Overbought
  8. Stoch D90.68Overbought
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper62.85Neutral
  3. BB Middle51.65Neutral
  4. BB Lower40.45Neutral
  5. ATR1.28Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI92.33Overbought

Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Market Sentiment

Analysis Driven By 33 Technical Indicators From The 1 Day Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

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

Trend Indicators (22)
  1. IndicatorValueSignal
  2. SMA 1051.76Bullish
  3. SMA 2047.25Bullish
  4. SMA 5052.85Bullish
  5. SMA 10062.11Bearish
  6. SMA 20075.62Bearish
  7. EMA 1052.83Bullish
  8. EMA 2050.66Bullish
  9. EMA 5053.63Bullish
  10. EMA 10060.94Bearish
  11. EMA 20072.42Bearish
  12. DEMA 1056.99Bullish
  13. DEMA 2051.48Bullish
  14. DEMA 5046.43Bullish
  15. DEMA 10047.13Bullish
  16. DEMA 20052.84Bullish
  17. TEMA 1059.59Bearish
  18. TEMA 2055.62Bullish
  19. TEMA 5047.13Bullish
  20. TEMA 10045.26Bullish
  21. TEMA 200N/AN/A
  22. MACD1.29Bullish
  23. ADX23.78Weak Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI64.09Neutral
  3. CCI140.70Overbought
  4. ROC 1441.89Bullish
  5. ROC 2514.90Bullish
  6. Stoch K95.17Overbought
  7. Stoch D96.81Overbought
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper59.80Neutral
  3. BB Middle47.25Neutral
  4. BB Lower34.71Neutral
  5. ATR2.34High Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI76.28Neutral

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

Bullish

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

Trend Indicators (10)
  1. IndicatorValueSignal
  2. SMA 2054.53Bearish
  3. SMA 5065.98Bearish
  4. EMA 2053.21Bullish
  5. EMA 5064.91Bearish
  6. DEMA 2044.32Bullish
  7. DEMA 5048.70Bullish
  8. TEMA 2043.08Bullish
  9. TEMA 5045.77Bullish
  10. MACD-6.60Bullish
  11. ADX26.70Strong Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI44.83Neutral
  3. CCI-102.77Oversold
  4. ROC 14-13.61Bearish
  5. ROC 25-23.86Bearish
  6. Stoch K38.09Neutral
  7. Stoch D22.93Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper73.57Neutral
  3. BB Middle54.53Neutral
  4. BB Lower35.48Neutral
  5. ATR4.66High Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI28.62Neutral

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

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 649.67Bearish
  3. SMA 1260.15Bearish
  4. SMA 2476.64Bearish
  5. EMA 649.42Bearish
  6. EMA 1258.60Bearish
  7. EMA 2472.31Bearish
  8. DEMA 640.92Bullish
  9. DEMA 1243.49Bullish
  10. DEMA 24N/AN/A
  11. TEMA 640.26Bullish
  12. TEMA 1241.16Bullish
  13. TEMA 24N/AN/A
  14. MACDN/AN/A
  15. ADX15.18Weak Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI43.68Neutral
  3. CCIN/AN/A
  4. ROC 25-64.60Bearish
  5. ROC 50N/AN/A
  6. Stoch KN/AN/A
  7. Stoch DN/AN/A
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper104.88Neutral
  3. BB Middle70.54Neutral
  4. BB Lower36.19Neutral
  5. ATR14.58Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI33.59Neutral