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Raymond Ltd

Realty | Small Cap

Raymond Ltd Health Insights
Health Score : 7.47Health Score : 7.47

Raymond Ltd, a company in the real estate sector, shows a mixed financial performance. Its solvency, coverage, and profitability ratios are strong, indicating a solid ability to manage debt and generate profits. However, liquidity and efficiency ratios are weak, suggesting potential issues with short-term obligations and asset utilization. While the company has demonstrated significant growth in earnings per share and net income, revenue and asset growth have been challenging. Overall, Raymond Ltd presents a picture of a company with high profitability and strong debt management but needs to improve its liquidity and operational efficiency to ensure sustained financial health. The real estate industry's cyclical nature and regulatory changes could pose risks, but also offer opportunities for strategic growth.

Latest Report

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Q3 & 9M FY26 Earnings Conference Call

Latest News

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The Latest News Is Not Available at the Moment. We’ll Notify You Once It’s Available.

Overview
Ratio
Financial
Raymond Ltd Health Insights
Health Score : 7.47Health Score : 7.47

Raymond Ltd, a company in the real estate sector, shows a mixed financial performance. Its solvency, coverage, and profitability ratios are strong, indicating a solid ability to manage debt and generate profits. However, liquidity and efficiency ratios are weak, suggesting potential issues with short-term obligations and asset utilization. While the company has demonstrated significant growth in earnings per share and net income, revenue and asset growth have been challenging. Overall, Raymond Ltd presents a picture of a company with high profitability and strong debt management but needs to improve its liquidity and operational efficiency to ensure sustained financial health. The real estate industry's cyclical nature and regulatory changes could pose risks, but also offer opportunities for strategic growth.

Latest Report

View All
Q3 & 9M FY26 Earnings Conference Call

Latest News

View All

The Latest News Is Not Available at the Moment. We’ll Notify You Once It’s Available.

Neutral

Overall Valuation Score

Highly Undervalued
Undervalued
Neutral
Overvalued
Highly Overvalued
Neutral

P/E RATIO (TTM)

-296.19

Neutral

Industry Median

0.73

Neutral
Neutral

Small Cap Median

0.73

Neutral

P/E RATIO

0.73

P/B RATIO

1.37

Neutral

Industry Median

1.37

Neutral
Neutral

Small Cap Median

1.37

Neutral

P/S RATIO

1.61

Neutral

Industry Median

1.61

Neutral
Neutral

Small Cap Median

1.61

Neutral

Others

Neutral

PEG RATIO

0.00

Neutral
Highly Undervalued

EV/EBITDA RATIO

0.67

Highly Undervalued

The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹586.45 as on Jun 19, 2026.

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Concall Report2nd Feb 26

Q3 & 9M FY26 Earnings Conference Call

BULLISH SENTIMENT

Quarterly Report27th Jan 26

Quarterly Financial Results Q3 FY 2025-26

BULLISH SENTIMENT

Growth Ratio Summary
Growth Ratio SummaryGrowth Score : 6.00

The company's growth ratios present a mixed picture. While Earnings Per Share (EPS) Growth and Net Income Growth Rate are strong, Revenue Growth Rate and Asset Growth Rate are weak. This suggests that while the company is becoming more profitable on a per-share basis and in terms of net income, it is struggling to grow its revenue and assets. This could be due to various factors, such as increased efficiency or cost-cutting measures. The real estate sector's growth is heavily influenced by economic conditions and market demand.

PoorRevenue Growth RatePoor
PoorOperating Profit Growth RatePoor
ExcellentEarnings Per Share (EPS) GrowthExcellent
PoorAsset Growth RatePoor
ExcellentNet Income Growth RateExcellent
Growth RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue Growth Rate79.3132.95-88.16100.113.61
Operating Profit Growth Rate-127570.07-98.6772575
Earnings Per Share (EPS) Growth-187.65103.17209.63365.96-30.01
Asset Growth Rate9.4511.4258.41-40.65
Net Income Growth Rate-187.17102.64205.96364.76-29.79
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 : 7.60

The company's financial ratios show a mixed but generally positive performance. While Adjusted Earnings Per Share (Adjusted EPS), Book Value Per Share, and Dividend Per Share (DPS) are average, Cash Earnings Per Share (Cash EPS) and Capital Expenditures (CapEx) are strong. This suggests the company is generating significant cash earnings and is effectively managing its capital expenditures. Improving the Adjusted EPS, Book Value Per Share, and Dividend Per Share (DPS) could further enhance the company's financial health and investor appeal.

AverageAdjusted Earnings Per Share (Adjusted EPS)Average
ExcellentCash Earnings Per Share (Cash EPS)Excellent
AverageBook Value Per ShareAverage
AverageDividend Per Share (DPS)Average
ExcellentCapital Expenditures (CapEx)Excellent
Financial RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Adjusted Earnings Per Share (Adjusted EPS)55.6792.39238.211136.12
Cash Earnings Per Share (Cash EPS)75.37115.22254.031161.490
Book Value Per Share352.24432.69689.25554.78
Dividend Per Share (DPS)3.133.189.8400
Capital Expenditures (CapEx)31102196142113
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 : 9.60

The company's profitability ratios are strong, indicating a robust ability to generate profits from its operations and investments. This profitability is essential for sustainable growth and long-term financial health. The real estate sector's profitability is influenced by market conditions, project management, and cost control.

ExcellentGross Profit MarginExcellent
ExcellentReturn on Capital Employed (ROCE)Excellent
ExcellentReturn on Equity (ROE)Excellent
AverageReturn on Assets (ROA)Average
ExcellentOperating MarginExcellent
ExcellentNet MarginExcellent
Profitability RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Gross Profit Margin7.5311.73-4.42-0.723.57
Return on Capital Employed (ROCE)1321024
Return on Equity (ROE)11.2318.5235.58205.43
Return on Assets (ROA)9.5714.610.121.71
Operating Margin11.4114.61.646.7810.44
Net Margin4.296.54168.86392.19242.36
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 : 4.67

The company's efficiency ratios present a mixed picture. While the Days Sales in Inventory and Receivable Days suggest effective management in those specific areas, the other turnover ratios are notably low. This indicates potential inefficiencies in utilizing fixed assets, managing inventory, and collecting receivables. Improving these areas could significantly enhance the company's operational performance and profitability. The real estate sector requires efficient asset utilization to maximize returns on investment.

PoorFixed Asset Turnover RatioPoor
PoorInventory Turnover RatioPoor
PoorReceivables Turnover RatioPoor
ExcellentDays Sales in Inventory RatioExcellent
ExcellentReceivable DaysExcellent
PoorCapital Turnover RatioPoor
Efficiency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Fixed Asset Turnover Ratio3.294.250.281.1
Inventory Turnover Ratio3.143.220.3415.09
Receivables Turnover Ratio6.7510.160.92.154.24
Days Sales in Inventory Ratio116.24113.351073.5336571.71
Receivable Days54.0735.93405.56169.7786
Capital Turnover Ratio1.631.910.130.48
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 : 10.00

Raymond Ltd's coverage ratios are exceptionally strong, indicating a robust ability to meet its interest and dividend obligations. This financial stability provides a buffer against economic downturns and ensures the company can continue to reward its shareholders. High coverage ratios are particularly important in capital-intensive industries like real estate, where consistent debt servicing is crucial.

ExcellentInterest Coverage RatioExcellent
ExcellentEquity Dividend Coverage RatioExcellent
Coverage RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Interest Coverage Ratio2.073.87209.5118.8862.93
Equity Dividend Coverage Ratio12.52525
01.

Interest Coverage Ratio

02.

Equity Dividend Coverage Ratio

Solvency Ratio Summary
Solvency Ratio SummarySolvency Score : 10.00

Raymond Ltd demonstrates strong solvency, indicating a solid financial foundation and a balanced approach to managing debt. The company's equity significantly outweighs its debt, providing a buffer against financial distress. This financial health enables the company to pursue growth opportunities and weather economic downturns more effectively. A balanced capital structure is essential for long-term sustainability and investor confidence.

ExcellentDebt RatioExcellent
ExcellentDebt to Equity RatioExcellent
ExcellentEquity RatioExcellent
ExcellentDebt To Asset RatioExcellent
Solvency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debt Ratio0.380.320.40.09
Debt to Equity Ratio0.610.470.670.1
Equity Ratio0.620.680.60.91
Debt To Asset Ratio0.190.170.240.05
01.

Debt Ratio

02.

Debt to Equity Ratio

03.

Equity Ratio

04.

Debt To Asset Ratio

Liquidity Ratio Summary
Liquidity Ratio SummaryLiquidity Score : 2.00

The company's liquidity position is concerning, as indicated by uniformly low scores across all liquidity metrics. This suggests difficulty in meeting short-term obligations using its current assets. While maintaining high liquidity isn't always optimal, the current levels may expose the company to financial strain if unexpected expenses arise or revenues decline. The real estate sector often requires quick access to cash for project development and operational needs, making this a critical area for improvement.

PoorCurrent RatioPoor
PoorQuick RatioPoor
PoorCash RatioPoor
PoorOperating Cash Flow RatioPoor
Liquidity RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Current Ratio1.221.171.251.32
Quick Ratio0.660.540.591.2
Cash Ratio0.090.080.10.08
Operating Cash Flow Ratio0.190.210.10.06
01.

Current Ratio

02.

Quick Ratio

03.

Cash Ratio

04.

Operating Cash Flow Ratio

Peer Comparison With 16 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
1Marathon Nextgen Realty Ltd7.6513.23Highly Undervalued121.0025.45206.00
2AGI Infra Ltd7.5449.49Highly Overvalued123.007.5995.00
3Raymond Ltd7.470.73Neutral231.00-1.985361.00
4Arvind SmartSpaces Ltd7.2029.04Highly Overvalued152.0010.02103.00
5Ajmera Realty & Infra India Ltd7.1318.52Undervalued298.006.46157.00
6Suraj Estate Developers Ltd6.9610.38Highly Undervalued218.0016.0990.00
7Arihant Superstructures Ltd6.6725.43Overvalued127.000.3446.00
8Hemisphere Properties India Ltd6.09-357.82Neutral-9.00-0.39-11.00
9Ashiana Housing Ltd5.9432.72Highly Overvalued130.0012.30118.00
10Kolte Patil Developers Ltd5.79-86.06Neutral-61.00-0.22-38.00
11Arkade Developers Ltd5.61393.97Overvalued189.000.295.00
12Shriram Properties Ltd5.5715.53Neutral85.000.44101.00
13Hubtown Ltd4.8318.66Undervalued153.007.69164.00
14TARC Ltd3.84194.12Neutral-264.00-5.6119.00
Management Assessment Summary
OrangeBalanced Management

The management of Raymond Ltd demonstrates strengths in profitability and promoter confidence, but faces challenges in sales growth and debt management. The substantial increase in net profit in the most recent year is a positive indicator, and the consistent promoter holding suggests confidence in the company's direction. However, declining sales growth and significant debt levels raise concerns about long-term financial stability. While ROCE has improved, its sustainability needs monitoring.

Category Metric Value Assessment
PROS Profitability 7,636 Cr. Strong Profitability
Promoter Holding 48.87% Signifies Promoter Confidence
CONS Sales Growth -78% Declining Sales
Debt/Equity Ratio High Leverage under control
AverageFinancial Performance & GrowthAverage
GoodCapital Efficiency & ReturnsGood
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 Raymond Ltd. indicates moderate risk requiring vigilant oversight. Segment performance volatility and foreign exchange exposure pose notable risks. Increasing regulatory compliance costs could impact profitability.

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

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

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 10588.71Bearish
  3. SMA 20589.94Bearish
  4. SMA 50583.72Bullish
  5. EMA 10588.57Bearish
  6. EMA 20588.78Bearish
  7. EMA 50579.83Bullish
  8. DEMA 10587.29Bearish
  9. DEMA 20590.76Bearish
  10. DEMA 50597.66Bearish
  11. TEMA 10586.34Bearish
  12. TEMA 20586.43Bearish
  13. TEMA 50598.50Bearish
  14. MACD1.05Bearish
  15. ADX32.79Strong Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI47.56Neutral
  3. CCI-99.91Neutral
  4. ROC 9-0.33Bearish
  5. ROC 14-1.26Bearish
  6. ROC 25-0.82Bearish
  7. Stoch K25.28Neutral
  8. Stoch D29.62Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper595.77Neutral
  3. BB Middle589.94Neutral
  4. BB Lower584.10Neutral
  5. ATR6.13Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI62.37Neutral

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

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 10589.81Bearish
  3. SMA 20591.35Bearish
  4. SMA 50558.19Bullish
  5. EMA 10588.40Bearish
  6. EMA 20584.80Bullish
  7. EMA 50567.02Bullish
  8. DEMA 10588.80Bearish
  9. DEMA 20595.62Bearish
  10. DEMA 50593.08Bearish
  11. TEMA 10585.53Bullish
  12. TEMA 20591.73Bearish
  13. TEMA 50597.53Bearish
  14. MACD7.02Bearish
  15. ADX50.60Strong Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI56.98Neutral
  3. CCI-105.45Oversold
  4. ROC 9-0.83Bearish
  5. ROC 14-0.68Bearish
  6. ROC 255.83Bullish
  7. Stoch K22.45Neutral
  8. Stoch D23.99Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper599.41Neutral
  3. BB Middle591.35Neutral
  4. BB Lower583.28Neutral
  5. ATR8.47Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI53.98Neutral

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

Neutral

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 10590.77Bearish
  3. SMA 20568.81Bullish
  4. SMA 50543.36Bullish
  5. EMA 10584.67Bullish
  6. EMA 20572.46Bullish
  7. EMA 50542.45Bullish
  8. DEMA 10594.85Bearish
  9. DEMA 20594.46Bearish
  10. DEMA 50589.23Bearish
  11. TEMA 10591.33Bearish
  12. TEMA 20598.30Bearish
  13. TEMA 50N/AN/A
  14. MACD16.42Bearish
  15. ADX44.54Strong Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI64.22Neutral
  3. CCI51.02Neutral
  4. ROC 9-2.17Bearish
  5. ROC 145.02Bullish
  6. ROC 2513.06Bullish
  7. Stoch K60.43Neutral
  8. Stoch D66.84Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper623.34Neutral
  3. BB Middle568.81Neutral
  4. BB Lower514.28Neutral
  5. ATR14.30Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI76.47Neutral

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

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

Neutral

Trend Indicators (22)
  1. IndicatorValueSignal
  2. SMA 10560.83Bullish
  3. SMA 20549.22Bullish
  4. SMA 50491.17Bullish
  5. SMA 100436.84Bullish
  6. SMA 200480.78Bullish
  7. EMA 10568.99Bullish
  8. EMA 20548.22Bullish
  9. EMA 50502.77Bullish
  10. EMA 100476.26Bullish
  11. EMA 200483.04Bullish
  12. DEMA 10591.16Bearish
  13. DEMA 20583.96Bullish
  14. DEMA 50556.04Bullish
  15. DEMA 100490.37Bullish
  16. DEMA 200457.93Bullish
  17. TEMA 10596.84Bearish
  18. TEMA 20587.74Bullish
  19. TEMA 50590.83Bearish
  20. TEMA 100537.71Bullish
  21. TEMA 200450.37Bullish
  22. MACD27.02Bullish
  23. ADX33.27Strong Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI69.21Neutral
  3. CCI124.04Overbought
  4. ROC 149.04Bullish
  5. ROC 2525.73Bullish
  6. Stoch K79.12Neutral
  7. Stoch D81.14Overbought
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper602.71Neutral
  3. BB Middle549.22Neutral
  4. BB Lower495.73Neutral
  5. ATR24.77Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI61.72Neutral

Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Market Sentiment

Analysis Driven By 21 Technical Indicators From The 1 Week 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

Bearish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Strong Bearish

Trend Indicators (10)
  1. IndicatorValueSignal
  2. SMA 20432.98Bullish
  3. SMA 50507.41Bullish
  4. EMA 20469.43Bullish
  5. EMA 50482.33Bullish
  6. DEMA 20484.07Bullish
  7. DEMA 50456.13Bullish
  8. TEMA 20528.15Bullish
  9. TEMA 50432.04Bullish
  10. MACD18.61Bullish
  11. ADX32.50Strong Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI59.19Neutral
  3. CCI31.29Neutral
  4. ROC 1452.53Bullish
  5. ROC 2536.68Bullish
  6. Stoch K87.62Overbought
  7. Stoch D85.55Overbought
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper572.54Overbought
  3. BB Middle432.98Neutral
  4. BB Lower293.42Neutral
  5. ATR53.63High Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI83.69Overbought

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

Bullish

Volatility Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bearish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 6422.67Bullish
  3. SMA 12512.02Bullish
  4. SMA 24536.30Bullish
  5. EMA 6463.48Bullish
  6. EMA 12480.33Bullish
  7. EMA 24480.73Bullish
  8. DEMA 6457.06Bullish
  9. DEMA 12455.09Bullish
  10. DEMA 24517.78Bullish
  11. TEMA 6481.75Bullish
  12. TEMA 12428.97Bullish
  13. TEMA 24472.30Bullish
  14. MACD65.03Bearish
  15. ADX26.45Strong Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI55.85Neutral
  3. CCI52.53Neutral
  4. ROC 2526.77Bullish
  5. ROC 50211.99Bullish
  6. Stoch K40.74Neutral
  7. Stoch D51.97Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper708.94Neutral
  3. BB Middle518.06Neutral
  4. BB Lower327.18Neutral
  5. ATR101.17High Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI79.16Neutral