Rolex Rings Ltd
Automobile And Auto Components | Small Cap
Rolex Rings Ltd exhibits a mixed but fundamentally strong financial profile. The company's greatest strengths are its exceptional profitability and rock-solid solvency. It operates with virtually no debt, making it highly resilient to financial shocks, and consistently generates impressive profit margins and returns on investment. Liquidity is also robust, indicating a strong capacity to meet short-term obligations. However, this rosy picture is contrasted by significant weaknesses in operational efficiency and growth. The company is slow to sell its inventory and generate sales from its assets. More concerningly, while its asset base is expanding, its profits are on a declining trend. This suggests that recent investments are not yet yielding desired returns. The future outlook depends on its ability to resolve these operational inefficiencies and translate its financial stability into sustainable, profitable growth.
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- Valuation MetricsNeutral
- Market Metrics
- Stock Reports
- Stock News
- Growth Ratio4.80
- Financial Ratio3.80
- Profitability Ratio10.00
- Efficiency Ratio3.33
- Coverage Ratio6.80
- Solvency Ratio10.00
- Liquidity Ratio8.76
- Peer Assessment
- Management AssessmentBalanced
- Risk AssessmentWeak
- 1 HourBullish
- 2 HoursBullish
- 4 HoursBullish
- 1 DayBullish
- 1 WeekBullish
- 1 MonthNeutral
Rolex Rings Ltd exhibits a mixed but fundamentally strong financial profile. The company's greatest strengths are its exceptional profitability and rock-solid solvency. It operates with virtually no debt, making it highly resilient to financial shocks, and consistently generates impressive profit margins and returns on investment. Liquidity is also robust, indicating a strong capacity to meet short-term obligations. However, this rosy picture is contrasted by significant weaknesses in operational efficiency and growth. The company is slow to sell its inventory and generate sales from its assets. More concerningly, while its asset base is expanding, its profits are on a declining trend. This suggests that recent investments are not yet yielding desired returns. The future outlook depends on its ability to resolve these operational inefficiencies and translate its financial stability into sustainable, profitable growth.
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Overall Valuation Score
P/E RATIO (TTM)
27.65
Industry Median
28.72
Small Cap Median
28.21
P/E RATIO
27.65
P/B RATIO
3.21
Industry Median
3.22
Small Cap Median
3.20
P/S RATIO
3.52
Industry Median
1.69
Small Cap Median
1.68
Others
PEG RATIO
0.00
EV/EBITDA RATIO
17.30
The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹143.23 as on Jun 19, 2026.
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Concall Report⬤13th Nov 25
Q2 FY26 Earnings Conference Call
NEUTRAL SENTIMENT
The company's growth profile is a story of contrasts and raises some concerns. On the positive side, it is expanding its asset base and shows strong revenue growth. However, this top-line growth is not translating into bottom-line success. The growth rates for key profit metrics like operating profit, net income, and earnings per share are all poor and even negative. This disconnect is a significant red flag, suggesting that the company is facing severe margin pressure, rising costs, or that its growth strategies are currently unprofitable.
| Growth Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Revenue Growth Rate | 63.96 | 16.73 | 3.65 | -5.48 | -0.95 |
| Operating Profit Growth Rate | 110.09 | 13.97 | 0.38 | -8.02 | -4.56 |
| Earnings Per Share (EPS) Growth | 33.33 | 50.21 | -21.18 | 11.52 | -18.94 |
| Asset Growth Rate | 24.53 | 2.84 | 10.66 | 14.36 | 6.94 |
| Net Income Growth Rate | 51.72 | 50 | -21.21 | 11.54 | -18.97 |
Revenue Growth Rate
Operating Profit Growth Rate
Earnings Per Share (EPS) Growth
Asset Growth Rate
Net Income Growth Rate
This category highlights several weaknesses from a shareholder value perspective. Key metrics like earnings per share and the company's intrinsic book value are average to weak. The company does not share its profits with investors through dividends, and it is spending heavily on capital expenditures. This combination suggests that while the company is channeling money back into the business, the immediate returns and direct value being delivered to shareholders are currently limited. The cash earnings are also not as strong as reported profits.
| Financial Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Adjusted Earnings Per Share (Adjusted EPS) | 4.89 | 7.33 | 6.63 | 6.96 | 6.63 |
| Cash Earnings Per Share (Cash EPS) | 5.85 | 8.33 | 7 | 7.93 | 6.59 |
| Book Value Per Share | 20.19 | 27.52 | 33.26 | 39.7 | 44.93 |
| Dividend Per Share (DPS) | 0 | 0 | 0 | 0 | 0 |
| Capital Expenditures (CapEx) | 70 | 41 | 54 | 50 | 35 |
Adjusted Earnings Per Share (Adjusted EPS)
Cash Earnings Per Share (Cash EPS)
Book Value Per Share
Dividend Per Share (DPS)
Capital Expenditures (CapEx)
Profitability is an area of exceptional strength for the company. It demonstrates outstanding performance across all key profitability metrics. The company maintains excellent margins on its sales, from the initial gross profit down to the final net profit. Furthermore, it generates very high returns on the capital, equity, and assets it employs. This indicates a highly efficient and lucrative core business model that is very effective at converting revenue into actual profit, which is a major positive for investors.
| Profitability Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Gross Profit Margin | 20.1 | 19.85 | 18.74 | 17.4 | 16.87 |
| Return on Capital Employed (ROCE) | 31 | 32 | 28 | 23 | 21 |
| Return on Equity (ROE) | 24.22 | 26.65 | 17.37 | 16.23 | 11.62 |
| Return on Assets (ROA) | 23.25 | 25.77 | 23.37 | 18.8 | 16.78 |
| Operating Margin | 22.67 | 22.14 | 21.44 | 20.87 | 20.1 |
| Net Margin | 13.07 | 16.79 | 12.77 | 15.06 | 12.33 |
Gross Profit Margin
Return on Capital Employed (ROCE)
Return on Equity (ROE)
Return on Assets (ROA)
Operating Margin
Net Margin
The company's operational efficiency presents a significant area of weakness. Across several key metrics, the company appears to be struggling to generate sales from its assets effectively. It takes a long time to sell inventory and collect payments from customers, which can tie up cash and hinder financial flexibility. Furthermore, the efficiency of using both its fixed assets and total capital to produce revenue is low. While payment collection is at an average level, the overall picture points to notable inefficiencies in managing its core operations.
| Efficiency Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Fixed Asset Turnover Ratio | 2.66 | 3.02 | 2.62 | 2.6 | 2.56 |
| Inventory Turnover Ratio | 3.73 | 3.65 | 4 | 3.94 | 3.97 |
| Receivables Turnover Ratio | 5.02 | 5.14 | 5.48 | 5.62 | 5.54 |
| Days Sales in Inventory Ratio | 97.86 | 100 | 91.25 | 92.64 | 91.94 |
| Receivable Days | 72.71 | 71.01 | 66.61 | 64.95 | 65.88 |
| Capital Turnover Ratio | 1.79 | 1.59 | 1.36 | 1.08 | 0.94 |
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 obligations is a mixed bag. On one hand, its capacity to cover interest payments on its debt is exceptionally strong, but this is mainly because it has very little debt to begin with. On the other hand, the company does not pay dividends to its shareholders. For lenders and creditors, the company is an extremely low-risk prospect. For investors seeking regular income from their investment, the lack of a dividend is a significant drawback.
| Coverage Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Interest Coverage Ratio | 10.7 | 25.3 | 71 | 105 | 191 |
| Equity Dividend Coverage Ratio |
Interest Coverage Ratio
Equity Dividend Coverage Ratio
The company's solvency is in an exceptionally strong, ideal position. It operates with virtually no debt, meaning its assets are almost entirely funded by owner's equity. This minimizes long-term financial risk to an absolute minimum, making the company highly stable and resilient to economic downturns or interest rate fluctuations. For long-term investors and lenders, this represents the lowest possible risk profile from a debt perspective. The financial foundation is extremely secure.
| Solvency Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Debt Ratio | 0.04 | 0 | 0 | 0 | 0 |
| Debt to Equity Ratio | 0.04 | 0 | 0 | 0 | 0 |
| Equity Ratio | 0.96 | 1 | 1 | 1 | 1 |
| Debt To Asset Ratio | 0.02 | 0 | 0 | 0 | 0 |
Debt Ratio
Debt to Equity Ratio
Equity Ratio
Debt To Asset Ratio
The company demonstrates a very strong liquidity position. It has more than enough current assets to cover its short-term liabilities, significantly reducing the risk of default on its immediate debts. The ability to meet obligations even without relying on selling inventory is excellent. Cash generated from core business operations also comfortably covers current debts. One point of consideration is that its immediate cash reserves are only average, suggesting some reliance on converting receivables and inventory into cash, but overall, its short-term financial health is outstanding.
| Liquidity Ratios | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Current Ratio | 1.33 | 2.13 | 2.43 | 2.58 | 3.78 |
| Quick Ratio | 0.71 | 1.19 | 1.36 | 1.42 | 2.29 |
| Cash Ratio | 0.05 | 0.13 | 0.13 | 0.32 | 0.5 |
| Operating Cash Flow Ratio | 0.14 | 0.79 | 0.99 | 1.08 | 1.2 |
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 | NDR Auto Components Ltd | 8.74 | 32.85 | Overvalued | 91.00 | 22.30 | 62.00 |
| 2 | Automotive Axles Ltd | 8.41 | 16.49 | Undervalued | 237.00 | 108.77 | 164.00 |
| 3 | Shanthi Gears Ltd | 8.02 | 45.11 | Highly Overvalued | 104.00 | 9.99 | 77.00 |
| 4 | Wheels India Ltd | 7.87 | 24.49 | Neutral | 413.00 | 56.71 | 158.00 |
| 5 | Federal-Mogul Goetze (India) Ltd | 7.77 | 14.80 | Neutral | 303.00 | 30.36 | 178.00 |
| 6 | Sandhar Technologies Limited | 7.69 | 21.45 | Neutral | 438.00 | 29.76 | 199.00 |
| 7 | Alicon Castalloy Ltd | 7.15 | 30.89 | Highly Undervalued | 195.00 | 20.03 | 34.00 |
| 8 | Divgi Torqtransfer Systems Ltd | 6.88 | 55.81 | Highly Overvalued | 70.00 | 15.34 | 47.00 |
| 9 | Rolex Rings Ltd | 6.82 | 27.65 | Neutral | 230.00 | 5.18 | 141.00 |
| 10 | Steel Strips Wheels Ltd | 6.47 | 18.93 | Highly Undervalued | 510.00 | 12.86 | 190.00 |
| 11 | India Nippon Electricals Ltd | 6.42 | 18.61 | Undervalued | 119.00 | 49.18 | 111.00 |
| 12 | Rajratan Global Wire Ltd | 5.99 | 32.48 | Overvalued | 140.00 | 8.82 | 70.00 |
| 13 | Precision Camshafts Ltd | 5.94 | 28.21 | Neutral | 68.00 | 0.61 | 51.00 |
| 14 | GNA Axles Ltd | 5.91 | 15.17 | Neutral | 238.00 | 27.25 | 117.00 |
| 15 | Talbros Automotive Components Ltd | 5.85 | 21.37 | Neutral | 137.00 | 13.58 | 104.00 |
| 16 | JTEKT India Ltd | 5.68 | 45.02 | Overvalued | 183.00 | 2.77 | 90.00 |
| 17 | Rane (Madras) Ltd | 5.57 | 28.83 | Neutral | 340.00 | 40.32 | 107.00 |
| 18 | Rico Auto Industries Ltd | 5.33 | 38.95 | Neutral | 223.00 | 2.02 | 52.00 |
| 19 | Sundaram Clayton Ltd | 4.89 | 11.70 | Undervalued | 106.00 | 250.49 | 252.00 |
| 20 | Igarashi Motors India Ltd | 3.89 | 107.33 | Overvalued | 83.00 | 3.86 | 12.00 |
Management effectiveness presents a mixed picture. Financial prudence is outstanding, evidenced by a nearly debt-free balance sheet (Debt/Equity of 0.02) and a very high interest coverage ratio of 87.3x. Capital efficiency remains strong with a ROCE of 28%. However, these strengths are overshadowed by deteriorating core business performance. Both sales and profit growth have turned negative on a TTM basis (-1% and -4% respectively). Furthermore, recurring large negative exceptional items (-₹32 Cr in FY24) raise concerns about earnings quality. While institutional confidence is strong, the conflict between excellent financial management and weak operational performance results in a balanced assessment.
| Category | Metric | Value | Assessment |
|---|---|---|---|
| PROS | Excellent Debt Management | [Debt/Equity 0.02] | outstanding |
| Strong Capital Efficiency | [ROCE 28%] | strong | |
| Improving Working Capital | [CCC improved to 146 days] | good | |
| Strong Institutional Confidence | [FII/DII holding 37.66%] | strong | |
| High Interest Coverage | [87.3x] | excellent | |
| CONS | Declining Sales Growth | [TTM -1%] | weak |
| Declining Profit Growth | [TTM -4%] | weak | |
| Poor Earnings Quality | [Exceptional Items -₹32 Cr] | poor | |
| No Dividend Payout | [0% Payout] | poor |
Financial Performance & Growth
The company's core financial performance shows a clear trend of deceleration and decline. After a strong post-pandemic recovery, sales growth has collapsed from 16.7% in FY2023 to just 3.6% in FY2024, with the trailing twelve months (TTM) showing a contraction. This slowdown is more pronounced in profitability. The annual net profit for FY2024 declined by 21% to ₹156 Cr from ₹198 Cr in the previous year. The compounded profit growth figures are negative over a three-year horizon and for the TTM, indicating a persistent issue rather than a one-off poor year. This consistent decline across multiple timeframes points towards significant issues in core operations, market demand, or competitive pressures that management has not successfully countered. The current trajectory indicates that the operational engine of the business is faltering.
Capital Efficiency & Returns
Management demonstrates strong capital efficiency. The Return on Capital Employed (ROCE) stood at a robust 28% in FY2024. While this is a slight dip from 32% in FY2023, it remains at a high level, indicating efficient use of capital to generate profits. Operational efficiency has also seen improvement, with the Cash Conversion Cycle (CCC) reducing from 195 days in FY2022 to 146 days in FY2024. This improvement is a result of better management of both receivables and inventory. However, the company's policy of not paying any dividends (0% payout ratio) is a significant drawback for shareholders, as it means returns are solely dependent on capital appreciation, which has been negative over the past three years.
Financial Health & Prudence
The company's management has executed an exceptional deleveraging strategy over the past decade. Borrowings have been aggressively reduced from ₹615 Cr in March 2016 to a negligible ₹18 Cr as of March 2024, transforming the company into a virtually debt-free entity. The debt-to-equity ratio is an extremely low 0.02. This disciplined capital structure management has massively de-risked the company's financial profile. A direct result is the soaring Interest Coverage Ratio, which stood at an impressive 87.3x in FY2024, indicating an extremely comfortable position to meet interest obligations from operating profits. This strong balance sheet provides substantial financial flexibility for future growth or to weather economic downturns.
Shareholding & Ownership Structure
The ownership structure indicates strong and stable confidence from key investor groups. Promoters maintain a majority stake of 55.25%, ensuring alignment with long-term company interests. Institutional investors (FIIs and DIIs) have a significant combined holding of 37.66% as of March 2024, which has remained stable and slightly increased over the past year. In particular, the FII holding has shown a clear rising trend, increasing from 5.01% in June 2023 to 7.75% in March 2024. This institutional backing provides a vote of confidence in the company's fundamental value and management, despite recent operational headwinds. The relatively low public shareholding of 7.11% further concentrates ownership among committed, long-term holders.
The primary risk is the poor quality and unpredictability of earnings, which is a significant red flag. This is driven by recurring, large negative exceptional items (-₹32 Cr in FY24) and volatile 'Other Income'. This pattern obscures the true underlying operational profitability and suggests persistent business challenges are not being captured in normal operations. This accounting ambiguity, combined with a clear slowdown in sales and profit, creates a high-risk profile. The company's reported earnings may not be sustainable or reflective of its core business health, making valuation and future performance difficult to project.
Earnings Quality & Transparency
The company's financial statements exhibit significant red flags due to large and recurring negative 'Exceptional items'. In FY2024, the company reported a -₹32 Cr exceptional item, substantially reducing profit before tax. The data projects this to be a continuing issue, with further negative items of -₹18 Cr and -₹52 Cr forecasted for FY25 and FY26, respectively. This recurrence suggests these are not truly 'exceptional' but may be related to ongoing restructuring or write-offs. This practice reduces the reliability of earnings and makes it difficult for investors to assess the company's true operational profitability, posing a significant risk to earnings quality.
Operational Performance Risk
There is a clear deterioration in the company's operational performance. After a period of strong growth, sales have stagnated, with TTM growth turning negative at -1%. Profitability has been hit harder, with 3-year compounded profit growth at -3% and TTM profit growth at -4%. The latest annual net profit for FY2024 fell by 21% year-over-year. This steady decline across both revenue and profit metrics signals significant operational challenges, which could stem from weakening market demand, increased competition, or margin pressures. This operational weakness is a fundamental risk to the company's value.
Dividend & Shareholder Return Risk
The company has a consistent policy of not paying dividends, with a 0% dividend payout ratio recorded for all available years. While this can be a valid strategy for a high-growth company, the recent negative profit growth calls this capital allocation policy into question. For shareholders, this lack of dividend means the only source of return is capital appreciation. Given the declining operational performance and a negative stock price CAGR of -9% over the last 3 years, this total reliance on price growth represents a significant risk. The policy reflects a poor direct return of cash to shareholders.
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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
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
- IndicatorValueSignal
- SMA 10142.26Bullish
- SMA 20141.68Bullish
- SMA 50140.23Bullish
- EMA 10142.45Bullish
- EMA 20141.84Bullish
- EMA 50140.88Bullish
- DEMA 10143.17Bullish
- DEMA 20142.78Bullish
- DEMA 50141.74Bullish
- TEMA 10143.39Bearish
- TEMA 20143.07Bullish
- TEMA 50142.73Bullish
- MACD0.73Bullish
- ADX40.08Strong Trend
- IndicatorValueSignal
- RSI68.59Neutral
- CCI156.60Overbought
- ROC 91.80Bullish
- ROC 141.44Bullish
- ROC 252.89Bullish
- Stoch K91.87Overbought
- Stoch D84.69Overbought
- IndicatorValueSignal
- BB Upper143.45Neutral
- BB Middle141.68Neutral
- BB Lower139.91Neutral
- ATR0.90Low Volatility
- IndicatorValueSignal
- MFI72.32Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Market Sentiment
Analysis Driven By 26 Technical Indicators From The 2 Hours 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
Neutral
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 10141.80Bullish
- SMA 20141.31Bullish
- SMA 50139.66Bullish
- EMA 10142.06Bullish
- EMA 20141.31Bullish
- EMA 50140.69Bullish
- DEMA 10142.93Bullish
- DEMA 20142.39Bullish
- DEMA 50140.52Bullish
- TEMA 10143.19Bullish
- TEMA 20142.95Bullish
- TEMA 50141.49Bullish
- MACD0.85Bullish
- ADX30.43Strong Trend
- IndicatorValueSignal
- RSI64.85Neutral
- CCI217.20Overbought
- ROC 91.70Bullish
- ROC 142.53Bullish
- ROC 254.91Bullish
- Stoch K86.37Overbought
- Stoch D83.17Overbought
- IndicatorValueSignal
- BB Upper143.24Overbought
- BB Middle141.31Neutral
- BB Lower139.37Neutral
- ATR1.29Low Volatility
- IndicatorValueSignal
- MFI74.64Neutral
Overall Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Bullish
Market Sentiment
Analysis Driven By 26 Technical Indicators From The 4 Hours 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
- IndicatorValueSignal
- SMA 10141.28Bullish
- SMA 20140.14Bullish
- SMA 50141.07Bullish
- EMA 10141.28Bullish
- EMA 20140.68Bullish
- EMA 50140.83Bullish
- DEMA 10142.27Bullish
- DEMA 20141.01Bullish
- DEMA 50141.26Bullish
- TEMA 10142.76Bullish
- TEMA 20142.17Bullish
- TEMA 50N/AN/A
- MACD0.41Bullish
- ADX15.65Weak Trend
- IndicatorValueSignal
- RSI60.26Neutral
- CCI135.27Overbought
- ROC 91.32Bullish
- ROC 142.86Bullish
- ROC 253.94Bullish
- Stoch K83.29Overbought
- Stoch D75.38Neutral
- IndicatorValueSignal
- BB Upper143.81Neutral
- BB Middle140.14Neutral
- BB Lower136.48Neutral
- ATR2.30Low Volatility
- IndicatorValueSignal
- MFI60.10Neutral
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
Bullish
Volume Score
Strong Bearish
Bearish
Neutral
Bullish
Strong Bullish
Neutral
- IndicatorValueSignal
- SMA 10139.72Bullish
- SMA 20140.34Bullish
- SMA 50142.37Bearish
- SMA 100134.29Bullish
- SMA 200129.81Bullish
- EMA 10140.21Bullish
- EMA 20140.66Bullish
- EMA 50139.45Bullish
- EMA 100136.13Bullish
- EMA 200136.78Bullish
- DEMA 10140.16Bullish
- DEMA 20139.94Bullish
- DEMA 50143.34Bearish
- DEMA 100140.24Bullish
- DEMA 200128.33Bullish
- TEMA 10141.01Bullish
- TEMA 20138.76Bullish
- TEMA 50142.69Bearish
- TEMA 100145.84Bearish
- TEMA 200137.69Bullish
- MACD-0.50Bullish
- ADX11.52Weak Trend
- IndicatorValueSignal
- RSI50.57Neutral
- CCI21.35Neutral
- ROC 140.36Bullish
- ROC 25-4.79Bearish
- Stoch K66.61Neutral
- Stoch D57.73Neutral
- IndicatorValueSignal
- BB Upper144.97Neutral
- BB Middle140.34Neutral
- BB Lower135.70Neutral
- ATR4.20Low Volatility
- IndicatorValueSignal
- MFI56.54Neutral
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
Bullish
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
Strong Bearish
- IndicatorValueSignal
- SMA 20134.00Bullish
- SMA 50131.74Bullish
- EMA 20135.98Bullish
- EMA 50138.07Bullish
- DEMA 20140.66Bearish
- DEMA 50125.15Bullish
- TEMA 20145.75Bearish
- TEMA 50132.06Bullish
- MACD3.79Bullish
- ADX24.75Weak Trend
- IndicatorValueSignal
- RSI51.46Neutral
- CCI42.75Neutral
- ROC 1414.41Bullish
- ROC 259.59Bullish
- Stoch K44.53Neutral
- Stoch D47.56Neutral
- IndicatorValueSignal
- BB Upper158.12Neutral
- BB Middle134.00Neutral
- BB Lower109.88Neutral
- ATR12.31Low Volatility
- IndicatorValueSignal
- MFI88.45Overbought
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
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 6130.30Bullish
- SMA 12131.28Bullish
- SMA 24163.23Bearish
- EMA 6132.86Bullish
- EMA 12136.97Bullish
- EMA 24151.16Bearish
- DEMA 6134.57Bullish
- DEMA 12122.86Bullish
- DEMA 24129.41Bullish
- TEMA 6140.97Bearish
- TEMA 12127.95Bullish
- TEMA 24N/AN/A
- MACD-8.93Bearish
- ADX19.50Weak Trend
- IndicatorValueSignal
- RSI50.07Neutral
- CCI-70.32Neutral
- ROC 25-25.35Bearish
- ROC 5011.99Bullish
- Stoch K13.43Oversold
- Stoch D21.51Neutral
- IndicatorValueSignal
- BB Upper203.86Neutral
- BB Middle145.77Neutral
- BB Lower87.69Neutral
- ATR31.04Low Volatility
- IndicatorValueSignal
- MFI88.12Overbought