On 19 Nov 2025, 5Paisa Capital’s share price closed at ₹345.35, marking a significant day change of 9.36% from the previous close of ₹315.80. The stock’s intraday range spanned from ₹321.10 to ₹360.40, indicating heightened volatility. Despite this, the price remains below its 52-week high of ₹519.10 and above the 52-week low of ₹287.95, suggesting a consolidation phase within a broad trading range.
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Technical indicators present a mixed picture for 5Paisa Capital. The Moving Average Convergence Divergence (MACD) remains bearish on both weekly and monthly timeframes, signalling persistent downward momentum. Meanwhile, the Relative Strength Index (RSI) does not currently emit a clear signal on either timeframe, indicating a neutral momentum stance. Bollinger Bands suggest a mildly bearish trend, consistent across weekly and monthly charts, reflecting moderate price compression and potential volatility.
Moving averages on the daily chart also indicate a mildly bearish trend, aligning with the broader technical narrative. The Know Sure Thing (KST) oscillator remains bearish on weekly and monthly scales, reinforcing the subdued momentum. Contrastingly, the Dow Theory presents a mildly bullish signal on the weekly timeframe but shifts to mildly bearish on the monthly, highlighting short-term optimism amid longer-term caution. On-Balance Volume (OBV) shows mildly bullish tendencies weekly but bearish on a monthly basis, suggesting volume trends are not decisively supporting price advances.
From a returns perspective, 5Paisa Capital’s recent performance diverges markedly from the broader Sensex benchmark. Over the past week, the stock recorded a return of 18.7%, substantially outpacing the Sensex’s 0.96%. The one-month return of 10.3% similarly exceeds the Sensex’s 0.86%. However, year-to-date and one-year returns for 5Paisa Capital stand at -26.58% and -27.64% respectively, contrasting with positive Sensex returns of 8.36% and 9.48% over the same periods. Longer-term returns over three and five years show modest positive gains for the stock, though these lag behind the Sensex’s more robust performance.
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Market capitalisation metrics for 5Paisa Capital reflect a modest grade, with a current evaluation adjustment noted on 18 Nov 2025. This adjustment coincides with the technical parameter change triggered on 19 Nov 2025, indicating a recalibration in the stock’s technical assessment. The stock’s Mojo Score stands at 34.0, reflecting a shift from a previous stronger evaluation to a more cautious stance. This change underscores the evolving technical landscape and the need for investors to monitor momentum indicators closely.
In summary, 5Paisa Capital’s technical parameters reveal a transition from bearish to mildly bearish momentum, with mixed signals across key indicators such as MACD, RSI, moving averages, and volume-based metrics. The divergence between short-term price gains and longer-term negative returns relative to the Sensex highlights the stock’s complex positioning within the capital markets sector. Investors analysing 5Paisa Capital should consider these nuanced technical signals alongside broader market trends to inform their decisions.
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