Examining the Moving Average Convergence Divergence (MACD) on a weekly basis, the signal remains bearish, while monthly data is inconclusive. The Relative Strength Index (RSI) does not currently indicate a definitive signal on either weekly or monthly charts, suggesting a neutral momentum in the short to medium term. Bollinger Bands reflect a mildly bearish trend weekly and a more pronounced bearish stance monthly, indicating increased volatility and potential downward pressure on prices.
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Daily moving averages present a mildly bullish outlook, contrasting with the weekly and monthly Dow Theory signals that lean mildly bearish. The Know Sure Thing (KST) indicator on a weekly timeframe shows bullish momentum, while monthly data remains neutral. On-Balance Volume (OBV) analysis reveals a mildly bearish trend weekly but a bullish signal monthly, highlighting mixed investor participation across different time horizons.
From a returns perspective, BEML Land Assets has underperformed the Sensex across multiple periods. Over the past week, the stock recorded a marginal decline of 0.1%, whereas the Sensex gained 0.96%. The one-month return for the stock was -2.05%, compared to the Sensex’s 0.86%. Year-to-date figures show a decline of 12.1% for BEML Land Assets, contrasting with an 8.36% gain in the Sensex. Over the last year, the stock’s return was -7.16%, while the benchmark index appreciated by 9.48%. Longer-term returns for three, five, and ten years are not available for the stock, but the Sensex posted gains of 37.31%, 91.65%, and 232.28% respectively over these periods.
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Market capitalisation grading for BEML Land Assets is positioned at 4, reflecting its micro-cap status within the NBFC sector. The recent adjustment in its evaluation score, effective from 19 Nov 2025, follows a technical parameter change that triggered a revision in its overall mojo grade. This shift underscores the evolving technical landscape for the stock, which investors may wish to monitor closely.
In summary, BEML Land Assets is currently navigating a complex technical environment with mixed signals across key indicators. While some daily measures suggest mild bullishness, weekly and monthly trends lean towards a cautious, mildly bearish outlook. The stock’s relative underperformance against the Sensex over recent periods further contextualises its current market position. Investors analysing BEML Land Assets should consider these technical nuances alongside broader sector and market dynamics when evaluating potential opportunities.
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