Blue Star's Technical Indicators Show Mixed Signals Amid Market Volatility

Oct 09 2025 08:04 AM IST
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Blue Star, a midcap company in the Electronics & Appliances sector, has seen significant stock volatility over the past year, with a 52-week high of 2,419.95 and a low of 1,521.20. Despite recent challenges, its long-term performance has notably outpaced the Sensex over three and five years.
Blue Star, a midcap player in the Electronics & Appliances industry, has recently undergone an evaluation revision reflecting its current market dynamics. The stock is currently priced at 1898.40, slightly down from the previous close of 1911.00. Over the past year, Blue Star has experienced a 52-week high of 2,419.95 and a low of 1,521.20, indicating significant volatility.

In terms of technical indicators, the weekly MACD shows a bullish trend, while the monthly perspective leans mildly bearish. The Bollinger Bands indicate a mildly bullish stance on a weekly basis and a bullish outlook monthly. Daily moving averages are bullish, suggesting positive momentum in the short term. However, the KST reflects a mixed sentiment with weekly bullishness and monthly mild bearishness.

When comparing Blue Star's performance to the Sensex, the company has shown notable returns over longer periods. Over the last three years, Blue Star has achieved a remarkable return of 228.93%, significantly outperforming the Sensex's 40.53%. Over five years, the stock has surged by 496.37%, compared to the Sensex's 103.50%. Despite a challenging year-to-date performance of -10.77% against the Sensex's 4.65%, Blue Star's long-term trajectory remains impressive.
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