Capri Global Capital Faces Volatility Amid Broader Market Resilience and Trend Reversal Signals

Mar 27 2025 01:45 PM IST
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Capri Global Capital, a midcap finance and NBFC firm, saw a notable decline on March 27, 2025, following a week of gains. The stock exhibited significant volatility, with intraday fluctuations and mixed performance relative to moving averages. Meanwhile, the broader market, represented by the Sensex, showed resilience.
Capri Global Capital, a midcap player in the finance and non-banking financial company (NBFC) sector, experienced a significant decline of 9.68% on March 27, 2025. This drop comes after a seven-day streak of gains, indicating a potential trend reversal. The stock opened lower, down 2.36%, and reached an intraday high of Rs 231.7, reflecting an 18.7% increase from its previous close. However, it also hit a low of Rs 182, marking a 6.76% decrease during the trading session.

The stock's performance today underperformed the sector by 6.42%, highlighting its volatility with an intraday fluctuation of 10.33%. In terms of moving averages, Capri Global Capital is currently above its 5-day, 20-day, and 50-day averages but remains below the 100-day and 200-day averages.

In the broader market context, the Sensex showed resilience, recovering sharply after a negative opening and trading at 77,662.17, up 0.48%. While the Sensex has gained 6.1% over the past three weeks, Capri Global Capital's year-to-date performance remains down by 6.42%.
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