Capri Global Capital Faces Technical Trend Shifts Amid Market Volatility

Apr 01 2025 08:02 AM IST
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Capri Global Capital, a midcap finance player, has seen notable stock price movement recently, reflecting market volatility. Despite a year-to-date decline, the company has achieved significant growth over five years. Technical indicators suggest a bearish sentiment, while recent performance has outpaced the Sensex in the short term.
Capri Global Capital, a midcap player in the Finance/NBFC sector, has recently undergone an evaluation revision reflecting its current market dynamics. The stock is currently priced at 170.35, showing a notable shift from its previous close of 164.75. Over the past week, Capri Global has experienced a high of 178.70 and a low of 166.20, indicating some volatility in its trading activity.

The technical summary reveals a bearish sentiment in the weekly MACD and daily moving averages, while the monthly indicators show a mildly bearish trend. The Bollinger Bands and KST also reflect a similar bearish outlook on a weekly basis. Notably, the Relative Strength Index (RSI) shows no signal, suggesting a lack of momentum in either direction.

In terms of performance, Capri Global's stock return over the past week stands at 1.98%, outperforming the Sensex, which returned 0.66%. Over the last month, the stock has returned 6.34%, slightly ahead of the Sensex's 5.76%. However, on a year-to-date basis, Capri Global has seen a decline of 8.83%, contrasting with the Sensex's minor drop of 0.93%. Over a longer horizon, the company has shown significant growth, with a remarkable 311.88% return over the past five years, compared to the Sensex's 159.65%. This performance highlights the company's resilience in a fluctuating market environment.
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