Capri Global Capital Experiences Technical Trend Shift Amid Mixed Performance Indicators

Apr 03 2025 08:04 AM IST
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Capri Global Capital, a midcap finance and NBFC player, has recently adjusted its technical trends, reflecting changes in performance indicators. The stock has experienced fluctuations, with mixed returns over different periods, showcasing resilience and potential in the finance sector despite recent challenges.
Capri Global Capital, a midcap player in the finance and non-banking financial company (NBFC) sector, has recently undergone a technical trend adjustment. This revision reflects a shift in the company's performance indicators, which are crucial for understanding its market position.

Currently priced at 169.95, Capri Global has seen fluctuations with a 52-week high of 251.90 and a low of 151.10. The stock's recent trading activity shows a daily high of 177.05 and a low of 167.50. Analyzing the technical summary, the MACD indicates bearish trends on both weekly and monthly scales, while Bollinger Bands also reflect a bearish stance. The moving averages and KST metrics further support this trend, indicating a consistent pattern in the stock's performance.

In terms of returns, Capri Global's performance over various periods shows a mixed picture. Over the past week, the stock has returned -12.94%, contrasting with a modest gain of 4.67% for the Sensex. However, on a longer-term basis, the company has outperformed the Sensex over five years, with a remarkable return of 349.46% compared to the index's 171.07%. This highlights the company's resilience and potential in the finance sector, despite recent challenges.
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