DB (International) Stock Brokers Hits 52-Week Low Amid Broader Sector Decline

Apr 07 2025 10:42 AM IST
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DB (International) Stock Brokers has faced notable volatility, reaching a new 52-week low amid a broader decline in the Finance/NBFC sector. The stock has significantly underperformed over the past year, with weak fundamentals and a high percentage of pledged promoter shares contributing to its challenges.
DB (International) Stock Brokers has experienced significant volatility today, reaching a new 52-week low of Rs. 26.16. The stock has underperformed its sector by 2.21%, continuing a downward trend with a 7.38% decline over the past two days. It opened with a notable loss of 5.26% and hit an intraday low of Rs. 26.16, reflecting an 8.21% drop at its lowest point.

In terms of moving averages, DB (International) is currently trading below its 5-day, 20-day, 50-day, 100-day, and 200-day averages, indicating a bearish technical outlook. The broader Finance/NBFC sector has also faced challenges, declining by 4.7%.

Over the past year, DB (International) has seen a substantial decline of 43.79%, contrasting sharply with the Sensex's performance, which has decreased by only 2.45%. The company's financial health is further underscored by weak long-term fundamentals, including a low return on equity of 10.28% and disappointing quarterly results. Additionally, 49.26% of promoter shares are pledged, adding to the stock's downward pressure in a declining market.
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