Examining the technical indicators, the weekly MACD reflects a mildly bullish posture, while the monthly MACD remains neutral, indicating a lack of strong directional momentum over the longer term. The Relative Strength Index (RSI) on both weekly and monthly charts does not currently signal any definitive momentum, suggesting a consolidation phase. Meanwhile, Bollinger Bands present a bullish stance on the weekly timeframe but shift to a sideways pattern monthly, reinforcing the mixed technical outlook.
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Daily moving averages for D.P. Abhushan indicate a mildly bearish trend, contrasting with the weekly On-Balance Volume (OBV) which remains bullish, as does the monthly OBV. This divergence between price averages and volume suggests accumulation despite price softness. The KST indicator on a weekly basis signals bearishness, while the monthly KST data is not available, adding to the complexity of the technical picture. Dow Theory analysis shows a mildly bullish weekly trend but a mildly bearish monthly trend, underscoring the sideways momentum shift.
From a price performance perspective, D.P. Abhushan has outperformed the Sensex over short-term periods. The stock posted a 5.78% return over the past week compared to the Sensex’s 0.96%, and a 13.24% return over the last month against the Sensex’s 0.86%. Year-to-date, the stock’s return stands at 6.7%, slightly below the Sensex’s 8.36%. Over the one-year horizon, the stock returned 1.4%, trailing the Sensex’s 9.48%. Longer-term returns for three, five, and ten years are not available for the stock, while the Sensex shows robust gains of 37.31%, 91.65%, and 232.28% respectively.
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The stock’s 52-week high stands at ₹1,894.30, while the 52-week low is ₹1,210.00, indicating a wide trading range and potential volatility. The current market capitalisation grade is modest, reflecting the company’s small-cap status within the Gems, Jewellery And Watches sector. The recent adjustment in the Mojo Grade from Sell to Hold, effective from 18 Nov 2025, highlights a revision in evaluation based on the technical parameter changes observed on 19 Nov 2025.
In summary, D.P. Abhushan’s technical indicators present a mixed but stabilising outlook, with momentum shifting towards a sideways trend after a period of mild bearishness. Investors should note the divergence between volume-based indicators and moving averages, as well as the short-term outperformance relative to the broader market. These factors suggest a phase of consolidation where price momentum is less decisive, warranting close monitoring of technical signals for future directional cues.
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