GIC Housing Finance Hits 52-Week Low Amidst Increased Market Volatility

Feb 17 2025 09:39 AM IST
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GIC Housing Finance has reached a new 52-week low, reflecting a notable decline in its stock performance. The company has experienced consecutive falls over the past three days, with significant intraday volatility. Over the past year, its performance has declined sharply compared to the broader market.
GIC Housing Finance has experienced significant activity today, reaching a new 52-week low of Rs. 170.55. This marks a notable decline for the microcap company, which operates within the finance and housing sector. Over the past three days, the stock has seen a consecutive fall, resulting in a total decline of 5.08%.

Today's trading session has been characterized by high volatility, with an intraday volatility rate of 26.34%, indicating substantial price fluctuations. In terms of moving averages, GIC Housing Finance is currently trading below its 5-day, 20-day, 50-day, 100-day, and 200-day moving averages, reflecting a bearish trend in its performance.

Over the past year, GIC Housing Finance has faced challenges, with a performance decline of 29.81%, contrasting sharply with the Sensex, which has gained 4.33% during the same period. These metrics highlight the stock's current market position and performance indicators, providing a comprehensive overview of its recent activity.
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