Hazoor Multi Projects Technical Momentum Shifts Amid Mixed Market Signals

Dec 02 2025 08:01 AM IST
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Hazoor Multi Projects, a key player in the realty sector, has exhibited a notable shift in its technical momentum, reflecting a nuanced market assessment. Recent price movements and technical indicators suggest a transition from a predominantly bearish stance to a more mildly bearish outlook, underscoring evolving investor sentiment and market dynamics.



Price Movement and Market Context


On 2 December 2025, Hazoor Multi Projects closed at ₹38.30, marking a day change of 3.18% from the previous close of ₹37.12. The stock traded within a range of ₹37.05 to ₹38.50 during the session, indicating moderate intraday volatility. Over the past 52 weeks, the stock's price has oscillated between a low of ₹26.80 and a high of ₹59.59, reflecting significant price fluctuations within the realty sector.


Comparatively, the stock's recent returns have diverged from broader market trends. Over the last week, Hazoor Multi Projects recorded a return of 9.65%, substantially outpacing the Sensex's 0.87% gain. The one-month return stood at 3.12%, slightly above the Sensex's 2.03%. However, year-to-date and one-year returns reveal a contrasting picture, with the stock showing declines of 26.03% and 29.72% respectively, while the Sensex posted positive returns of 9.60% and 7.32% over the same periods. This divergence highlights the stock's unique performance trajectory within the realty sector amid broader market conditions.



Technical Indicator Analysis


The technical landscape for Hazoor Multi Projects presents a complex picture. The Moving Average Convergence Divergence (MACD) indicator remains bearish on a weekly basis, signalling that downward momentum still influences short-term price action. On a monthly scale, the MACD shifts to a mildly bearish stance, suggesting some easing of selling pressure but no definitive reversal.


The Relative Strength Index (RSI), a momentum oscillator, currently shows no clear signal on both weekly and monthly charts. This neutrality indicates that the stock is neither overbought nor oversold, implying a balanced momentum environment without extreme price pressures.


Bollinger Bands, which measure price volatility and potential overextension, are mildly bearish on both weekly and monthly timeframes. This suggests that price movements remain contained within a relatively narrow range but with a slight bias towards downward pressure.



Moving Averages and Trend Dynamics


Daily moving averages for Hazoor Multi Projects indicate a mildly bearish trend, reflecting that short-term price averages are positioned below longer-term averages, a technical sign often associated with cautious investor sentiment. The KST (Know Sure Thing) indicator, which aggregates multiple momentum signals, aligns with this view, showing bearish momentum on a weekly basis and mildly bearish on a monthly basis.


Interestingly, the Dow Theory assessment reveals a mildly bullish signal on the weekly chart, contrasting with a mildly bearish indication on the monthly chart. This divergence underscores the mixed signals present in the stock's technical profile, suggesting that while short-term trends may be gaining some positive traction, longer-term momentum remains subdued.



Volume and Market Participation


While On-Balance Volume (OBV) data is not explicitly available for this period, the price action combined with the technical indicators suggests that volume trends may not be strongly confirming the price movements. This absence of clear volume confirmation often warrants caution, as price shifts without accompanying volume support can be less sustainable.




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Long-Term Performance and Sector Comparison


Over extended periods, Hazoor Multi Projects has demonstrated remarkable cumulative returns. The stock's three-year return stands at 374.31%, significantly outpacing the Sensex's 35.33% over the same timeframe. This trend extends further back, with five-year and ten-year returns at 17,664.17% and 31,151.78% respectively, dwarfing the Sensex's corresponding returns of 91.78% and 227.26%. These figures underscore the stock's historical capacity for substantial value creation within the realty sector.


Despite recent short-term challenges, the long-term performance highlights the company's resilience and potential for recovery, factors that investors may consider alongside current technical signals.



Sectoral and Market Capitalisation Context


Hazoor Multi Projects operates within the realty industry, a sector often characterised by cyclical trends and sensitivity to macroeconomic factors such as interest rates and regulatory changes. The company's market capitalisation grade is noted as 4, indicating a mid-tier capitalisation status within its sector. This positioning can influence liquidity and investor interest, impacting price momentum and volatility.


Given the mixed technical signals and the sector's inherent volatility, market participants may adopt a cautious stance, closely monitoring further developments in price action and volume to gauge the sustainability of recent momentum shifts.




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Investor Considerations and Outlook


Investors analysing Hazoor Multi Projects should weigh the current mildly bearish technical indicators against the stock's historical performance and sector dynamics. The absence of strong RSI signals and the mixed Dow Theory readings suggest that the stock is in a phase of consolidation rather than a decisive trend reversal.


Price momentum, as reflected by the MACD and moving averages, indicates caution, with short-term trends not yet confirming a robust upward trajectory. The stock's recent outperformance relative to the Sensex over the past week and month may reflect short-term speculative interest or sector-specific developments, but the year-to-date and one-year returns highlight ongoing challenges.


Given these factors, market participants may benefit from closely monitoring technical indicators such as volume trends, moving average crossovers, and momentum oscillators for clearer directional cues. Additionally, broader macroeconomic factors impacting the realty sector, including interest rate movements and policy changes, will likely influence the stock's trajectory in the near term.



Summary


Hazoor Multi Projects currently exhibits a technical profile characterised by a shift from bearish to mildly bearish momentum, with mixed signals across key indicators such as MACD, RSI, Bollinger Bands, and moving averages. While short-term price action shows some positive movement, longer-term trends remain subdued, reflecting a cautious market assessment. The stock's impressive long-term returns contrast with recent underperformance relative to the broader market, underscoring the importance of a balanced and data-driven approach to investment decisions in this realty sector stock.






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