The stock closed at ₹120.00, marking a day change of 8.84% from the previous close of ₹110.25. Its 52-week trading range spans from ₹89.22 to ₹161.45, with the day's high and low recorded at ₹122.00 and ₹110.95 respectively. This price movement is accompanied by a technical trend adjustment, where weekly MACD readings indicate a mildly bullish stance, contrasting with a bearish monthly MACD. Similarly, the weekly Bollinger Bands signal bullish momentum, while the monthly perspective remains mildly bearish.
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Further technical indicators present a mixed picture. The Relative Strength Index (RSI) shows no clear signal on both weekly and monthly charts, indicating a neutral momentum stance. Moving averages on a daily basis suggest a mildly bearish trend, while the KST oscillator reveals a mildly bullish weekly reading but a bearish monthly outlook. Dow Theory analysis aligns with this complexity, showing mildly bearish weekly signals against mildly bullish monthly ones. On-Balance Volume (OBV) also reflects this duality, mildly bearish weekly and mildly bullish monthly, underscoring the stock’s indecisive momentum.
From a returns perspective, Nahar Industrial Enterprises has outperformed the Sensex over the short term, with a 7.29% return over one week compared to the Sensex’s 0.96%, and a 4.71% return over one month versus the Sensex’s 0.86%. However, the year-to-date and one-year returns show the stock lagging behind the benchmark, with -12.06% and -6.36% respectively, while the Sensex posted 8.36% and 9.48% over the same periods. Over longer horizons, the stock’s five-year return of 355.41% significantly surpasses the Sensex’s 91.65%, though the 10-year return of 114.29% trails the Sensex’s 232.28%, highlighting varied performance across timeframes.
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Market capitalisation metrics place Nahar Industrial Enterprises in a moderate category, with a market cap grade of 4. The recent adjustment in its evaluation score to a stronger sell grade, effective from 28 August 2025, reflects the technical parameter changes triggered on 19 November 2025. These revisions underscore the importance of closely monitoring technical indicators for this stock, especially given the contrasting signals across different timeframes.
Investors analysing Nahar Industrial Enterprises should weigh the mixed technical signals carefully. The mildly bearish daily moving averages and monthly bearish MACD suggest caution, while weekly bullish indicators such as MACD and Bollinger Bands hint at potential short-term momentum. The absence of clear RSI signals further emphasises the need for a comprehensive approach to technical analysis before making investment decisions.
In summary, Nahar Industrial Enterprises presents a complex technical profile with momentum shifts that require attentive evaluation. The stock’s recent price action and technical indicator readings suggest a market environment that is neither decisively bullish nor bearish, calling for prudent analysis in the context of broader market trends and sector performance.
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