One Point One Solutions Ltd Technical Momentum Shifts Amid Mixed Market Signals

Feb 03 2026 08:04 AM IST
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One Point One Solutions Ltd has experienced a notable shift in its technical momentum, transitioning from a mildly bullish stance to a sideways trend. Despite a modest day gain of 0.90%, the stock’s technical indicators present a complex picture, with bearish signals on weekly and monthly MACD and Bollinger Bands contrasting with mildly bullish daily moving averages. This nuanced technical landscape warrants a detailed analysis for investors seeking clarity on the stock’s near-term trajectory.
One Point One Solutions Ltd Technical Momentum Shifts Amid Mixed Market Signals

Current Price and Trading Range

As of 3 February 2026, One Point One Solutions Ltd closed at ₹50.47, up from the previous close of ₹50.02. The stock traded within a range of ₹48.96 to ₹51.01 during the day. This price remains significantly below its 52-week high of ₹69.99, while comfortably above the 52-week low of ₹41.01, indicating a recovery phase but with resistance overhead.

Technical Trend Evolution

The stock’s technical trend has shifted from mildly bullish to sideways, signalling a pause in upward momentum. This change reflects a consolidation phase where neither buyers nor sellers dominate decisively. The daily moving averages remain mildly bullish, suggesting short-term support, but weekly and monthly indicators caution against over-optimism.

MACD Analysis

The Moving Average Convergence Divergence (MACD) indicator, a key momentum gauge, shows mildly bearish signals on both weekly and monthly charts. This suggests that the stock’s momentum is weakening over these longer time frames. The bearish MACD readings imply that the recent upward price movements may lack strong conviction, potentially foreshadowing a correction or extended consolidation.

RSI and Momentum Indicators

The Relative Strength Index (RSI) on weekly and monthly scales currently emits no clear signal, hovering in neutral territory. This absence of overbought or oversold conditions aligns with the sideways trend, indicating that the stock is neither excessively bought nor sold. Meanwhile, the Know Sure Thing (KST) indicator presents a bullish signal on the weekly chart but mildly bearish on the monthly, reinforcing the mixed momentum narrative.

Bollinger Bands and Volatility

Bollinger Bands on both weekly and monthly charts are bearish, signalling increased volatility and potential downward pressure. The stock price is likely testing the lower band boundaries, which often act as support but can also indicate a risk of further declines if breached decisively.

Moving Averages and Short-Term Outlook

Daily moving averages remain mildly bullish, suggesting that short-term price action retains some upward bias. This could provide a cushion against sharp declines and offer tactical entry points for traders. However, the lack of confirmation from longer-term indicators advises caution for investors considering a sustained bullish stance.

Volume and Dow Theory Signals

On-Balance Volume (OBV) and Dow Theory assessments show no definitive trend on weekly or monthly time frames. This lack of volume confirmation and trend clarity further supports the sideways momentum interpretation, indicating that market participation is not strongly favouring either direction.

Comparative Performance Versus Sensex

Examining returns relative to the benchmark Sensex reveals underperformance in recent periods. Over the past week, One Point One Solutions Ltd declined by 1.21%, while Sensex gained 0.16%. The one-month return shows a sharper drop of 6.69% against Sensex’s 4.71% fall. Year-to-date, the stock is down 7.55%, nearly double the Sensex’s 3.98% decline. Over one year, the stock has lost 6.03%, contrasting with a 6.84% gain in the Sensex. However, the stock’s long-term performance remains impressive, with a three-year return of 221.46% far outpacing the Sensex’s 42.46%, and a five-year return of 16,868.1% dwarfing the benchmark’s 71.28%.

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Mojo Score and Rating Upgrade

MarketsMOJO assigns One Point One Solutions Ltd a Mojo Score of 51.0, reflecting a moderate outlook. The Mojo Grade was upgraded from Sell to Hold on 17 December 2025, signalling improved confidence in the stock’s prospects. The Market Cap Grade stands at 3, indicating a mid-tier market capitalisation relative to peers. This rating upgrade aligns with the technical signals showing a transition to sideways momentum rather than outright bearishness.

Sector and Industry Context

Operating within the Commercial Services & Supplies sector, One Point One Solutions Ltd faces sector-specific headwinds and opportunities. The sector has experienced mixed performance amid broader economic uncertainties, impacting demand and operational efficiencies. The sideways technical trend may reflect these external pressures, with investors awaiting clearer macroeconomic signals before committing to a directional bias.

Investment Implications and Strategy

Given the mixed technical signals, investors should approach One Point One Solutions Ltd with a balanced perspective. The mildly bullish daily moving averages suggest tactical buying opportunities on dips, while the bearish weekly and monthly MACD and Bollinger Bands counsel prudence. The sideways trend indicates a consolidation phase, where risk management and position sizing become critical.

Long-term investors may find value in the stock’s impressive multi-year returns, but should remain vigilant for signs of trend reversal or breakout confirmation. Short-term traders might capitalise on the mild bullishness in daily indicators, but should monitor momentum indicators closely for shifts.

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Summary and Outlook

One Point One Solutions Ltd currently navigates a complex technical landscape marked by a shift to sideways momentum. While short-term moving averages provide some bullish support, longer-term indicators such as MACD and Bollinger Bands warn of potential weakness. The neutral RSI and lack of volume trend confirmation further underscore the need for caution.

Investors should weigh the stock’s strong historical returns against recent underperformance relative to the Sensex and the mixed technical signals. A Hold rating remains appropriate, reflecting the stock’s uncertain near-term direction but solid long-term fundamentals. Monitoring key technical levels and broader market conditions will be essential for timely investment decisions.

Key Technical Metrics at a Glance:

  • Current Price: ₹50.47
  • 52-Week High/Low: ₹69.99 / ₹41.01
  • Day Change: +0.90%
  • MACD: Weekly & Monthly Mildly Bearish
  • RSI: Neutral (Weekly & Monthly)
  • Bollinger Bands: Bearish (Weekly & Monthly)
  • Moving Averages: Daily Mildly Bullish
  • KST: Weekly Bullish, Monthly Mildly Bearish
  • Dow Theory & OBV: No Clear Trend
  • Mojo Score: 51.0 (Hold, upgraded from Sell)

Investors should continue to monitor these indicators closely as the stock attempts to establish a clearer directional trend in the coming weeks.

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