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

Feb 13 2026 08:04 AM IST
share
Share Via
One Point One Solutions Ltd has experienced a notable shift in its technical momentum, moving from a mildly bullish stance to a sideways trend as of early 2026. Despite a recent downgrade in price performance, the stock’s technical indicators present a complex picture, with some signals suggesting caution while others hint at potential stability. This analysis delves into the latest technical parameters, including MACD, RSI, moving averages, and broader market comparisons, to provide investors with a comprehensive view of the stock’s current positioning.
One Point One Solutions Ltd Technical Momentum Shifts Amid Mixed Market Signals

Technical Trend Overview and Price Movement

As of 13 February 2026, One Point One Solutions Ltd closed at ₹48.61, down 0.98% from the previous close of ₹49.09. The stock traded within a range of ₹48.16 to ₹49.14 during the day, remaining well below its 52-week high of ₹69.99 but comfortably above the 52-week low of ₹41.01. This price action reflects a consolidation phase following a period of volatility.

The technical trend has shifted from mildly bullish to sideways, indicating a pause in upward momentum. This is corroborated by the mixed signals from key technical indicators. The daily moving averages remain mildly bullish, suggesting some underlying support, but weekly and monthly indicators are less optimistic.

MACD and Momentum Indicators

The Moving Average Convergence Divergence (MACD) indicator, a widely used momentum oscillator, shows a mildly bearish stance on both weekly and monthly charts. This suggests that the recent upward momentum has weakened, and the stock may be entering a phase of reduced directional strength. The MACD histogram has contracted, signalling diminishing bullish momentum and potential for sideways or downward movement in the near term.

Complementing this, the Know Sure Thing (KST) indicator also reflects a mildly bearish outlook on weekly and monthly timeframes, reinforcing the view that momentum is not currently favouring sustained gains.

RSI and Overbought/Oversold Conditions

The Relative Strength Index (RSI) presents a more nuanced picture. On the weekly chart, the RSI is bullish, indicating that the stock is not in an overbought condition and retains some buying interest. However, the monthly RSI shows no clear signal, implying a lack of strong directional conviction over the longer term. This divergence between weekly and monthly RSI readings suggests that while short-term momentum may be positive, the broader trend remains uncertain.

Bollinger Bands and Volatility Assessment

Bollinger Bands, which measure volatility and price levels relative to moving averages, are bearish on both weekly and monthly charts. The stock price is currently near the lower band on the weekly timeframe, signalling increased volatility and potential downside risk. This bearish positioning of Bollinger Bands aligns with the sideways trend and the weakening momentum indicated by MACD and KST.

Moving Averages and Trend Confirmation

Daily moving averages continue to show mild bullishness, with the stock price hovering slightly above its short-term averages. This suggests that despite the broader sideways trend, there remains some technical support at the daily level. However, the lack of confirmation from weekly and monthly moving averages tempers enthusiasm for a sustained rally.

Volume and Dow Theory Signals

On-Balance Volume (OBV) indicators show no clear trend on weekly or monthly charts, indicating that volume is not currently confirming price movements. This lack of volume support often precedes periods of consolidation or indecision among investors.

Dow Theory assessments provide a mildly bullish signal on the weekly timeframe but no discernible trend on the monthly chart. This mixed reading further emphasises the stock’s current technical uncertainty.

Our latest monthly pick, this Large Cap from Aluminium & Aluminium Products, is outperforming the market! See the analysis that helped our Investment Committee select this winner.

  • - Market-beating performance
  • - Committee-backed winner
  • - Aluminium & Aluminium Products standout

Read the Winning Analysis →

Comparative Performance Against Sensex

One Point One Solutions Ltd’s recent returns have lagged behind the benchmark Sensex index. Over the past week, the stock declined by 1.94%, while the Sensex gained 0.64%. The one-month return for the stock was a negative 8.8%, contrasting with a marginal 0.07% rise in the Sensex. Year-to-date, the stock has fallen 10.95%, significantly underperforming the Sensex’s 1.23% decline.

Over a one-year horizon, the stock’s return was -5.46%, while the Sensex posted a robust 11.98% gain. However, longer-term performance remains impressive, with the stock delivering a 195.5% return over three years compared to the Sensex’s 44.53%, and a staggering 17,655.1% over five years against the Sensex’s 70.20%. These figures highlight the stock’s strong historical growth despite recent technical challenges.

Mojo Score and Rating Upgrade

MarketsMOJO’s proprietary scoring system assigns One Point One Solutions Ltd a Mojo Score of 51.0, reflecting a Hold rating. This represents an upgrade from a previous Sell rating as of 17 December 2025, signalling improved but cautious sentiment. The company’s Market Cap Grade stands at 4, indicating a mid-sized market capitalisation within its sector of Commercial Services & Supplies.

The upgrade to Hold suggests that while the stock is not currently a strong buy, it is no longer viewed as a sell, aligning with the technical indicators that point to a sideways trend rather than a clear downtrend or uptrend.

Investment Implications and Outlook

Investors should approach One Point One Solutions Ltd with measured expectations. The mixed technical signals imply that the stock may continue to trade in a range-bound manner in the near term. The mildly bearish MACD and Bollinger Bands caution against aggressive buying, while the mildly bullish daily moving averages and weekly RSI suggest some underlying support.

Given the stock’s recent underperformance relative to the Sensex and the sideways technical trend, investors might consider waiting for clearer confirmation of trend direction before increasing exposure. Monitoring volume trends and monthly momentum indicators will be crucial in assessing whether the stock can regain upward momentum or if further consolidation or decline is likely.

Is One Point One Solutions Ltd your best bet? SwitchER suggests better alternatives across peers, market caps, and sectors. Discover stocks that could deliver more for your portfolio!

  • - Better alternatives suggested
  • - Cross-sector comparison
  • - Portfolio optimization tool

Find Better Alternatives →

Sector Context and Broader Market Considerations

Operating within the Commercial Services & Supplies sector, One Point One Solutions Ltd faces sector-specific headwinds and opportunities. The sector has experienced moderate volatility in recent months, influenced by macroeconomic factors such as fluctuating demand and supply chain disruptions. These external pressures may be contributing to the stock’s sideways technical trend and subdued momentum.

Investors should also consider the company’s fundamental outlook alongside technical signals. While this article focuses on technical analysis, integrating financial performance, earnings forecasts, and sector dynamics will provide a more holistic investment perspective.

Conclusion

One Point One Solutions Ltd’s technical parameters reveal a stock in transition. The shift from mildly bullish to sideways trend, combined with mixed signals from MACD, RSI, Bollinger Bands, and moving averages, suggests a period of consolidation and uncertainty. The recent upgrade to a Hold rating by MarketsMOJO reflects this cautious optimism.

For investors, the key takeaway is to monitor technical indicators closely for signs of renewed momentum or further weakness. Given the stock’s historical outperformance over longer periods, a patient approach may be warranted, awaiting clearer directional cues before committing additional capital.

{{stockdata.stock.stock_name.value}} Live

{{stockdata.stock.price.value}} {{stockdata.stock.price_difference.value}} ({{stockdata.stock.price_percentage.value}}%)

{{stockdata.stock.date.value}} | BSE+NSE Vol: {{stockdata.index_name}} Vol: {{stockdata.stock.bse_nse_vol.value}} ({{stockdata.stock.bse_nse_vol_per.value}}%)


Our weekly and monthly stock recommendations are here
Loading...
{{!sm.blur ? sm.comp_name : ''}}
Industry
{{sm.old_ind_name }}
Market Cap
{{sm.mcapsizerank }}
Date of Entry
{{sm.date }}
Entry Price
Target Price
{{sm.target_price }} ({{sm.performance_target }}%)
Holding Duration
{{sm.target_duration }}
Last 1 Year Return
{{sm.performance_1y}}%
{{sm.comp_name}} price as on {{sm.todays_date}}
{{sm.price_as_on}} ({{sm.performance}}%)
Industry
{{sm.old_ind_name}}
Market Cap
{{sm.mcapsizerank}}
Date of Entry
{{sm.date}}
Entry Price
{{sm.opening_price}}
Last 1 Year Return
{{sm.performance_1y}}%
Related News