Quess Corp Ltd Technical Momentum Shifts Amid Bearish Signals

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Quess Corp Ltd has experienced a notable shift in its technical momentum, with key indicators signalling a transition from mildly bearish to bearish trends. Despite a recent downgrade in its technical trend, the stock’s mixed signals from MACD, RSI, and moving averages suggest a complex outlook for investors navigating the diversified commercial services sector.
Quess Corp Ltd Technical Momentum Shifts Amid Bearish Signals



Current Price and Market Context


As of 12 Jan 2026, Quess Corp Ltd is trading at ₹211.50, down 2.76% from the previous close of ₹217.50. The stock’s 52-week high stands at ₹378.10, while the 52-week low is ₹198.00, indicating a significant range of volatility over the past year. The day’s trading saw a high of ₹217.65 and a low of ₹211.50, reflecting a cautious market sentiment.



Technical Trend Overview


The company’s technical trend has shifted from mildly bearish to bearish, signalling increased downside pressure. This change is corroborated by the daily moving averages, which remain bearish, suggesting that short-term momentum is weak. The weekly and monthly KST (Know Sure Thing) indicators also align with this bearish outlook, reinforcing the downward momentum over both intermediate and longer-term horizons.



MACD and RSI Signals


The Moving Average Convergence Divergence (MACD) indicator presents a nuanced picture. On a weekly basis, the MACD remains mildly bullish, indicating some underlying positive momentum in the near term. However, the monthly MACD is bearish, reflecting longer-term weakness. This divergence between weekly and monthly MACD readings suggests that while short-term momentum may offer some relief rallies, the broader trend remains under pressure.


The Relative Strength Index (RSI) on both weekly and monthly charts currently shows no clear signal, hovering in neutral territory. This lack of directional RSI momentum implies that the stock is neither overbought nor oversold, leaving room for potential volatility depending on upcoming market catalysts.



Bollinger Bands and Moving Averages


Bollinger Bands add further insight into price volatility and trend strength. On the weekly chart, the bands indicate a bearish stance, with the price trending near the lower band, signalling selling pressure. The monthly Bollinger Bands are mildly bearish, suggesting that while volatility is elevated, the stock has not yet reached extreme oversold levels.


Daily moving averages reinforce the bearish momentum, with the stock price trading below key averages such as the 50-day and 200-day moving averages. This technical positioning typically signals a continuation of downward pressure unless a significant catalyst reverses the trend.



Volume and Dow Theory Analysis


On-Balance Volume (OBV) readings are mildly bullish on both weekly and monthly timeframes, indicating that despite price declines, there is some accumulation by investors. This divergence between volume and price could hint at a potential base formation or a cautious buying interest at current levels.


Dow Theory assessments provide a mixed view: weekly readings are mildly bullish, suggesting short-term optimism, while monthly readings remain mildly bearish, consistent with the longer-term downtrend. This split reinforces the notion of a stock in technical flux, with investors weighing both risks and opportunities.




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Comparative Returns and Market Performance


Quess Corp’s recent returns present a mixed picture when compared with the broader Sensex index. Over the past week, the stock declined by 1.4%, outperforming the Sensex’s sharper fall of 2.55%. Over the last month, however, Quess Corp gained 1.83%, contrasting with the Sensex’s 1.29% decline. Year-to-date returns are positive at 2.84%, while the Sensex is down 1.93% in the same period.


Longer-term returns tell a more challenging story. Over the past year, Quess Corp has suffered a steep 35.16% loss, while the Sensex gained 7.67%. Over three years, the stock has marginally increased by 2.41%, significantly lagging the Sensex’s 37.58% gain. The five-year return is negative at 21.52%, compared to the Sensex’s robust 71.32% growth. These figures underscore the stock’s underperformance relative to the broader market, reflecting sector-specific headwinds and company-specific challenges.



Mojo Score and Analyst Ratings


MarketsMOJO assigns Quess Corp a Mojo Score of 51.0, categorising it as a Hold. This represents an upgrade from a previous Sell rating on 6 Jan 2026, signalling a modest improvement in the company’s outlook. The Market Cap Grade stands at 3, indicating a mid-tier market capitalisation within its sector. The Hold rating reflects the stock’s mixed technical signals and the need for investors to exercise caution amid prevailing bearish trends.



Sector and Industry Context


Operating within the diversified commercial services sector, Quess Corp faces competitive pressures and cyclical demand fluctuations. The sector’s performance often correlates with broader economic cycles, and recent macroeconomic uncertainties have weighed on investor sentiment. The company’s technical indicators mirror these challenges, with bearish momentum dominating despite intermittent bullish signals.




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Technical Outlook and Investor Considerations


Investors analysing Quess Corp must weigh the conflicting technical signals carefully. The bearish daily moving averages and monthly MACD suggest that the stock remains vulnerable to further declines. However, mildly bullish weekly MACD and OBV readings indicate some underlying buying interest that could provide short-term support.


The neutral RSI readings imply that the stock is not currently overextended in either direction, leaving room for potential volatility depending on upcoming earnings, sector developments, or macroeconomic shifts. The divergence between volume and price trends may hint at a possible consolidation phase before a clearer directional move emerges.


Given the stock’s significant underperformance relative to the Sensex over the past year and five years, investors should approach with caution, considering both fundamental and technical factors. The recent upgrade from Sell to Hold by MarketsMOJO reflects this balanced stance, suggesting that while the stock is not a strong buy, it may offer selective opportunities for risk-tolerant investors.



Summary


Quess Corp Ltd’s technical momentum has shifted towards a bearish stance, with daily moving averages and monthly MACD signalling downside risks. Mixed weekly indicators and volume patterns suggest some short-term support, but the overall trend remains cautious. The stock’s recent price action and relative returns highlight challenges in the diversified commercial services sector, compounded by broader market volatility. Investors should monitor technical developments closely and consider the company’s Hold rating in the context of their portfolio strategy.






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