Shriram Properties Technical Momentum Shifts Amid Mixed Market Signals

Nov 19 2025 08:10 AM IST
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Shriram Properties, a key player in the Realty sector, has experienced a notable shift in its technical parameters, reflecting a transition from a mildly bullish trend to a sideways momentum. The stock closed at ₹89.00 on 19 Nov 2025, down 2.35% from the previous close of ₹91.14, indicating a short-term price adjustment amid mixed technical signals.



Examining the technical indicators, the Moving Average Convergence Divergence (MACD) presents a bearish stance on the weekly chart and a mildly bearish tone on the monthly chart. Meanwhile, the Relative Strength Index (RSI) remains neutral with no clear signal on both weekly and monthly timeframes, suggesting a lack of strong momentum in either direction. Bollinger Bands indicate sideways movement on the weekly scale but show bearish tendencies monthly, highlighting a consolidation phase with potential for volatility.




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The daily moving averages for Shriram Properties show a mildly bullish inclination, contrasting with the weekly and monthly KST (Know Sure Thing) indicator which signals mild bearishness and bearishness respectively. Dow Theory analysis reveals no clear trend on the weekly chart but a mildly bullish indication monthly. On balance, the On-Balance Volume (OBV) indicator suggests no trend weekly but a bullish pattern monthly, implying accumulation over the longer term despite short-term sideways price action.



From a price perspective, the stock’s 52-week high stands at ₹119.90 while the low is ₹63.13, with the current price closer to the lower end of this range. The intraday high and low on 19 Nov 2025 were ₹91.47 and ₹88.90 respectively, reflecting a relatively narrow trading band for the day.



Comparing Shriram Properties’ returns against the Sensex reveals a mixed performance. Over the past week, the stock recorded a negative return of -4.81% while the Sensex gained 0.96%. Over one month, Shriram Properties posted a modest positive return of 1.69%, slightly ahead of the Sensex’s 0.86%. Year-to-date figures show the stock with a negative return of -16.78% against the Sensex’s positive 8.36%. Over one year, the stock’s return was -10.01%, contrasting with the Sensex’s 9.48%. Longer-term returns over three years show Shriram Properties at 24.04%, trailing the Sensex’s 37.31%. Data for five and ten years is not available for the stock, while the Sensex shows substantial gains of 91.65% and 232.28% respectively.




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The recent adjustment in Shriram Properties’ technical evaluation, reflected in the change of its Mojo Grade from Hold to Sell on 18 Nov 2025, is driven primarily by the technical_dot trigger on 19 Nov 2025. This revision in its score aligns with the observed shift in momentum and mixed signals from key technical indicators. Investors should note the divergence between short-term bearishness and longer-term bullish accumulation signals, which may suggest a period of consolidation before a clearer trend emerges.



Overall, Shriram Properties’ technical landscape presents a complex picture. While some indicators point to caution with bearish and sideways signals, others imply underlying strength in volume and moving averages. The stock’s performance relative to the Sensex highlights challenges in recent periods, though longer-term returns remain positive. Market participants analysing Shriram Properties should consider these nuanced technical factors alongside broader market conditions and sector dynamics within Realty.






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