Tinna Rubber & Infrastructure Shows Signs of Recovery Amid Market Volatility

Feb 18 2025 01:45 PM IST
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Tinna Rubber & Infrastructure saw a significant rebound on February 18, 2025, after two days of decline, outperforming its sector. The stock experienced high volatility, reaching an intraday high of Rs 975. However, it remains below key moving averages and has declined notably over the past month.
Tinna Rubber & Infrastructure, a small-cap player in the rubber products industry, has experienced a notable uptick of 7.41% on February 18, 2025. This performance marks a significant rebound after two consecutive days of decline, indicating a potential trend reversal. The stock outperformed its sector by 8.6%, showcasing its resilience in a challenging market environment.

During the trading session, Tinna Rubber reached an intraday high of Rs 975, reflecting an increase of 8.14%, while it also saw a low of Rs 865, which represented a decline of 4.06%. The stock exhibited high volatility, with an intraday fluctuation of 5.98%, calculated from the weighted average price.

Despite today's gains, Tinna Rubber is currently trading below its 5-day, 20-day, 50-day, 100-day, and 200-day moving averages, suggesting ongoing challenges in maintaining upward momentum. Over the past month, the stock has declined by 27.73%, contrasting with a slight decrease of 0.98% in the Sensex. This performance highlights the stock's current market position and the broader trends affecting its valuation.
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