V-Mart Retail, a key player in the diversified retail industry, is currently priced at ₹828.05, slightly below its previous close of ₹833.00. The stock's intraday range on 20 Nov 2025 spanned from ₹811.60 to ₹843.40, indicating moderate volatility within the session. Over the past 52 weeks, the stock has oscillated between a low of ₹675.01 and a high of ₹1,037.74, reflecting a broad trading range amid varying market conditions.
Technical trend analysis for V-Mart Retail has shifted from mildly bearish to mildly bullish, signalling a subtle change in market sentiment. The Moving Average Convergence Divergence (MACD) indicator presents a bullish stance on the weekly chart, suggesting upward momentum in the near term. However, the monthly MACD remains mildly bearish, indicating that longer-term momentum may still be under pressure. This divergence between weekly and monthly MACD readings highlights the importance of timeframe considerations when analysing price action.
The Relative Strength Index (RSI) on both weekly and monthly charts currently shows no definitive signal, implying that the stock is neither overbought nor oversold at these intervals. This neutral RSI reading suggests that V-Mart Retail's price movement is balanced without extreme momentum in either direction, which may lead to consolidation or a gradual trend development.
Bollinger Bands, which measure price volatility and potential breakout points, are mildly bullish on both weekly and monthly timeframes. This indicates that the stock price is trading near the upper band, often interpreted as a sign of strength or a potential upward breakout. However, the mild nature of this signal advises caution, as volatility remains contained within a moderate range.
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Daily moving averages for V-Mart Retail are bullish, reinforcing the short-term positive momentum. This suggests that recent price action has been supported by buying interest, potentially signalling a recovery phase or a pause in previous downward pressure. Conversely, the Know Sure Thing (KST) indicator shows a bullish reading on the weekly chart but remains mildly bearish on the monthly chart, echoing the mixed signals seen in the MACD analysis.
Volume-based indicators provide additional context. The On-Balance Volume (OBV) is mildly bearish on the weekly chart, indicating that volume trends may not fully support the recent price gains. On the monthly chart, OBV shows no clear trend, suggesting that longer-term volume patterns are inconclusive. This divergence between price momentum and volume could imply that the current price movements are not yet strongly confirmed by trading activity.
Dow Theory analysis reveals no clear trend on either weekly or monthly timeframes, reflecting a market environment where neither bulls nor bears have established definitive control. This lack of trend confirmation from a classical technical perspective adds to the cautious tone surrounding V-Mart Retail's near-term outlook.
When comparing V-Mart Retail's returns with the broader Sensex index, the stock has underperformed across most time horizons. Over the past week, V-Mart Retail's return was -0.62%, while the Sensex recorded a positive 0.85%. The one-month return for the stock was -3.41%, contrasting with the Sensex's 1.47%. Year-to-date, V-Mart Retail shows a decline of 15.83%, whereas the Sensex has gained 9.02%. Over one year, the stock's return stands at -4.36%, compared to the Sensex's 9.81% gain.
Longer-term performance presents a different picture. Over three years, V-Mart Retail has delivered a 20.09% return, while the Sensex has advanced 38.15%. Over five years, the stock's return is 66.44%, trailing the Sensex's 95.38%. Notably, over a decade, V-Mart Retail has recorded a substantial 657.25% return, significantly outpacing the Sensex's 229.64% gain. This long-term outperformance highlights the stock's potential for value creation despite recent challenges.
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In summary, V-Mart Retail's technical indicators present a mixed but cautiously optimistic outlook. The shift from mildly bearish to mildly bullish trends, supported by daily moving averages and weekly MACD, suggests potential for near-term price stability or modest gains. However, the presence of mildly bearish monthly indicators and neutral RSI readings advises investors to remain vigilant and consider broader market conditions.
Investors analysing V-Mart Retail should weigh these technical signals alongside fundamental factors and sector dynamics within diversified retail. The stock's recent price momentum and volume patterns indicate a market in transition, where confirmation of a sustained trend remains pending. Monitoring key technical levels and volume trends in the coming weeks will be crucial for assessing the durability of this momentum shift.
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