Wanbury Stock Analysis: Technical Momentum Shifts Amid Mixed Indicators

Nov 28 2025 08:06 AM IST
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Wanbury, a key player in the Pharmaceuticals & Biotechnology sector, has exhibited notable shifts in its technical momentum, reflecting a complex interplay of market forces. Recent price movements and technical indicators suggest a nuanced market assessment, with mixed signals emerging from key metrics such as MACD, RSI, and moving averages.



Price Momentum and Market Movement


On 28 Nov 2025, Wanbury's stock price closed at ₹254.45, marking a day change of 6.38% from the previous close of ₹239.20. The intraday range spanned from ₹234.00 to ₹267.55, indicating heightened volatility. This price action comes against a backdrop of a 52-week high of ₹330.00 and a low of ₹155.00, situating the current price closer to the upper half of its annual range.


Examining returns relative to the broader market, Wanbury's one-week return stands at 10.25%, significantly outpacing the Sensex's 0.10% over the same period. However, the one-month return of 0.12% trails the Sensex's 1.11%. Year-to-date, Wanbury shows a negative return of -11.85%, contrasting with the Sensex's positive 9.70%. Over longer horizons, Wanbury's performance has been robust, with three-year and five-year returns at 397.46% and 579.44% respectively, substantially exceeding the Sensex's 37.61% and 94.16% in those periods. The ten-year return of 369.03% also surpasses the Sensex's 228.08%, underscoring the stock's long-term growth trajectory.



Technical Indicator Overview


The technical trend for Wanbury has shifted from bearish to mildly bearish, signalling a subtle change in market sentiment. The Moving Average Convergence Divergence (MACD) indicator presents a bearish stance on the weekly chart, while the monthly chart reflects a mildly bearish tone. This divergence suggests that short-term momentum remains under pressure, whereas longer-term momentum is less definitive but still cautious.


The Relative Strength Index (RSI), a momentum oscillator, shows no clear signal on both weekly and monthly timeframes. This neutrality indicates that the stock is neither overbought nor oversold, leaving room for potential directional movement depending on forthcoming market catalysts.


Bollinger Bands, which measure volatility and price levels relative to moving averages, display a mildly bearish pattern on the weekly chart but a mildly bullish pattern on the monthly chart. This contrast highlights a short-term consolidation or slight downward pressure, while the longer-term trend retains some upward bias.




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Moving Averages and Trend Confirmation


Daily moving averages for Wanbury indicate a mildly bearish trend, suggesting that recent price action has been somewhat subdued relative to its short-term averages. This aligns with the weekly and monthly KST (Know Sure Thing) indicator readings, which are bearish and mildly bearish respectively. The KST is a momentum oscillator that aggregates multiple rate-of-change calculations, and its readings reinforce the cautious tone in Wanbury’s price momentum.


Dow Theory analysis also points to a mildly bearish trend on both weekly and monthly charts. This classical approach to trend analysis, which focuses on the confirmation of market movements through highs and lows, suggests that Wanbury’s price action is currently under moderate pressure, though not decisively negative.


On-Balance Volume (OBV), which measures buying and selling pressure based on volume flow, shows no clear trend on the weekly chart and a mildly bearish pattern on the monthly chart. This indicates that volume dynamics are not strongly supporting upward price movement in the short term, adding to the cautious technical outlook.



Contextualising Wanbury’s Technical Position


Wanbury’s current technical landscape reflects a stock in transition. The mixed signals from MACD, Bollinger Bands, and moving averages suggest that while short-term momentum faces headwinds, the longer-term outlook retains some positive elements. The absence of RSI extremes implies that the stock is not currently in an overextended state, which could allow for either a consolidation phase or a potential directional breakout depending on upcoming market developments.


Investors observing Wanbury should note the divergence between weekly and monthly indicators, which often precedes significant price moves. The stock’s recent price volatility, with a daily range exceeding ₹33, underscores the importance of monitoring technical levels closely. Given Wanbury’s strong historical returns over multi-year periods, the current technical signals may represent a pause or recalibration rather than a fundamental shift in the company’s prospects.




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Sector and Industry Considerations


Wanbury operates within the Pharmaceuticals & Biotechnology sector, an industry characterised by innovation, regulatory scrutiny, and evolving market dynamics. The sector’s performance often hinges on product pipelines, approvals, and broader healthcare trends. Wanbury’s technical signals should therefore be interpreted alongside fundamental developments and sector-wide movements.


Comparing Wanbury’s returns to the Sensex reveals a stock that has outperformed significantly over longer periods, despite recent short-term fluctuations. This long-term outperformance may reflect the company’s ability to navigate sector challenges and capitalise on growth opportunities. However, the current mildly bearish technical signals suggest that investors should remain vigilant and consider both technical and fundamental factors in their decision-making process.



Outlook and Investor Implications


In summary, Wanbury’s recent technical parameter changes indicate a shift in market assessment, with a nuanced balance between bearish and mildly bullish signals across different timeframes. The stock’s price momentum shows signs of consolidation, with key indicators such as MACD and moving averages leaning towards caution, while RSI and Bollinger Bands offer a more neutral to mildly positive perspective on longer-term charts.


Investors may find value in monitoring Wanbury’s technical developments closely, particularly the interplay between weekly and monthly indicators, volume trends, and price volatility. Given the stock’s historical resilience and sector positioning, these technical signals could represent an opportunity to reassess portfolio exposure in light of evolving market conditions.



Summary of Key Technical Metrics for Wanbury



  • Current Price: ₹254.45 (Day Change: 6.38%)

  • 52-Week Range: ₹155.00 - ₹330.00

  • MACD: Weekly Bearish, Monthly Mildly Bearish

  • RSI: No Signal on Weekly and Monthly

  • Bollinger Bands: Weekly Mildly Bearish, Monthly Mildly Bullish

  • Moving Averages: Daily Mildly Bearish

  • KST: Weekly Bearish, Monthly Mildly Bearish

  • Dow Theory: Weekly and Monthly Mildly Bearish

  • OBV: Weekly No Trend, Monthly Mildly Bearish



These metrics collectively illustrate a stock in a phase of technical recalibration, with potential implications for near-term price action and investor strategy.






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