Wealth First Portfolio Managers Shows Mixed Technical Trends Amid Market Volatility

May 27 2025 08:06 AM IST
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Wealth First Portfolio Managers has recently revised its evaluation amid changing market dynamics. The stock shows notable volatility, with a year-high of 1,720.00 and a low of 750.00. While it has outperformed the Sensex in the short term, its year-to-date performance lags behind, despite strong three-year returns.
Wealth First Portfolio Managers, a microcap player in the capital markets industry, has recently undergone an evaluation revision reflecting its current market dynamics. The stock is currently priced at 889.40, showing a notable increase from the previous close of 862.50. Over the past year, the stock has experienced a high of 1,720.00 and a low of 750.00, indicating significant volatility.

In terms of technical indicators, the weekly MACD suggests a mildly bullish sentiment, while the monthly perspective leans towards a mildly bearish outlook. The Relative Strength Index (RSI) shows no signals for both weekly and monthly assessments, indicating a neutral stance. Bollinger Bands reflect a mildly bearish trend on a weekly basis and a bearish trend monthly, while moving averages indicate a bearish position on a daily timeframe.

When comparing the company's performance to the Sensex, Wealth First has shown varied returns. Over the past week, it outperformed the Sensex with a return of 2.09% compared to 0.22%. However, on a year-to-date basis, the stock has underperformed with a return of -41.29% against the Sensex's 5.74%. Notably, over a three-year period, Wealth First has delivered an impressive return of 263.02%, significantly surpassing the Sensex's 54.61%. This performance highlights the company's resilience and potential amidst fluctuating market conditions.
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