3.11 -0.16 (-4.89%)

New 52W Low today

30 Volume

BSEMar 04, 2021 03:31 PM

Mideast Portfolio Management Ltd. technical analysis

IndicatorValueAnalysis
Trendlyne Momentum Score 37.8
Score is 38.0, stock is technically neutral. Stocks with score above 70 are considered as technically Strong and below 35 are considered weak.
The Trendlyne Momentum Score combines over 20 key technical indicators to calculate the stock's technical strength in the market. The momentum score is recalculated at the end of trading day between 5pm and 7pm on most days.
Normalized Momentum Score 43.9%
Score is 43.9, stock is technically neutral w.r.t to market. This score implies that 56.1% of the stocks have higher score than Mideast Portfolio Management Ltd.
RSI(14) 16.7 RSI strongly oversold
RSI is 16.6, RSI below 20 is considered strongly oversold. This implies that stock may rebound.
MFI 6.4 MFI strongly Oversold
MFI is 6.4, MFI below 20 is considered strongly oversold. This implies that stock may rebound.
MACD(12, 26, 9) -0.8 MACD below Signal and Center
MACD Signal -0.8
MACD is below its Signal and Center Line, this is a strong bearish indicator.
ATR 0.2
ADX 54.0
ROC(21) -50.4
ROC(125) -3.1
Last Updated: 04 Mar 2021, 03:31p.m. (IST)

Mideast Portfolio Management Ltd. SMA/EMA (Moving Average) Analysis

IndicatorValueAnalysis
30 Day SMA
5.0
Trading below 30 Day SMA since 261 days (since Jun 18, 2020)
50 Day SMA
6.1
Trading below 50 Day SMA since 253 days (since Jun 26, 2020)
100 Day SMA
6.3
Trading below 100 Day SMA since 953 days (since Jul 27, 2018)
200 Day SMA
4.6
Trading below 200 Day SMA since 31 days (since Feb 03, 2021)
  • Mideast Portfolio Management Ltd. is trading below all available SMAs
IndicatorValueAnalysis
20 Day EMA
4.3
50 Day EMA
5.3
100 Day EMA
5.5
200 Day EMA
4.6

Mideast Portfolio Management Ltd. Price Change Analysis

Over 1 Week
-0.33 (-9.59%)
L H
3.13.3
Over 1 Month
-1.12 (-26.48%)
L H
3.14.0
Over 3 Months
-3.49 (-52.88%)
L H
3.16.6
Over 6 Months
-3.54 (-53.23%)
L H
3.16.6
Over 1 Year
-3.89 (-55.57%)
L H
3.18.5
Over 3 Years
1.32 (73.7%)
L H
1.98.5
Over 5 Years
0.39 (14.3%)
L H
1.68.5
Over 10 Years
-1.43 (-31.5%)
L H
1.48.5
Mideast Portfolio Manageme... Volume Analysis
Traded and Delivery Volume Analysis
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View Detailed Delivery Volume Analysis

Mideast Portfolio Management Ltd. Pivot Level

Pivot 3.27
R1 3.27 S1 3.27
R2 3.27 S2 3.27
R3 3.27 S3 3.27

Mideast Portfolio Management Ltd. Beta

1 Month 0.20 3 Months 0.05
1 Year 0.13 3 Years 0.06
*Nifty 50 beta is considered as 1

Active candlesticks

  • Bullish candlestick patterns
    No active bullish candlesticks.
  • Bearish candlestick patterns
    No active bearish candlesticks.

Technical Screeners

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