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JustJot
@justjot
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Official JustJot.ai content.

S
SILVERTUC — at a glance (as of 2026-06-19)
Price
₹208.36
RSI(14)
80.63
vs 200-DMA
above
From 52w high
7.02%
ADX(14)
35.73
SILVERTUC — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
81Overbought
0
N
NOIDATOLL — at a glance (as of 2026-06-19)
Price
₹6.76
RSI(14)
91.24
vs 200-DMA
above
ADX(14)
29.75
NOIDATOLL — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
91Overbought
0
2
20MICRONS — at a glance (as of 2026-06-19)
Price
₹184.14
RSI(14)
54.5
vs 200-DMA
below
From 52w high
-35.15%
ADX(14)
21.3
20MICRONS — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
55Neutral
0
S
SHYAMTEL — at a glance (as of 2026-06-19)
Price
₹18.63
RSI(14)
83.06
ADX(14)
43.75
SHYAMTEL — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
83Overbought
0
S
SALSTEEL — at a glance (as of 2026-06-19)
Price
₹56.8
RSI(14)
96.9
ADX(14)
52.26
SALSTEEL — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
97Overbought
0
S
SIGMAADV — at a glance (as of 2026-06-19)
Price
₹349.55
RSI(14)
89.46
ADX(14)
35.84
SIGMAADV — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
90Overbought
0
R
RNBDENIMS — at a glance (as of 2026-06-19)
Price
₹11.27
RSI(14)
28.73
ADX(14)
48.71
RNBDENIMS — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
29Oversold
0
O
OMAXAUTO — at a glance (as of 2026-06-19)
Price
₹226.65
RSI(14)
92.91
ADX(14)
46.98
OMAXAUTO — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
93Overbought
0
D
DCMFINSERV — at a glance (as of 2026-06-19)
Price
₹8.15
RSI(14)
86.12
ADX(14)
26.44
DCMFINSERV — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
86Overbought
0
5
5PAISA — at a glance (as of 2026-06-19)
Price
₹325.2
RSI(14)
54.48
vs 200-DMA
below
From 52w high
-25.18%
ADX(14)
17.65
5PAISA — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
55Neutral
0
E
E2E — at a glance (as of 2026-06-19)
Price
₹373.9
RSI(14)
27.99
vs 200-DMA
below
ADX(14)
34.58
E2E — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
28Oversold
0
D
DISHTV — at a glance (as of 2026-06-19)
Price
₹4.02
RSI(14)
72.25
vs 200-DMA
below
From 52w high
-38.53%
ADX(14)
49.57
DISHTV — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
72Overbought
0
A
AVROIND — at a glance (as of 2026-06-19)
Price
₹10.21
RSI(14)
46.11
vs 200-DMA
below
From 52w high
-94.68%
ADX(14)
7.86
AVROIND — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
46Neutral
0
A
AARTECH — at a glance (as of 2026-06-19)
Price
₹50.25
RSI(14)
66.48
vs 200-DMA
above
From 52w high
-34.56%
ADX(14)
39.18
AARTECH — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
67Neutral
0
M
MEIL — at a glance (as of 2026-06-19)
Price
₹0
RSI(14)
21.82
ADX(14)
40.07
MEIL — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
22Oversold
0
E
EASEMYTRIP — at a glance (as of 2026-06-15)
Price
₹8.37
RSI(14)
57.83
vs 200-DMA
above
From 52w high
-32.99%
ADX(14)
14.93
EASEMYTRIP — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
58Neutral
2
M
MIDCAP — at a glance (as of 2026-05-22)
Price
₹17.92
RSI(14)
26.44
vs 200-DMA
below
From 52w high
-90.23%
ADX(14)
55.2
MIDCAP — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
26Oversold
4
O
Oversold — lowest RSI(14)
RSI(14) · below 30 = oversold
2
B
Bullish engulfing today
Bullish engulfing · 1-day move
5PAISA+0.4%
ALANKIT+0.4%
ALICON+0.3%
ALPA+0.5%
ANMOL+0.1%
ANURAS+0.9%
APTECHT+3.7%
2
G
Golden cross (50/200 DMA)
50/200-DMA golden cross · 1-day move
BEPL-0.5%
BLSE+2.6%
CARYSIL+0.7%
CGCL+4.6%
GOLDIAM+10.7%
GRASIM+0.6%
ICIL+7.9%
JMA+0.6%
KPIL-4.1%
2
M
Top movers · 1W
1W price change · biggest gainers · tap to drill in
RACE+294.8%
SHYAMTEL+127.8%
GTECJAINX+95.6%
SEJALLTD+91.2%
INDIAVIX+88.1%
SADHNANIQ+81.8%
NOIDATOLL+79.8%
SIGMAADV+78.3%
OMAXAUTO+71.8%
Top movers · 1M
1M price change · biggest gainers · tap to drill in
SALSTEEL+264.3%
RACE+205.8%
GVPIL+127.6%
CALSOFT+108.4%
UFBL+105%
JKIPL+103.3%
SIGMAADV+102.7%
GTECJAINX+90.3%
YASHO+88.9%
NOIDATOLL+81.7%
Top movers · 3M
3M price change · biggest gainers · tap to drill in
GVPIL+226.9%
STLTECH+213.1%
VENUSREM+203.8%
SWANDEF+185.9%
HFCL+167.3%
RACE+142.1%
DEEDEV+135.7%
UFBL+135.4%
KSHINTL+131.7%
CONFIPET+130.7%
SCPL+130.4%
ATLANTAELE+129.4%
Top movers · 6M
6M price change · biggest gainers · tap to drill in
STLTECH+237%
UFBL+224.4%
GVPIL+216.5%
MTARTECH+197.6%
SILVERTUC+182.6%
BLISSGVS+172.3%
AEROFLEX+164.5%
HFCL+161.4%
TAKE+153.1%
BHAGYANGR+141.9%
NGLFINE+129.3%
Top movers · 1Y
1Y price change · biggest gainers · tap to drill in
MAHSCOOTER+3049.1%
CUPID+663.1%
STLTECH+581.2%
TDPOWERSYS+387.7%
ASCOM-ST+380.2%
MTARTECH+353.8%
BLISSGVS+241.6%
NETWEB+229.1%
IMFA+225.6%
ATHERENERG+218.1%
NEULANDLAB+214.6%
2
M
Top equity funds — 1Y return
Aditya Birla Sun Life International Equity31.9%
Aditya Birla Sun Life International Equity31.2%
Aditya Birla Sun Life Manufacturing Equity20.6%
Aditya Birla Sun Life Manufacturing Equity19.4%
Aditya Birla Sun Life Special Opportunitie18.3%
Aditya Birla Sun Life Transportation and L17.5%
Aditya Birla Sun Life Infrastructure Fund 17.2%
Aditya Birla Sun Life Special Opportunitie17%
Axis India Manufacturing Fund -16.8%
Aditya Birla Sun Life Infrastructure Fund-16.1%
2
I
ITCITC · 1D
₹287.9+1.9475920679886682%1M -5.7%
2732842953053162026-05-182026-06-082026-06-18
ITC — at a glance (as of today)
Price
₹287.9
RSI(14)
39.54
vs 200-DMA
below
52-wk range
₹275.2–₹428.55
From 52w high
-32.82%
ADX(14)
22.53
ITC — returns by timeframe
1W1M3M6M1Y
ITC+3.9%-8.6%-7.7%-28.4%-32.6%
ITC — position in its 52-week range
₹275.2₹287.9₹428.55
ITC — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
40Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
FMCGETF0.27%
FMCG0.21%
BHARATETF0.14%
AXISCETF0.11%
SNICIF0.09%
CONETF0.09%
2
B
Recent bulk & block deals (₹ cr)
Deal value ₹ cr · buy / sell
2
R
Recent breakout signals
Stocks firing a breakout signal · switch indicator template · tap to drill in
1D1W1M3M6M1Y
TRAVELFOOD+6.3%+16.2%+4.3%+11.7%+0.6%
JISLJALEQS+6.7%+8.5%-4.5%-10.2%-29.2%
BELLACASA+1.1%+2.7%-7.9%-14%-40.6%
AHLADA+0.5%+0.3%-9.5%-6.3%-21.1%-37.4%
VSTTILLERS+2.4%-1.7%-10.5%-25.9%-16.7%
BSOFT+0.1%+0%-11.4%-14.3%-24.7%-24.7%
NATIONSTD+0.8%-3.3%-14.9%
TPHQ-4%-7.7%-15.8%-18.6%-15.8%
GALLANTT+5.3%-2.2%-21.7%+18.8%+14.3%+51.9%
TTL-2.9%-11.8%-22.6%-26.2%
KAYNES+1.8%-7.2%-23.8%-17.5%-29.2%-46.2%
BCONCEPTS-1.9%-5.8%-25.5%-30.6%-46.3%-48.7%
Recent breakout signals
Stocks firing a breakout signal · switch indicator template · tap to drill in
RSI(14)ADX(14)ConnorsRSIMACD% from 52wH
TRAVELFOOD632787-4.19
JISLJALEQS501280-0.6
BELLACASA451582-8.28
AHLADA452670-0.97-49.3%
VSTTILLERS352776-164.34
BSOFT421873-10.79-31.6%
NATIONSTD36-52.98
TPHQ322522-0.02
GALLANTT423285-35.66-28.8%
TTL313814-0.36
KAYNES362962-262.85-60%
BCONCEPTS223923-17.04-61%
Recent breakout signals
Stocks firing a breakout signal · switch indicator template · tap to drill in
vs SMA50vs SMA200vs EMA21SMA50 slopeSupertrend
TRAVELFOOD+6.7%+6.1%+9.8%+0.056Up
JISLJALEQS+0.4%-22.8%+0.5%-1.561Up
BELLACASA-6.8%-30.6%-1.4%-2.375Down
AHLADA-2.5%-18.5%-1.9%+0.004Down
VSTTILLERS-8.3%-14.4%-4.4%-3.467Down
BSOFT-7.8%-15.2%-2%-2.137Down
NATIONSTD-5.5%Down
TPHQ-9.9%-22.3%-9.1%-1.877Up
GALLANTT-6.5%+8.9%-5.5%+3.353Down
TTL-18.1%-17.6%-1.567Down
KAYNES-18.4%-36.3%-10.9%-2.783Down
BCONCEPTS-23%-39.1%-14.7%-4.028Down
Recent breakout signals
Stocks firing a breakout signal · switch indicator template · tap to drill in
RVOLVol ratioDelivery %OBV slope
TRAVELFOOD2.04×2.04↑ rising
JISLJALEQS0.86×0.86↑ rising
BELLACASA0.89×0.89↑ rising
AHLADA0.68×0.68↑ rising
VSTTILLERS0.8×0.8↓ falling
BSOFT0.33×0.33↑ rising
NATIONSTD0.08×0.08↑ rising
TPHQ2.89×2.89↓ falling
GALLANTT0.12×0.12↑ rising
TTL1.84×1.84↓ falling
KAYNES0.09×0.09↓ falling
BCONCEPTS1.32×1.32↑ rising
2
M
MARUTIMARUTI · 1D
₹13805+5.397770652007949%1M +3.4%
12774130871340113715140282026-05-182026-06-082026-06-18
MARUTI — at a glance (as of today)
Price
₹13805
RSI(14)
63.69
vs 200-DMA
below
52-wk range
₹12176–₹17370
From 52w high
-20.52%
ADX(14)
14.03
MARUTI — returns by timeframe
1W1M3M6M1Y
MARUTI+6.3%+3.7%-4.1%-15.2%+9.2%
MARUTI — position in its 52-week range
₹12176₹13805₹17370
MARUTI — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
64Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
AUTOETF0.15%
NO0.15%
AUTODEX0.15%
AN0.15%
LTWEF0.09%
TRANSPO0.07%
2
M
Equity-fund category returns (1Y avg)
Multi Cap Fund
7%
Small Cap Fund
6.2%
Value Fund
5.2%
Mid Cap Fund
5.1%
Sectoral/ Thematic
4.9%
Flexi Cap Fund
4.4%
Large & Mid Cap Fund
3.4%
Dividend Yield Fund
0.2%
Focused Fund
-0.1%
ELSS
-0.2%
Large Cap Fund
-2.6%
2
F
FII / DII net flows (₹ cr)
Net flows ₹ cr · inflow / outflow · as of 12 Jun 2026
FIIDII
12 Jun-1082+5341
11 Jun-1987+4225
10 Jun-2125+3124
5 Jun-8776+9134
4 Jun-4447+4360
2 Jun-8363+9589
20 May-1597+1968
19 May-2457+3802
2
L
LTLT · 1D
₹4169.8+7.969963749352682%1M +7.4%
383139404050415942682026-05-182026-06-082026-06-18
LT — at a glance (as of today)
Price
₹4169.8
RSI(14)
64.93
vs 200-DMA
above
52-wk range
₹3288.1–₹4440
From 52w high
-6.09%
ADX(14)
13.23
LT — returns by timeframe
1W1M3M6M1Y
LT+6.2%+3.9%+2.5%+3.3%+13.3%
LT — position in its 52-week range
₹3288.1₹4169.8₹4440
LT — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
65Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
BHARATETF0.15%
INFRAETF0.13%
IB0.13%
EQL15ETF0.08%
EQL15DEX0.08%
HOUSING0.08%
3
B
BAJFINANCEBAJFINANCE · 1D
₹959.65+1.841239520322624%1M +4.1%
8548859169479782026-05-182026-06-022026-06-18
BAJFINANCE — at a glance (as of today)
Price
₹959.65
RSI(14)
62.02
vs 200-DMA
below
52-wk range
₹787.9–₹1102.5
From 52w high
-12.96%
ADX(14)
14.67
BAJFINANCE — returns by timeframe
1W1M3M6M1Y
BAJFINANCE+10.2%+5.2%+2.1%-6.5%+2.4%
BAJFINANCE — position in its 52-week range
₹787.9₹959.65₹1102.5
BAJFINANCE — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
62Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
FINETF0.14%
EQL15ETF0.07%
EQL15DEX0.07%
SLTAF-IV0.07%
SFEF0.05%
LV0.05%
2
T
TCSTCS · 1D
₹2162+0.37606202702074043%1M -8.7%
204021332226232024132026-05-182026-06-072026-06-18
TCS — at a glance (as of today)
Price
₹2162
RSI(14)
27.35
vs 200-DMA
below
52-wk range
₹2132.8–₹3538
From 52w high
-38.89%
ADX(14)
30.23
TCS — returns by timeframe
1W1M3M6M1Y
TCS-6.7%-12.6%-17.3%-33.2%-36.8%
TCS — position in its 52-week range
₹2132.8₹2162₹3538
TCS — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
27Oversold
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
AXISTETF0.27%
SNITIF0.2%
ITETF0.2%
SBIETFIT0.2%
NZ0.2%
IX0.2%
3
M
Market breadth — stocks above their 200-day average
Stocks above 200-DMA · advancers vs decliners
95 advancingMixed99 declining ▼
2
I
ICICIBANKICICIBANK · 1D
₹1327.6+0.804859529233104%1M +8.5%
120512461288133013722026-05-182026-06-082026-06-18
ICICIBANK — at a glance (as of today)
Price
₹1327.6
RSI(14)
63.38
vs 200-DMA
below
52-wk range
₹1187.6–₹1500
From 52w high
-11.49%
ADX(14)
18.66
ICICIBANK — returns by timeframe
1W1M3M6M1Y
ICICIBANK+5%+5.1%-3.4%-4.7%-7.5%
ICICIBANK — position in its 52-week range
₹1187.6₹1327.6₹1500
ICICIBANK — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
63Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
AXISBETF0.24%
SBIETFPB0.2%
PVTETF0.2%
PVTDEX0.2%
NV20DEX0.15%
NV20ETF0.15%
2
S
Sector performance by timeframe
Price return by period · green up / red down
1W1M3M6M1Y
Metal+0.3%-2.5%+8.6%+13%+29.3%
Energy+3.3%+3.5%+12.5%+12.4%+14.7%
Auto+4.1%+2.6%+5.2%+0.1%+7.2%
Media+2.9%+4%+10.1%+8.6%+7.1%
Healthcare+0.5%+0.8%+10.3%+5.3%+5.1%
Banking+5.5%+4.4%+4.3%-6.4%+1.8%
Financial Services+5.4%+0.4%+1.8%-2.4%+0.4%
Infra+4.3%+4.3%+6.4%-1.1%-0.8%
Consumer Durables+7.9%+3.5%+2.5%-0.3%-5.8%
FMCG+2%-3.2%+3.5%-5%-6.8%
Realty+3.5%-2.2%+2.2%-1.7%-11.8%
IT-2.1%-2.5%-4.2%-5.1%-21.8%
2
T
Top laggards by timeframe
Weakest 1-month performers · returns by period · green up / red down
1W1M3M6M1Y
MEIL-100%-100%-100%-100%
FACT-98.8%-98.8%-98.4%-98.7%-99%
NIFTY50DIVPOINT-INDEX0%-98%-97.8%-97.4%
LEMERITE-16.1%-93.9%-94%-94.3%
AVROIND-12%-91.9%-24.4%-92.4%-94.5%
E2E-89.6%-83.4%-81.7%-87.9%
DCI-71.4%-64.9%-65%-69.2%
ANANDRATHI+1.1%-50.8%-44.6%-38.2%-12.5%
LICI+0.7%-49.2%-51%-52.7%-57.9%
RAJTV-18.3%-49.2%-70.3%-71.1%
RNBDENIMS+8.6%-47.6%-92.4%-91.4%
GRMOVER-42.6%-46.7%-45.1%-43.6%
GICL-27.7%-42.8%-53%-46.2%
TATAMOTORS+2.3%-42.1%-41.2%-39.3%-55.1%
2
K
KOTAKBANKKOTAKBANK · 1D
₹405.75+3.152408796237438%1M +4.5%
3703813924024132026-05-182026-06-012026-06-18
KOTAKBANK — at a glance (as of today)
Price
₹405.75
RSI(14)
66.95
vs 200-DMA
below
52-wk range
₹345.5–₹453.2
From 52w high
-10.47%
ADX(14)
15.95
KOTAKBANK — returns by timeframe
1W1M3M6M1Y
KOTAKBANK+6.5%+6.5%-0.4%-5.5%-0.8%
KOTAKBANK — position in its 52-week range
₹345.5₹405.75₹453.2
KOTAKBANK — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
67Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
SBIETFPB0.2%
PVTETF0.2%
PVTDEX0.2%
SBFS0.1%
BANKETF0.1%
BB0.1%
2
M
Equity MF categories — returns by timeframe
Avg category return by period · green up / red down
1M3M6M1Y3Y
Multi Cap Fund+4.6%+14.3%+4.1%+7%+16.6%
Small Cap Fund+6.3%+20.1%+9.1%+6.2%+12.6%
Value Fund+2.9%+10.9%+0.1%+5.2%+16%
Mid Cap Fund+3.6%+14.2%+2.7%+5.1%+14.3%
Sectoral/ Thematic+2.9%+9.9%-0.1%+4.9%+13.3%
Flexi Cap Fund+5%+13.1%+1.3%+4.4%+12.2%
Large & Mid Cap Fund+3.9%+11.5%+0.8%+3.4%+10.4%
Dividend Yield Fund-0.6%+5.4%-2%+0.2%+12.3%
Focused Fund+4%+9.7%-2.6%-0.1%+9.5%
ELSS+2.6%+8.6%-4.1%-0.2%+8.6%
Large Cap Fund+3%+5.8%-5.6%-2.6%+6.3%
Contra Fund
2
A
AXISBANKAXISBANK · 1D
₹1365.7-0.190016809179272%1M +9.7%
122112631304134613872026-05-182026-06-082026-06-18
AXISBANK — at a glance (as of today)
Price
₹1365.7
RSI(14)
67.02
vs 200-DMA
above
52-wk range
₹1042.5–₹1418.3
From 52w high
-3.71%
ADX(14)
20.23
AXISBANK — returns by timeframe
1W1M3M6M1Y
AXISBANK+7.7%+7.1%+1.2%+7%+10.9%
AXISBANK — position in its 52-week range
₹1042.5₹1365.7₹1418.3
AXISBANK — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
67Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
PVTETF0.21%
SBIETFPB0.21%
PVTDEX0.21%
BANKETF0.1%
BKNIFTY0.1%
BX0.1%
4
S
SBINSBIN · 1D
₹1020.85+2.0135904866593446%1M +9.1%
931960990101910482026-05-182026-06-082026-06-18
SBIN — at a glance (as of today)
Price
₹1020.85
RSI(14)
53.82
vs 200-DMA
above
52-wk range
₹781.7–₹1234.7
From 52w high
-17.32%
ADX(14)
20.47
SBIN — returns by timeframe
1W1M3M6M1Y
SBIN+5.2%-4.5%-13.1%+6.7%+24.9%
SBIN — position in its 52-week range
₹781.7₹1020.85₹1234.7
SBIN — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
54Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
PSUETF0.31%
PU0.31%
SBI BSE PSU Bank ETF0.24%
SBI BSE PSU Bank Index Fund0.24%
SPSU0.17%
PSUEQU0.14%
2
S
Volatility squeeze (BB inside Keltner)
BB inside Keltner (coiled) · 1-day move
5
B
BHARTIARTLBHARTIARTL · 1D
₹1853+0.640886378448835%1M -0.1%
176118091856190419522026-05-182026-06-082026-06-18
BHARTIARTL — at a glance (as of today)
Price
₹1853
RSI(14)
51.73
vs 200-DMA
below
52-wk range
₹1740.5–₹2174.5
From 52w high
-14.79%
ADX(14)
18.34
BHARTIARTL — returns by timeframe
1W1M3M6M1Y
BHARTIARTL+2.2%+1.4%-2.8%-11.3%-0.4%
BHARTIARTL — position in its 52-week range
₹1740.5₹1853₹2174.5
BHARTIARTL — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
52Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
INFRAETF0.15%
IB0.15%
STOF0.13%
TECH0.12%
AXISCETF0.1%
RURALOPP0.1%
2
M
Market rotation (vs equal-weight basket)
Relative strength (x) × momentum (y) vs peers · 12-week trail
LeadingWeakeningLaggingImprovingHDFCBANKICICIBANKINFYTCSRELIANCELTAXISBANKMARUTISUNPHARMABHARTIARTLKOTAKBANKTATASTEEL
2
I
INFYINFY · 1D
₹1134.9+1.8212811771039172%1M -12.2%
101510851154122412942026-05-182026-06-022026-06-18
INFY — at a glance (as of today)
Price
₹1134.9
RSI(14)
41.87
vs 200-DMA
below
52-wk range
₹1089–₹1728
From 52w high
-34.32%
ADX(14)
16.54
INFY — returns by timeframe
1W1M3M6M1Y
INFY-5.5%-0.5%-13.3%-29%-26.8%
INFY — position in its 52-week range
₹1089₹1134.9₹1728
INFY — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
42Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
SNITIF0.27%
ITETF0.27%
SBIETFIT0.27%
NZ0.27%
IX0.27%
NIFTYIT0.27%
2
H
HDFCBANKHDFCBANK · 1D
₹777.35+4.39833467633628%1M +2.3%
7297497687888072026-05-182026-06-012026-06-18
HDFCBANK — at a glance (as of today)
Price
₹777.35
RSI(14)
54.97
vs 200-DMA
below
52-wk range
₹726.65–₹1020.5
From 52w high
-23.83%
ADX(14)
19.95
HDFCBANK — returns by timeframe
1W1M3M6M1Y
HDFCBANK+3.1%+1.8%-11.4%-22.3%-19.2%
HDFCBANK — position in its 52-week range
₹726.65₹777.35₹1020.5
HDFCBANK — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
55Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
AXISBETF0.27%
SBIETFPB0.19%
PVTETF0.19%
PVTDEX0.19%
BANKETF0.18%
SNBIF0.18%
2
S
Sector health — % of stocks above their 200-day average
% of stocks above 200-DMA · greener = stronger
Oil & Gas
100%
Metal
87%
Healthcare
70%
Energy
64%
Auto
53%
Media
44%
Banking
43%
Infra
42%
Financial Services
40%
FMCG
27%
Consumer Durables
25%
Realty
22%
2
R
RELIANCERELIANCE · 1D
₹1307+3.4837688044338844%1M -1%
124612791312134513782026-05-182026-06-012026-06-18
RELIANCE — at a glance (as of today)
Price
₹1307
RSI(14)
44.38
vs 200-DMA
below
52-wk range
₹1253.2–₹1611.8
From 52w high
-18.91%
ADX(14)
24.46
RELIANCE — returns by timeframe
1W1M3M6M1Y
RELIANCE+0.3%-4.2%-7%-14.9%-8.2%
RELIANCE — position in its 52-week range
₹1253.2₹1307₹1611.8
RELIANCE — RSI(14) momentum
RSI(14) · below 30 oversold · above 70 overbought
44Neutral
Mutual funds holding this stock
Holding as % of the fund's portfolio · latest disclosure
NIFOGETF0.32%
INFRAETF0.17%
IB0.17%
AXISBTF0.12%
AXISN500.1%
AXISNETF0.1%
2
S
Large-cap leaders by timeframe
Price return by period · green up / red down
1W1M3M6M1Y
ADANIENT-1.2%+8.4%+49.1%+31.1%+17.6%
AXISBANK+7.7%+7.1%+1.2%+7%+10.9%
KOTAKBANK+6.5%+6.5%-0.4%-5.5%-0.8%
BAJFINANCE+10.2%+5.2%+2.1%-6.5%+2.4%
ICICIBANK+5%+5.1%-3.4%-4.7%-7.5%
LT+6.2%+3.9%+2.5%+3.3%+13.3%
MARUTI+6.3%+3.7%-4.1%-15.2%+9.2%
HDFCBANK+3.1%+1.8%-11.4%-22.3%-19.2%
BHARTIARTL+2.2%+1.4%-2.8%-11.3%-0.4%
SUNPHARMA-2.1%-0.1%+3.1%0%+6.6%
INFY-5.5%-0.5%-13.3%-29%-26.8%
TITAN+5%-2.3%+0.3%+12.3%+21.2%
RELIANCE+0.3%-4.2%-7%-14.9%-8.2%
SBIN+5.2%-4.5%-13.1%+6.7%+24.9%
TATASTEEL-5.7%-6.7%-6.5%+18.1%+25.4%
HINDUNILVR-1%-6.8%-7.1%-11%-8.3%
ITC+3.9%-8.6%-7.7%-28.4%-32.6%
POWERGRID+0.2%-10.3%-2.1%+7.7%-5.1%
TCS-6.7%-12.6%-17.3%-33.2%-36.8%
NTPC-5.1%-12.8%-4.8%+9%+2.6%
2
I
Index performance by timeframe
Price return by period · green up / red down
1W1M3M6M1Y
NIFTY METAL+0.3%-2.5%+8.6%+13%+29.3%
NIFTY ENERGY+3.3%+3.5%+12.5%+12.4%+14.7%
NIFTY NEXT 50+3.8%+3.8%+7.4%+3.8%+8.1%
NIFTY INFRA+4.1%+3.9%+7.9%+2.1%+7.2%
NIFTY AUTO+4.1%+2.6%+5.2%+0.1%+7.2%
NIFTY MIDCAP 100+3.9%+2.1%+7.4%+5.2%+4.3%
NIFTY SMALLCAP 100+3.9%+0.5%+10.2%+7.7%+2.9%
NIFTY BANK+5.5%+5.5%+4.7%-6.2%+1.7%
NIFTY 50+2.7%-0.1%+1.4%-3.9%-2.1%
NIFTY FMCG+2%-3.2%+3.5%-5%-6.8%
NIFTY REALTY+4%-1.5%+2.9%-1.3%-11.8%
NIFTY IT-2.1%-2.5%-4.2%-5.1%-21.8%
2
N
Near 52-week high (% away)
% below 52-week high
2
D
Death cross (50/200 DMA)
50/200-DMA death cross · 1-day move
CUB-95.7%
SIKKO-2.8%