In Declining for ~3 weeks · since 10 Sep 2026stage history
Price10-week line30-week trend line252 trading days
Relative strength vs the F&O universe RS line· baseline 100
The RS line is below its peak and not rising — this stock isn’t out-leading the universe right now, whatever its price is doing.
Returns
3M
-17.4%
6M
-2.5%
9M
-16.9%
12M
-28.2%
52-week range
₹2065₹2940
-28.2% from its 52-week high
Trend-health checklist0/5
✕Price above the 30-week line
✕30-week line is rising
✕10-week line above the 30-week line
✕Price above the 10-week line
✕Strength rank 70 or higher
Extension & risk
Above 30-week line
-13.2%
Below the line
30-week line (floor)
₹2431
structural floor
Risk back to floor
15.2%
if it returns there
10-week line
₹2402
nearer support
If price slid back to its 30-week line from here, that is 15.2% — the structural risk this far above the line. These are levels read from the price series, not a buy or sell call.
Futures positioning
Short coveringcurrent-month future · 27 days to expiry
Short covering: futures price up but open interest down — existing shorts buying back to exit. A rise driven by shorts closing, not necessarily fresh demand.
Basis (future vs cash)
+0.18%
premium · ₹3.9
Open interest
-0.1%
vs prior session
Future price
₹2114
cash ₹2110
Futures move
+0.2%
today
Read from the current-month futures contract. Around monthly expiry these reads turn noisy as positions roll to the next series. Descriptive of positioning, not a buy or sell call.
Options positioning
current-month option chain · 31 strikes near the money · 27 days to expiry
ATM implied volatility
31.5%
call 32% · put 32%
Expected move to expiry
±8.6%
~ ±₹181 (1SD)
Put/call ratio (OI)
0.85
by volume 0.65
Max pain
₹2200
ATM ₹2120
Read from the current-month option strikes around the money. Implied volatility is solved from the at-the-money call and put; the expected move is the one-standard-deviation range those prices imply to expiry. Near expiry these compress as time value decays. Descriptive of option pricing, not a buy or sell call.
The 30-week line is computed live from adjusted prices; the checklist is computed from that same series, so chart and score always agree. Educational analysis only — not a recommendation, and not investment advice.