More about Kotak Mahindra Bank Limited
Fundamentals for Kotak Mahindra Bank Limited
Regulatory Filings for Kotak Mahindra Bank Limited
IndiGo Implements Steep Fuel Surcharge as Iran Conflict Sends Jet Fuel Costs Soaring
The RBI's New Forex Fortress: Defensive Maneuvers in an Era of Oil Shocks
India's Fiscal Milestone: GST Collections Breach ₹2 Lakh Crore Mark for the First Time
AI Disruption Accelerates: Oracle Layoffs Raise Alarms for India’s Tech Workforce
Technicals for Kotak Mahindra Bank Limited
Price Summary
On 2026-04-09, Kotak Mahindra Bank Limited's stock began at 377.0, peaked at 378.7, declined to 369.45, and ended the day -1.35% down at 371.9, with 12421887 shares traded.The stock's highest price over the 52-week span is 2268.8, while the lowest price is 0.0.
KOTAKBANK's future price is expected to lie between 390.0 and 540.0, with an average expectation of 488.15555, as per the recommendations of 36 analysts.
Technicals
Support and Resistance: The price for KOTAKBANK is 371.9, with support at 366.85 and resistance at 408.2. This suggests a range where 366.85 acts as a base, preventing declines, and 408.2 caps gains, defining key trading levels.Aroon: The AROON is neutral, showing no definitive signals of a trend either upward or downward. This neutral stance indicates a period of market indecision, where the direction is unclear.
Bol. Bands: The current reading of the BOLL BANDS is neutral for KOTAKBANK, with no clear signals for an upward or downward trend. This indicates that the market may be in a state of uncertainty, with no dominant force driving the direction.
Parabolic SAR: The PSAR continues its bullish outlook, establishing a support level that could help sustain the current upward trend. This level of support may act as a cushion against potential downturns, indicating continued strength in the market's bullish momentum for KOTAKBANK.
Stochastic: The STOCHASTIC is in a neutral stance, with no clear signals for movement up or down. This neutral position indicates a potential period of consolidation or uncertainty in the market.
Tripple Moving Agerage: The alignment of the 20-50-100 period moving averages points to a bullish trend, though the slopes of the faster averages suggest a potential reversal. The weakening momentum in these shorter-term averages indicates that the current trend may not be sustainable for KOTAKBANK, raising the possibility of a change in direction.
When assessing a company's technical performance, such as stock price fluctuations and trading volume, it is crucial to first examine its fundamentals. These fundamentals include financial health, profitability, and growth potential. Additionally, understanding the industry's dynamics, including competitive pressures and market trends, is key to contextualizing the company's performance. By integrating these factors, a more comprehensive and meaningful analysis can be conducted, leading to more informed investment decisions.
DISCLAIMER: We provide information and our musings based on events, but nothing on this site can be considered professional advice of any kind.
If you have enjoyed reading, spread the word:
Good prospects:
Companies with the best and the worst fundamentals.
Latest Regulatory Filings for NSE500
Companies with the best and the worst technicals.
U.S. Labor Market in 2026: JOLTS and Consumer Confidence Reveal Why Hiring Cooled Without Unemployment Spike
Lending Unleashed: Assessing the Impact of the Federal Reserve’s Capital Rollback
Calendar Collision: How Mahavir Jayanti's Overlap With Fiscal Year-End Reshapes India's Tax-Loss Harvesting Landscape