Overall Technical outlook

Price Summary

On 2026-03-02, SKFINDIA's stock began at 1673.1, peaked at 1733.6, dipped to 1673.1, and closed up 1.61% at 1700.0, with a volume of 31023 shares.
In the 52-week period, the stock's peak price is 5017.2, and the lowest price recorded is 1671.4.
The projected price range for SKF India Limited is between 1670.0 and 5100.0, with an expected mean price of 3010.125, according to 8 analysts.

Technicals


Aroon: The AROON is currently neutral, showing no clear bias toward a rising or falling trend. This lack of directional clarity suggests that the market may be in a holding pattern, awaiting further developments.
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Aroon chart for SKF India Limited


Bol. Bands: The BOLL BANDS is currently neutral, showing no clear bias toward an upward or downward trend. This suggests that the market may be in a phase of indecision or consolidation.
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Bolinger Bands chart for SKF India Limited


Parabolic SAR: The PSAR has just shifted from bullish to bearish, hinting at a potential market decline. If this reversal is supported by other trends, it could be a very bearish signal for SKFINDIA. Investors should be vigilant and seek further confirmation before taking action.
SKFINDIA psar cea674
Parabolic Stop and Reverse chart for SKF India Limited


Stochastic: The STOCHASTIC is currently neutral, showing no clear bias toward an upward or downward trend. This suggests that the market may be in a phase of indecision or consolidation.
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Stochastic chart for SKF India Limited


Tripple Moving Agerage: The Tripple MOVING AVG is showing a neutral reading, with no clear direction indicated for upward or downward movement. This neutral position suggests a possible period of consolidation.
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Tripple SMA chart for SKF India Limited


To accurately interpret a company's technical data, it is important to first examine its fundamentals. These include financial performance, management quality, and growth prospects. In addition, understanding the dynamics of the industry in which the company operates—such as competition, market trends, and regulatory factors—provides further insights. This combined analysis helps create a fuller picture, allowing for more precise conclusions to be drawn from the company's technical performance and stock behavior.