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Technicals for Abbott India Limited
Price Summary
On 2026-07-01, Abbott India Limited's stock opened at 25585.0, reached a high of 25655.0, dropped to a low of 25370.0, and closed lower -0.14% at 25550.0, with a trading volume of 18742 shares.Throughout the 52-week period, the stock hit a high of 35460.0 and a low of 25180.0.
Technicals
Support and Resistance: The price is currently at 25550.0, supported by 25180.0 and resisted by 25860.0. This indicates a range where 25180.0 may provide a base for the price, while 25860.0 serves as a cap on further upward movement for ABBOTINDIA.Aroon: The AROON is showing a neutral reading, with no clear direction indicated for upward or downward movement. This neutral position suggests a possible period of consolidation.
Bol. Bands: The BOLL BANDS is currently in a neutral position for Abbott India Limited, offering no clear guidance on whether the market is likely to move up or down. This neutral stance suggests that further observation may be necessary before a trend becomes apparent.
Parabolic SAR: The PSAR maintains its bearish stance, setting a strong resistance level that could limit any potential upward movement. This ongoing bearish outlook suggests that the market may continue to face resistance, making it difficult to achieve significant gains for Abbott India Limited.
Stochastic: The K-line has crossed above the D-line on the stochastic indicator, while staying below 20, often indicating the start of a bullish move. This setup suggests that the market might be in the early stages of an upward trend, emerging from a period of lower levels. Investors might see this as a positive signal for buying.
Tripple Moving Agerage: The moving averages for ABBOTINDIA for the 20-50-100 periods point to a bullish trend, but the slopes of the faster averages suggest this strength may be waning. The potential for a reversal is becoming apparent, as the shorter-term averages indicate that the upward momentum could be weakening, signaling a possible trend change.
Analyzing the technical indicators of a company, such as stock price and trading volume, requires first understanding its fundamentals. These fundamentals include profitability, growth potential, and market position. Furthermore, knowing the broader industry trends and competitive landscape provides critical context. When both the company's internal data and the external environment are considered, it allows for more meaningful conclusions about the company's technical performance and future trajectory.
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