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Fundamentals for Campus Activewear Limited
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Technicals for Campus Activewear Limited
Price Summary
On 2026-07-01, Campus Activewear Limited's stock opened at 234.8, reached a high of 238.33, dropped to a low of 234.02, and closed lower -0.09% at 234.6, with a trading volume of 133380 shares.Over the past 52 weeks, the stock reached a maximum price of 298.8 and a minimum price of 218.85.
Technicals
Support and Resistance: The current price is 234.6, with support at 233.3 and resistance at 244.05. This range suggests that the price might move between these levels, with 233.3 offering support and 244.05 capping further gains for Campus Activewear Limited.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 showing a neutral stance, with no definitive indication of an upward or downward trend for CAMPUS. This neutral position suggests a period of indecision in the market, making it difficult to predict the next move.
Parabolic SAR: The PSAR continues to signal a bullish outlook, establishing a key support level that reinforces the market's upward momentum. This support could serve as a base for continued gains, suggesting that the bullish trend is likely to persist.
Stochastic: The current state of the STOCHASTIC is neutral for CAMPUS, providing no clear indication of a trend in either direction. This suggests that the market may be lacking momentum, making it difficult to predict future movements.
Tripple Moving Agerage: The 20-50-100 period moving averages are positioned for a bullish trend, but the slopes of the faster averages hint at a possible trend reversal. While the overall outlook remains positive, the weakening momentum in the shorter-term averages suggests that the current trend might not hold for long.
Before focusing on a company's technical data, such as stock price movements, it's essential to analyze its fundamentals. These include factors like profitability, cash flow, and debt management. Additionally, considering the broader industry landscape—including market trends, competition, and regulatory changes—offers deeper insights. This comprehensive approach allows for a more meaningful interpretation of the company's technical indicators, providing a clearer picture of its financial health and future prospects.
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