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Rajputana Investment & Finance Ltd

NSE: BSE: 539090

₹33

(1.63%)

Thu, 12 Mar 2026, 04:43 am

Rajputana Investment & Finance Technical Analysis

Support and Resistance

TypeR3R2R1PPS1S2S3
Classic35.0534.0233.5132.9932.4831.9630.93
Fibonacci34.0233.6333.3832.9932.6032.3531.96
Camarilla33.2833.1933.0932.9932.9132.8132.72

Pivots Level: Classic

R3

+2.06

35.05

R2

+1.03

34.02

R1

+0.52

33.51

32.99
32.99
Pivot Point
LTP: 33

S1

-0.51

32.48

S2

-1.03

31.96

S3

-2.06

30.93

Pivots Level: camarilla

FibonacciCamarilla

R3

+0.29

33.28

R2

+0.20

33.19

R1

+0.10

33.09

32.99
32.99
Pivot Point
LTP: 33

S1

-0.08

32.91

S2

-0.18

32.81

S3

-0.27

32.72

Moving Average

SMAEMA

Period

Value

  • 10-EMA

    32.79

  • 20-EMA

    32.58

  • 30-EMA

    32.56

  • 50-EMA

    32.78

  • 100-EMA

    33.57

  • 200-EMA

    34.92

Technical Indicators

Period

Value

  • ADX

    12.52

  • ADX+DI

    67.35

  • ADX+DI[1]

    51.50

  • ADX-DI

    28.56

  • ADX-DI[1]

    42.43

  • AO

    1.11

  • AO[1]

    0.82

  • AO[2]

    0.72

  • BBPower

    3.10

  • CCI20

    200.79

  • CCI20[1]

    91.16

  • HullMA9

    33.21

  • Ichimoku.BLine

    33.20

  • MACD.macd

    0.18

  • MACD.signal

    0.06

  • Mom

    0.36

  • Mom[1]

    1.50

  • RSI

    55.04

  • RSI[1]

    55.04

  • Rec.BBPower

    0

  • Rec.HullMA9

    -1

  • Rec.Ichimoku

    0

  • Rec.Stoch.RSI

    0

  • Rec.UO

    0

  • Rec.VWMA

    1

  • Rec.WR

    0

  • Recommend.All

    0.13

  • Recommend.MA

    0.27

  • Recommend.Other

    0

  • Stoch.D

    77.51

  • Stoch.D[1]

    80.41

  • Stoch.K

    62.50

  • Stoch.K[1]

    67.64

  • Stoch.RSI.K

    67.86

  • UO

    33.56

  • VWMA

    32.68

  • W.R

    -62.50

  • close

    33

Rajputana Investment & Finance Ltd Technical Analysis

Rajputana Investment & Finance Ltd technical analysis is gaining attention among traders and investors tracking Rajputana Investment & Finance Ltd Technical Analysis trends in the Indian stock market. Rajputana Investment & Finance Ltd (NSE: , BSE: 539090) is currently trading at ₹33, showing a 1.63% move as of Thu, Mar 12, 2026.

This detailed Rajputana Investment & Finance Ltd technical analysis covers support & resistance levels, moving averages, indicators, and overall market sentiment to help investors make informed decisions.

Rajputana Investment & Finance Ltd Stock Overview

Rajputana Investment & Finance Ltd operates in the Retail trade sector under the Specialty stores industry. With a market capitalization of ₹0 and a PE ratio of 0, Rajputana Investment & Finance Ltd remains a key stock to watch in Rajputana Investment & Finance Ltd Technical Analysis searches.

Key Metrics

  • Market Cap: ₹0
  • PE Ratio: 0
  • Dividend Yield: 0
  • Sector: Retail trade
  • Industry: Specialty stores

These fundamentals play an important role in Rajputana Investment & Finance Ltd technical analysis and valuation tracking.

Rajputana Investment & Finance Ltd Support and Resistance Levels

Classic Pivot Levels

In Rajputana Investment & Finance Ltd technical analysis, pivot levels help identify potential reversal and breakout zones.

  • Resistance 3: 46.42
  • Resistance 2: 40.37
  • Resistance 1: 36.68
  • Pivot Point: 34.32
  • Support 1: 30.63
  • Support 2: 28.27
  • Support 3: 22.22

Conditional Insight

Rajputana Investment & Finance Ltd technical analysis suggests a bearish to neutral trend as the price is below the pivot point. Immediate support is seen near 30.63 and 28.27.

Fibonacci Levels Analysis

Fibonacci levels are widely used in Rajputana Investment & Finance Ltd technical analysis to identify retracement zones.

  • Fibonacci R3: 40.37
  • Fibonacci R2: 38.06
  • Fibonacci R1: 36.63
  • Fibonacci Pivot: 34.32
  • Fibonacci S1: 32.01
  • Fibonacci S2: 30.58
  • Fibonacci S3: 28.27

Rajputana Investment & Finance Ltd technical analysis indicates consolidation between Fibonacci pivot and resistance zones.

Rajputana Investment & Finance Ltd Moving Average Analysis

Moving averages are key indicators in Rajputana Investment & Finance Ltd technical analysis for identifying trend direction.

  • 10 EMA: 32.93
  • 20 EMA: 33.61
  • 30 EMA: 34.27
  • 50 EMA: 35.33
  • 100 EMA: 36.85
  • 200 EMA: 37.94

Trend Logic

Rajputana Investment & Finance Ltd technical analysis indicates bearish pressure, with price trading below key moving averages.

Long-term trend in Rajputana Investment & Finance Ltd technical analysis remains positive above 200 EMA.

Rajputana Investment & Finance Ltd Technical Indicators Overview

Momentum Indicators

  • RSI: 44.30
  • MACD: -0.97
  • Signal: -1.03
  • ADX: 9.46
  • Momentum: 0.77

RSI Logic

Rajputana Investment & Finance Ltd technical analysis shows RSI in neutral range, suggesting consolidation.

MACD Logic

Rajputana Investment & Finance Ltd technical analysis indicates bearish momentum with MACD below signal line.

Rajputana Investment & Finance Ltd Overall Recommendation

  • Overall Recommendation Score: -0.11
  • Moving Average Recommendation: -0.40
  • Other Indicators Recommendation: 0.18

Overall Rajputana Investment & Finance Ltd technical analysis sentiment remains neutral with mixed signals.

Rajputana Investment & Finance Ltd Technical Analysis Conclusion

Rajputana Investment & Finance Ltd technical analysis suggests that traders should closely monitor price action around ₹33 and key pivot level 34.32. Breakouts above resistance or breakdown below support will define the next trend in Rajputana Investment & Finance Ltd technical analysis.

Investors searching for Rajputana Investment & Finance Ltd Technical Analysis should track moving averages, RSI levels, and volume trends to identify potential entry and exit opportunities. As market conditions change, Rajputana Investment & Finance Ltd technical analysis will continue to play a crucial role in short-term trading and long-term investment strategies.

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