Last traded price: ₹9,738.50 on 17 Nov 2025 (approx)
Previous day close: ~ ₹9,666.50
Day high so far: ~ ₹9,786.00
Day low so far: ~ ₹9,640.00
52-week high: ~ ₹9,786.00, 52-week low: ~ ₹4,408.15
One-Day Time-Frame Level Observations
The price is very near its recent all-time/52-week high (~₹9,700+), so there may be resistance around the recent high zone (~₹9,700-9,800).
It has already had an intraday high around ~₹9,744 today, so any breakout beyond that may open upside potential; conversely, dropping below the intraday low (~₹9,439) may indicate weakness.
Given its high valuation (P/E ~70.8x according to recent data) and that the stock is at a high level, one might be cautious of a pull-back risk or consolidation.
Caveats & Things to Keep in Mind
The data is near real-time (delayed seconds/minutes) but market conditions can change quickly, especially in volatile segments.
Even though the one-day frame gives a useful short-term view, longer-term fundamentals (earnings, growth, regulatory risk) matter for sustainability.
For example: Recently MCX had a system outage / capacity-breach that drew regulatory attention.
Also, brokerage views differ: One report noted a lower target for MCX despite the high latest price.
Previous day close: ~ ₹9,666.50
Day high so far: ~ ₹9,786.00
Day low so far: ~ ₹9,640.00
52-week high: ~ ₹9,786.00, 52-week low: ~ ₹4,408.15
One-Day Time-Frame Level Observations
The price is very near its recent all-time/52-week high (~₹9,700+), so there may be resistance around the recent high zone (~₹9,700-9,800).
It has already had an intraday high around ~₹9,744 today, so any breakout beyond that may open upside potential; conversely, dropping below the intraday low (~₹9,439) may indicate weakness.
Given its high valuation (P/E ~70.8x according to recent data) and that the stock is at a high level, one might be cautious of a pull-back risk or consolidation.
Caveats & Things to Keep in Mind
The data is near real-time (delayed seconds/minutes) but market conditions can change quickly, especially in volatile segments.
Even though the one-day frame gives a useful short-term view, longer-term fundamentals (earnings, growth, regulatory risk) matter for sustainability.
For example: Recently MCX had a system outage / capacity-breach that drew regulatory attention.
Also, brokerage views differ: One report noted a lower target for MCX despite the high latest price.
I built a Buy & Sell Signal Indicator with 85% accuracy.
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WhatsApp: wa.link/d997q0
Contact - +91 76782 40962
| Email: techncialexpress@gmail.com
| Script Coder | Trader | Investor | From India
📈 Get access via DM or
WhatsApp: wa.link/d997q0
Contact - +91 76782 40962
| Email: techncialexpress@gmail.com
| Script Coder | Trader | Investor | From India
Related publications
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
I built a Buy & Sell Signal Indicator with 85% accuracy.
📈 Get access via DM or
WhatsApp: wa.link/d997q0
Contact - +91 76782 40962
| Email: techncialexpress@gmail.com
| Script Coder | Trader | Investor | From India
📈 Get access via DM or
WhatsApp: wa.link/d997q0
Contact - +91 76782 40962
| Email: techncialexpress@gmail.com
| Script Coder | Trader | Investor | From India
Related publications
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
