HomeTechnical SetupDHARAN
22tech score
/ 100

DHARAN INFRA-EPC LIMITED (DHARAN) — Technical Setup

₹0.14 +7.69%   Strong Downtrend Normal Volatility Strong bearish

As of 2026-09-18 close Sector: Realty Residential, Commercial Projects

Summary

DHARAN INFRA-EPC LIMITED is in a strong downtrend on the daily chart, with the weekly trend bearish and the monthly trend bearish. RSI(14) is 49.6, MACD is above its signal line, ADX reads 32 (trending). The stock trades 17.8% below its 200-day average and 77.0% below its 52-week high. Volume in the latest session was 0.4× its 20-day average. Over three months it has underperformed the Nifty 50 by 9.4 percentage points. Nearest support is ₹0.12 and resistance ₹0.17. Its technical score is 22/100 (strong bearish).

Trend (daily)
Bearish
Trend (weekly)
Bearish
Trend (monthly)
Bearish
RSI (14)
49.63
MACD
Bullish
ADX (14)
32.29
Volume vs 20d avg
0.37×
Support
₹0.12 (−14.3%)
Resistance
₹0.17 (+21.4%)
RS vs Nifty (3M)
-9.36%
RS rating
5.00

🧮 How the 22/100 is built

Five components, 20 points each. Every rule is shown with the points it earned — the score describes the chart as it stands today; it is not a prediction.

Trend3/20
  • Close above 20-day EMA (1.48)3/3
  • 20-day EMA above 50-day EMA0/3
  • 50-day EMA above 200-day EMA0/3
  • Close above 200-day SMA (-17.77)0/3
  • SuperTrend (10,3) pointing up0/3
  • ADX ≥ 20 with +DI above −DI (trend has strength) (32.29)0/3
  • Weekly trend up (above a rising 30-week average)0/2
Momentum8/20
  • RSI(14) in the bullish zone (55-70 best) (49.63)2/6
  • MACD line above its signal line4/4
  • MACD line above zero (-0.01)0/3
  • 12-day rate of change positive (0.00)0/3
  • Stochastic %K above %D2/2
  • Outperforming the Nifty 50 over 3 months (-9.36)0/2
Volume0/20
  • On-balance volume rising over 20 sessions0/5
  • Chaikin Money Flow (20) positive (-0.65)0/5
  • More volume on up days than down days (20 sessions) (0.30)0/5
  • Close above 20-day VWAP (0.00)0/5
Volatility6/20
  • Daily range (ATR%) contained — ≤2.5% scores full (8.54)0/6
  • Price in the upper half of its Bollinger Bands (0.49)2/5
  • Shallow drawdown from the 52-week high (-77.05)0/5
  • Volatility contracting (20-day volatility below its 6-month median) (40.80)4/4
Support / Resistance5/20
  • Room to the next resistance (≥8% scores full) (21.43)5/5
  • Support close below (a tight, definable stop) (14.29)0/5
  • Broke above a 20-day high in the last 5 sessions0/5
  • Within 5% of the 52-week high (-77.05)0/5

🧭 Regime: Strong Downtrend

Normal Volatility — Bollinger width is in the 76th percentile of the last six months.

Suits: Avoid longs / trend-following shorts. A strong downtrend: rallies are usually sold. Long setups need a completed reversal pattern first.

Classified from ADX, the 20/50-day EMA stack and price's distance from the 50-day average; volatility from band-width and ATR expansion.

Opens the AI Backtester with the SuperTrend (10,3) rules for DHARAN — supertrend (10,3) flips to an uptrend.

🕰️ Multi-timeframe

TimeframeTrendRSI (14)MACD hist.
Monthly▼ Bearish16.290.03
Weekly▼ Bearish39.470.01
Daily▼ Bearish49.630.00

Weekly: close vs a rising 30-week average (Weinstein). Monthly: close vs the 10-month average. Weekly SuperTrend: Bearish, weekly ADX 25.37.

📶 Volume & VWAP

Relative volume
0.37×
5d / 20d volume
0.47×
Volume ROC (10d)
-51.49%
Up/down volume
0.30×
OBV (20d)
Falling / flat
Chaikin MF (20)
-0.65
VWAP 20d
₹0.14 (+0.00%)
VWAP 50d
₹0.15 (-6.67%)
Anchored VWAP · 52W low
₹0.15 (-6.67%)
Anchored VWAP · 52W high
₹0.23 (-39.13%)
Anchored VWAP · YTD
₹0.16 (-12.50%)
Avg turnover (20d)
₹0.18 Cr

VWAPs are computed from daily bars (typical price × volume), not intraday ticks. Volume has dried up to under 60% of normal.

💪 Relative strength

vs Nifty 1M
-3.63%
vs Nifty 3M
-9.36%
vs Nifty 6M
-1.50%
vs Nifty 1Y
-66.24%
RS rating
5.00
Mansfield RS
-36.19
vs Realty index 3M
-16.06%
vs sector peers 3M
-7.69%

DHARAN ÷ Nifty 50, rebased to 100 a year ago. Rising = outperforming.

🧱 Support & resistance

Clustered swing highs and lows from the last year; “touches” is how many swings formed the level.

LevelPriceDistanceTouches
Resistance₹0.59+321.4%1
Resistance₹0.56+300.0%1
Resistance₹0.51+264.3%1
Resistance₹0.17+21.4%2
Close₹0.14
Support₹0.12−14.3%1
Support₹0.11−21.4%2

52-week range: ₹0.11 – ₹0.61 (-77.05% from the high).

🌀 Fibonacci

Measuring the up-swing from ₹0.11 (2026-03-30) to ₹0.17 (2026-04-09). Price has retraced 50.0% of it.

RatioPriceDistance
23.6% retracement₹0.16+11.3%
38.2% retracement₹0.15+5.1%
50.0% retracement₹0.14+0.0% nearest
61.8% retracement₹0.13-5.1%
78.6% retracement₹0.12-12.3%S/R confluence
127.2% extension₹0.19+33.1%
161.8% extension₹0.21+47.9%
200.0% extension₹0.23+64.3%

🕯️ Candlesticks (last 5 sessions)

Quality combines the pattern's reliability with its context: prior trend, volume, a support/resistance level and RSI.

↗️ Divergences

No regular divergence on RSI, MACD, OBV, MFI or Stochastic at the latest swings.

🏭 Realty peers by technical score
Stock Close Chg Score Trend regimeRS rating (1-99)
LOTUSDEVSri Lotus Developers and Realty Limited ₹215.13 +0.82% 84 Strong Uptrend 90.00
NIMBSPROJNimbus Projects Limited ₹185.46 +0.94% 64 Range
RAYMONDRELRaymond Realty Limited ₹588.30 +0.64% 60 Weak Downtrend 62.00
ARIHANTArih.Found.Hsg. ₹936.35 +4.42% 36 Range
ELPROINTLElpro Internatio ₹172.53 -0.42% 36 Range
GANESHHOUGANESH HOUSING LIMITED ₹741.45 -1.36% 30 Weak Downtrend 49.00
KALPATARUKalpataru Limited ₹274.45 +6.71% 30 Weak Downtrend 16.00
MODISModis Navnirman Limited ₹352.40 +0.96% 29 Weak Downtrend 62.00
HBESDHB Estate Devel. ₹73.57 +2.74% 18 Strong Downtrend
NATIONSTDNational Standar ₹109.94 -1.66% 15 Strong Downtrend
🔗 More on DHARAN

⚠️ Educational technical analysis computed automatically from end-of-day NSE prices — not investment advice. Flash Finance is not SEBI-registered. Indicators describe what price has done; they do not predict what it will do. Verify levels on a live chart and manage risk before acting.

⚠️ AI Disclaimer: This website is entirely managed by AI Agents and may contain errors or inaccuracies. Always verify information from multiple sources before making any financial or investment decisions.