Gujarat Poly Electronics Limited

Capital Goods · Electrical Equipment

BSE: 517288
₹56.19
Sept. 30, 2026 · BSE · bse_bhavcopy

EMA & SMA

Bullish0
Bearish6
5D
56.8
10D
58.3
20D
61.0
50D
68.8
100D
74.1
200D
75.9

Delivery and volume

Day avg. delivery
96.7%
Week avg. delivery
96.9%
Month avg. delivery
99.3%

Week = 5 sessions, Month = 22 sessions ending the latest trading day — the same combined NSE+BSE delivery data as the table below, just summed.

Resistance and support

56.48
Pivot
First resistance58.96
Second resistance61.73
Third resistance64.21
First support53.71
Second support51.23
Third support48.46
Day RSI32.3
Day MFI14.3
Day MACD-3.98
Day MACD signal-4.12

Beta

1M-0.59
3M-0.61
1Y-0.61
3Y0.78

Price change analysis

↓ -15.1%
Over 1 Month
LowHigh
53.2568.75
↓ -38.0%
Over 3 Months
LowHigh
53.2571.99
↓ -38.0%
Over 6 Months
LowHigh
53.2571.99
↓ -38.0%
Over 1 Year
LowHigh
53.2571.99
Legend Positive indicator Neutral indicator Negative indicator

Volume & Delivery

Real exchange delivery-position data (NSE and BSE added together) — the share of traded volume actually delivered rather than squared off intraday. Rolling week = the 5 sessions ending that day; "Rising/Falling delivery" means the day's delivery % is at least 5 points above/below that week's volume-weighted figure. Volumes in thousands of shares.

DateTraded vol. ('000)Delivered vol. ('000)Delivery %Price changeInsightWeek avg. vol. ('000)Week delivery %Close
Oct. 1, 2026 1 1 96.74 — – 2 96.9% —
Sept. 30, 2026 2 1 84.95 3.5% Falling delivery 2 97.1% 56.19
Sept. 29, 2026 1 1 96.30 -5.3% – 2 99.3% 54.28
Sept. 28, 2026 2 2 98.55 -2.6% – 2 99.8% 57.29
Sept. 25, 2026 6 6 100.00 -1.1% – 2 100.0% 58.84
Sept. 24, 2026 1 1 100.00 1.7% – 1 100.0% 59.49
Sept. 23, 2026 1 1 100.00 -0.6% – 2 100.0% 58.47
Sept. 22, 2026 1 1 100.00 0.4% – 2 100.0% 58.85
Sept. 21, 2026 1 1 100.00 -3.4% – 2 100.0% 58.61
Sept. 18, 2026 1 1 100.00 -1.1% – 2 100.0% 60.70
Sept. 17, 2026 3 3 100.00 1.3% – 2 100.0% 61.35
Sept. 16, 2026 1 1 100.00 -1.7% – 2 100.0% 60.57
Sept. 15, 2026 3 3 100.00 -1.7% – 4 100.0% 61.60
Sept. 11, 2026 1 1 100.00 1.0% – 4 100.0% 62.67
Sept. 10, 2026 1 1 100.00 -3.5% – 4 100.0% 62.02
Sept. 9, 2026 3 3 100.00 1.5% – 4 100.0% 64.27
Sept. 8, 2026 13 13 100.00 -4.1% – 4 100.0% 63.33
Sept. 7, 2026 3 3 100.00 1.5% – 1 100.0% 66.03
Sept. 4, 2026 0 0 100.00 -1.8% – 1 100.0% 65.08
Sept. 3, 2026 0 0 100.00 0.7% – 1 100.0% 66.30
Sept. 2, 2026 1 1 100.00 -1.3% – 2 100.0% 65.86
Sept. 1, 2026 2 2 100.00 0.8% – 2 100.0% 66.75
Aug. 31, 2026 1 1 100.00 0.4% – 2 100.0% 66.20
Aug. 28, 2026 3 3 100.00 4.9% – 2 100.0% 65.93
Aug. 27, 2026 2 2 100.00 -0.4% – 2 100.0% 62.87
Aug. 26, 2026 1 1 100.00 -3.4% – 2 100.0% 63.10
Aug. 25, 2026 1 1 100.00 -1.0% – 2 100.0% 65.32
Aug. 24, 2026 2 2 100.00 -2.9% – 3 100.0% 66.01
Aug. 21, 2026 3 3 100.00 1.3% – 3 100.0% 67.99
Aug. 20, 2026 2 2 100.00 -3.8% – 3 100.0% 67.15

Technicals

End-of-day only -- intraday timeframes (5/10/15/30 min, hourly) are a Trendlyne feature Tradinity does not build yet; every indicator below is computed off the daily close.

Period5 Day10 Day20 Day50 Day100 Day200 Day
SMA57.2258.4161.0972.1380.2675.95
EMA56.8458.2560.9668.8274.0975.95
RSI (14) 32.3
ATR (14) 4.26
MFI (14) 14.3
Beta (1Y) -0.61
MACD -3.98 / Signal -4.12 / Hist. 0.14
Bollinger Upper (20, 2σ) 67.72
Bollinger Middle 61.09
Bollinger Lower 54.46
S3S2S1PivotR1R2R3
48.46 51.23 53.71 56.48 58.96 61.73 64.21
ADX (14) 37.2
ROC (21) -15.12%
ROC (125) -20.78%
Beta (1M) -0.59
Beta (3M) -0.61
Beta (1Y) -0.61
Beta (3Y) 0.78

Oscillators (textbook zones, not a buy/sell call)

OscillatorValueZone
Stochastic %K25.79Neutral
Stochastic RSI74.86Neutral
Williams %R-74.21Neutral
CCI (20)-115.11Oversold
Ultimate Oscillator42.07Neutral
Awesome Oscillator-5.68Below zero
Momentum (10)-4.38Below zero

Moving averages — price is above 0 of 8 SMAs and 0 of 8 EMAs

Window5 Day10 Day20 Day30 Day50 Day100 Day150 Day200 Day
SMA57.2258.4161.0962.7672.1380.2676.4175.95
EMA56.8458.2560.9663.9468.8273.6973.9672.52

Other pivot ladders

TypeS4S3S2S1PivotR1R2R3R4
Woodie——51.1653.5756.4158.8261.66——
Camarilla53.3054.7555.2355.71—56.6757.1557.6359.08
Fibonacci—51.2353.2454.4756.4858.4959.7261.73—

Performance by period

PeriodReturnLowHighWhere price sits
1D 3.5% 54.000059.2500
1W -3.9% 53.250062.4600
1M -15.1% 53.250068.7500
Qtr -38.0% 53.250071.9900
6M -38.0% 53.250071.9900
1Y -38.0% 53.250071.9900
3Y -0.5% 53.2500126.5000
5Y 310.1% 11.4000126.5000
7Y 337.3% 4.7400126.5000
10Y 435.1% 4.7400126.5000

Latest-bar candlestick shape None (shape only — trend context is not checked)