(KOTAKBANK) Kotak Mahindra complete technical analysis [charts+indicators] | Buy/Sell Kotak Mahindra | (KOTAKBANK) share price targets
Complete technical analysis of Kotak Mahindra (KOTAKBANK) by charts plus indicators, forecast predictions and share price targets for Kotak Mahindra (KOTAKBANK)
Kotak Mahindra trades in NSE in Banks sector.
10 day averaged volume of Kotak Mahindra is 3686816
Date | Daily Closing Price | Open | High | Low | Volume |
14 Thu Aug 2025 | 1978.20 | 1988.00 | 1993.50 | 1975.50 | 0.538 times |
13 Wed Aug 2025 | 1987.70 | 1968.00 | 1996.30 | 1962.20 | 0.745 times |
12 Tue Aug 2025 | 1959.00 | 1975.00 | 1985.90 | 1956.40 | 0.428 times |
11 Mon Aug 2025 | 1975.90 | 1964.00 | 2024.00 | 1956.40 | 0.597 times |
08 Fri Aug 2025 | 1952.70 | 1993.90 | 1999.50 | 1948.20 | 0.593 times |
07 Thu Aug 2025 | 1992.10 | 1981.00 | 1995.50 | 1965.00 | 3.947 times |
06 Wed Aug 2025 | 2002.40 | 2003.00 | 2025.60 | 1992.70 | 0.722 times |
05 Tue Aug 2025 | 2003.00 | 2008.00 | 2008.00 | 1994.80 | 0.657 times |
04 Mon Aug 2025 | 1997.00 | 1987.00 | 2007.00 | 1982.10 | 0.419 times |
01 Fri Aug 2025 | 1992.40 | 1983.00 | 2007.00 | 1972.10 | 0.725 times |
My analysis of stock is bearish for shortterm, but stock is semi over sold and there are some chances of seeing a recovery tomorrow. Use 1951.2 as stoploss in an intra day buy trade for a target of 2031.05. However, stock will show a bearish move below 1951.2.
Share price targets for Kotak Mahindra (KOTAKBANK)
Target Type | Value |
Downside Target | 1935.00 |
Upside Target | 2000.80 |
Upside Target | 2055.30 |
Upside Target | 2118.30 |
Upside Target | 2131.00 |
Upside Target | 2179.80 |
Upside Target | 2223.60 |
Upside Target | 2233.60 |
Upside Target | 2242.70 |
Upside Target | 2301.90 |
Intraday share price targets for Kotak Mahindra (KOTAKBANK)
Target Type | Value |
Downside Intraday Target | 1948.4 |
Downside Intraday Target | 1918.6 |
Upside Intraday Target | 2016 |
Upside Intraday Target | 2053.8 |
Upside Intraday Target | 1986.2 |
Weekly technical analysis of Kotak Mahindra (KOTAKBANK)
Date | Weekly Closing Price | Open | High | Low | Volume |
14 Thu Aug 2025 | 1978.20 | 1964.00 | 2024.00 | 1956.40 | 0.364 times |
08 Fri Aug 2025 | 1952.70 | 1987.00 | 2025.60 | 1948.20 | 0.794 times |
01 Fri Aug 2025 | 1992.40 | 2025.30 | 2055.30 | 1935.00 | 2.948 times |
25 Fri Jul 2025 | 2124.60 | 2138.10 | 2179.80 | 2118.30 | 0.805 times |
18 Fri Jul 2025 | 2140.50 | 2223.90 | 2233.60 | 2131.00 | 0.617 times |
Price has moved up this week, but volume has not increased substantially. This means that the move can be temporary and might not continue in coming weeks.
Monthly technical analysis of Kotak Mahindra (KOTAKBANK)
Date | Monthly Closing Price | Open | High | Low | Volume |
14 Thu Aug 2025 | 1978.20 | 1983.00 | 2025.60 | 1948.20 | 0.424 times |
31 Thu Jul 2025 | 1978.60 | 2163.50 | 2242.70 | 1935.00 | 0.945 times |
30 Mon Jun 2025 | 2163.50 | 2067.00 | 2233.60 | 2033.80 | 1.072 times |
30 Fri May 2025 | 2074.70 | 2204.00 | 2223.60 | 2050.70 | 1.037 times |
Scroll below to view daily charts
Price has moved down this month, but volume has not increased substantially. This means that the move can be temporary and might not continue in coming months.
Indicators analysis of Kotak Mahindra (KOTAKBANK)
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a short term time period is negative, but trend is highly volatile. A longer duration price action analysis might give a better picture of the trend in this stock.
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a short term time period is positive, but trend is highly volatile. A longer time period analysis might give a better idea of the trend.
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a short to mid term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a mid to longer term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
ADX buy sell signal for Kotak Mahindra stock for short term is SELL. Signal strength is Strong and stock is gaining momentum.
MACD generated a SELL signal for Kotak Mahindra in short term and the sell signal is strong.
MACD line is moving upwards which means that SELL signal is weakening, and buying is picking up momentum.
Kotak Mahindra Stock in short term is moving inside a range for now. Please check in a day or two to for a better buy sell signal. Bears are getting stronger in this stock.
Ichimoku cloud is of red color and prices are below the red cloud Prices appear to be coming down
CCI has generated a buy signal for Kotak Mahindra in short term but BUY signal is weak.
RSI is generating a SELL signal in short term but selling is losing momentum.
MRSI is in positive zone. This is a BUY zone
Although the stock is in the BUY zone, but buying might be slowing down
Stock of Kotak Mahindra is picking up selling momentum according to indicator.
Volume based indicators are showing selling momentum.
Volume Weighted Averaged Price (VWAP) for short term is 1987.71 and Kotak Mahindra (KOTAKBANK) stock is trading below this level. This means that stock is falling with high volumes. VWAP is rising upwards.
People seem to be coming out and selling the Kotak Mahindra (KOTAKBANK) stock. Volume based technical analysis of Kotak Mahindra (KOTAKBANK) stock is negative.
Kotak Mahindra Stock has given negative returns over a short term period. Returns for a longer term period have been negative.
Force Index is moving in a negative zone, which indicates selling momentum for short term... Selling momentum is getting weaker.
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a short term time period is negative, but trend is highly volatile. A longer duration price action analysis might give a better picture of the trend in this stock.
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a short term time period is positive, but trend is highly volatile. A longer time period analysis might give a better idea of the trend.
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a short to mid term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
Price action analysis of Kotak Mahindra ( (KOTAKBANK) ) based on a mid to longer term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
ADX buy sell signal for Kotak Mahindra stock for short term is SELL. Signal strength is Strong and stock is gaining momentum.
MACD generated a SELL signal for Kotak Mahindra in short term and the sell signal is strong.
MACD line is moving upwards which means that SELL signal is weakening, and buying is picking up momentum.
Kotak Mahindra Stock in short term is moving inside a range for now. Please check in a day or two to for a better buy sell signal. Bears are getting stronger in this stock.
Ichimoku cloud is of red color and prices are below the red cloud Prices appear to be coming down
CCI has generated a buy signal for Kotak Mahindra in short term but BUY signal is weak.
RSI is generating a SELL signal in short term but selling is losing momentum.
MRSI is in positive zone. This is a BUY zone
Although the stock is in the BUY zone, but buying might be slowing down
Stock of Kotak Mahindra is picking up selling momentum according to indicator.
Volume based indicators are showing selling momentum.
Volume Weighted Averaged Price (VWAP) for short term is 1987.71 and Kotak Mahindra (KOTAKBANK) stock is trading below this level. This means that stock is falling with high volumes. VWAP is rising upwards.
People seem to be coming out and selling the Kotak Mahindra (KOTAKBANK) stock. Volume based technical analysis of Kotak Mahindra (KOTAKBANK) stock is negative.
Kotak Mahindra Stock has given negative returns over a short term period. Returns for a longer term period have been negative.
Force Index is moving in a negative zone, which indicates selling momentum for short term... Selling momentum is getting weaker.
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Daily charts
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