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Kotak Funds - India Midcap Fund A EUR Acc (0P0000WF91)

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17.008 -0.099    -0.58%
02/09 - Closed. Currency in EUR
  • Morningstar Rating:
  • Total Assets: 2.93B
Type:  Fund
Market:  Luxembourg
Issuer:  Kotak Mahindra Asset Management Co Ltd
ISIN:  LU0511423229 
Asset Class:  Equity
Kotak Funds - India Midcap Fund A EUR Acc 17.008 -0.099 -0.58%

0P0000WF91 Technical Analysis

 
Get a technical summary — strong buy, buy, neutral, sell or strong sell — for the Kotak Funds - India Midcap Fund A EUR Acc fund. Access moving averages (simple and exponential for 5, 10, 20, 50, 100 and 200 periods), chart indicators (RSI, Stochastics, StochRSI, MACD, ADX, CCI, ROC, Williams %R) and pivot points (Standard, Fibonacci, Camarilla, Woodie's, Demark's). All 0P0000WF91 studies are available across different time frames.
Summary:Sell
Moving Averages:SellBuy (5)Sell (7)
Technical Indicators:SellBuy (2)Sell (5)

Pivot PointsSep 02, 2026 19:11 GMT

Name S3 S2 S1 Pivot Points R1 R2 R3
Classic 17.107 17.107 17.107 17.107 17.107 17.107 17.107
Fibonacci 17.107 17.107 17.107 17.107 17.107 17.107 17.107
Camarilla 17.107 17.107 17.107 17.107 17.107 17.107 17.107
Woodie's 17.107 17.107 17.107 17.107 17.107 17.107 17.107
DeMark's - - 17.107 17.107 17.107 - -

Technical IndicatorsSep 02, 2026 19:11 GMT

Name Value Action
RSI(14) 47.209 Neutral
STOCH(9,6) 45.123 Neutral
STOCHRSI(14) 0.000 Oversold
MACD(12,26) 0.026 Buy
ADX(14) 47.730 Buy
Williams %R -96.735 Oversold
CCI(14) -103.7069 Sell
ATR(14) 0.0823 High Volatility
Highs/Lows(14) -0.1170 Sell
Ultimate Oscillator 47.989 Sell
ROC -1.341 Sell
Bull/Bear Power(13) -0.2400 Sell

Buy: 2

Sell: 5

Neutral: 2


Summary:Sell

Moving AveragesSep 02, 2026 19:11 GMT

Period Simple Exponential
MA5 17.135
Sell
17.100
Sell
MA10 17.093
Sell
17.129
Sell
MA20 17.173
Sell
17.108
Sell
MA50 17.011
Sell
16.912
Buy
MA100 16.445
Buy
16.728
Buy
MA200 16.542
Buy
16.694
Buy

Buy: 5

Sell: 7


Summary:Sell

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