| EMA 13 |
Moving Averages |
9.15 |
Buy
|
Price is NPR 0.12 (1.31%) above EMA 13. 13-day Exponential MA. Optimal for NEPSE (30% CAGR in backtest). Reacts fast to price changes. |
| EMA 20 |
Moving Averages |
9.15 |
Buy
|
Price is NPR 0.12 (1.31%) above EMA 20. 20-day EMA. Standard short-term trend filter used by most traders. |
| EMA 50 |
Moving Averages |
9.26 |
Buy
|
Price is NPR 0.01 (0.11%) above EMA 50. 50-day EMA. Medium-term trend. A cross of EMA 13 above EMA 50 is a strong buy signal for NEPSE. |
| SMA 13 |
Moving Averages |
9.12 |
Buy
|
Price is NPR 0.15 (1.64%) above SMA 13. 13-day Simple MA. Research shows this period gives the best risk-adjusted return on NEPSE (Sharpe 1.71). |
| SMA 20 |
Moving Averages |
9.07 |
Buy
|
Price is NPR 0.2 (2.21%) above SMA 20. 20-day SMA. Also the mid-line of Bollinger Bands. Acts as dynamic support/resistance. |
| SMA 50 |
Moving Averages |
9.29 |
Sell
|
Price is NPR 0.02 (0.22%) below SMA 50. 50-day SMA. Institutional-level trend gauge. Widely watched by NEPSE fund managers. |
| SMA 200 |
Moving Averages |
9.35 |
Sell
|
Price is NPR 0.08 (0.86%) below SMA 200. 200-day SMA. The dividing line between bull and bear markets. Price above = long-term bullish. Being below 200 SMA is bearish — historically NEPSE struggles to rally when below this level. |
| MACD (12,26,9) |
Trend |
0.04 |
Buy
|
MACD line (-0.01) is above Signal (-0.05). Histogram: 0.04 (narrowing). Bullish momentum is building — MACD crossing above signal is a buy trigger. Note: Standard 12-26-9 parameters tend to underperform buy-and-hold on NEPSE. Check the optimized MACD below. |
| MACD (34,72,3) |
Trend |
0.00 |
Buy
|
MACD(-0.12) vs Signal(-0.12), Histogram: 0.00. Bullish — momentum favors buyers. These parameters (34,72,3) were validated on frontier markets like Dubai (85% hit ratio) and are better suited for NEPSE's slower cycles than standard MACD. |
| SuperTrend (7,3) |
Trend |
9.57 |
Sell
|
SuperTrend line is at NPR 9.57 (resistance). Price is NPR 0.3 below the line. Downtrend active — the line acts as resistance overhead. A break above would flip to Buy. SuperTrend works well in trending NEPSE markets driven by herd behavior. |
| Parabolic SAR |
Trend |
8.95 |
Buy
|
SAR dot is below price at NPR 8.95 (bullish). Acts as a trailing stop — if price drops below 8.95, the trend flips bearish. Good for setting stop-loss levels. |
| ADX (14) |
Trend |
13.80 |
Buy
|
ADX is 13.8 (Weak/absent trend). +DI=18.0, -DI=12.0. Bulls dominate — +DI is above -DI. The trend is weak — range-bound strategies may work better than trend-following. |
| Ichimoku Cloud |
Trend |
9.19 |
Neutral
|
Tenkan=9.19, Kijun=9.17 (bullish cross). Price is below the cloud (bearish). Mixed signals — wait for clearer direction. |
| Aroon (25) |
Trend |
-52.00 |
Neutral
|
Aroon Up=0, Down=52. No clear trend. Aroon measures how recently the price hit a 25-day high (Up) or low (Down). Values above 70 confirm a trend. |
| DPO (20) |
Trend |
-0.02 |
Sell
|
DPO is -0.02. Negative — price is below its detrended average, suggesting a cyclical downturn. DPO removes long-term trend to show underlying cycles. Useful for timing entries within an existing trend. |
| RSI (14) |
Momentum |
54.70 |
Neutral
|
RSI is 54.7 — neutral zone. Standard zones are 70/30 but NEPSE research shows 60/40 zones work better due to strong momentum/herd behavior in Nepal's market. No extreme reading — RSI is not giving a strong signal on its own. Use with other indicators. RSI was the 2nd most important feature in ML models predicting NEPSE (arXiv 2026). |
| Stochastic (14,3,3) |
Momentum |
63.82 |
Sell
|
%K=63.8, %D=65.8. Bearish — %K is below %D, suggesting downward pressure. Stochastic compares closing price to its range over 14 days. |
| Stochastic RSI |
Momentum |
94.55 |
Sell
|
StochRSI %K=94.6. Overbought — more sensitive than regular RSI. A drop below 80 would confirm a sell signal. This is RSI applied to itself, making it faster at catching turning points. |
| CCI (20) |
Momentum |
68.84 |
Neutral
|
CCI is 68.8 (normal range). Between -100 and +100 is normal — no extreme deviation from average price. CCI measures how far price has deviated from its mean. Works well for identifying cyclical stocks in NEPSE. |
| Williams %R (14) |
Momentum |
-29.33 |
Neutral
|
Williams %R is -29.3. Mid-range — no extreme reading. Ranges from 0 to -100 where -50 is the midpoint. |
| ROC (12) |
Momentum |
3.98 |
Buy
|
ROC is 3.98%. Price has gained 3.98% over the last 12 days. Positive momentum — buyers have been in control recently. |
| TRIX (15) |
Momentum |
-0.10 |
Sell
|
TRIX is -0.0950. Negative — triple-smoothed momentum confirms downtrend. TRIX filters out minor price fluctuations by applying three rounds of smoothing. Good for confirming the major trend direction and filtering noise in NEPSE's often-volatile daily movements. |
| Awesome Oscillator |
Momentum |
-0.03 |
Sell
|
AO is -0.03. Negative — long-term momentum exceeds short-term, indicating bearish pressure. Watch for zero-line crossovers — crossing above zero is a buy, below is a sell. Twin peaks divergence is also a strong signal. |
| Ultimate Osc (7,14,28) |
Momentum |
58.77 |
Neutral
|
UO is 58.8. Mid-range. The Ultimate Oscillator blends 7, 14, and 28-day periods to reduce false signals that plague single-period oscillators. |
| PPO (12,26) |
Momentum |
0.14 |
Buy
|
PPO is 0.14%, Histogram: 1.03. Positive — 12-day EMA is above 26-day EMA in percentage terms, confirming upward momentum. PPO is like MACD but expressed as a percentage, making it easier to compare across different price levels. |
| Coppock Curve |
Momentum |
4.51 |
Buy
|
Coppock is 4.51. Positive — originally designed to identify long-term buying opportunities. A turn from negative to positive is historically one of the most reliable buy signals. This indicator was designed for monthly charts but works on daily data too. Best for identifying major trend changes in NEPSE. |
| 10d Rolling Mean |
Momentum |
9.16 |
Buy
|
10-day rolling mean is NPR 9.16. Price is NPR 0.11 above. This was the #1 most predictive feature in XGBoost ML models for NEPSE (arXiv 2026). Price above the 10-day mean suggests short-term bullish momentum. |
| ATR (14) |
Volatility |
0.26 |
—
|
ATR is NPR 0.26 (2.84% of price). This means the stock typically moves NPR 0.26 per day. Moderate volatility — normal trading conditions. Use ATR to set stop-losses: a common approach is 2x ATR (NPR 0.53) below entry. |
| Bollinger %B |
Volatility |
0.89 |
Sell
|
BB %B is 0.89 — price is in the upper 20% of the bands. Approaching overbought. Bandwidth: 5.70%. |
| BB/KC Squeeze |
Volatility |
|
—
|
SQUEEZE ACTIVE — Bollinger Bands are inside Keltner Channels. This means volatility is very low and a big move is coming. Prepare for a breakout. The Squeeze indicator is widely used to anticipate explosive moves. When the squeeze releases, the direction of the breakout determines whether to go long or short. |
| 5d Rolling Vol |
Volatility |
0.75 |
—
|
5-day rolling volatility is 0.75%. Very low (<1%) — market is calm. Breakout may be imminent. This was the 5th most important ML feature for predicting NEPSE returns. |
| Mass Index |
Volatility |
26.25 |
—
|
Mass Index is 26.25. Below 27 — no reversal bulge detected. Mass Index identifies trend reversals by measuring the range between high and low prices. |
| Ulcer Index |
Volatility |
3.20 |
—
|
Ulcer Index is 3.20 (low drawdown stress). It measures downside volatility by tracking the depth and duration of drawdowns from recent highs. Lower is better — values below 5 indicate a smooth uptrend, above 10 suggests painful drawdowns. |
| Donchian (20) |
Volatility |
9.47 |
Neutral
|
Price is at 70.7% of the 20-day Donchian Channel (Upper: 9.47, Lower: 8.79). Mid-channel — no extreme position. Donchian channels show the highest high and lowest low over 20 days. |
| MFI (14) |
Volume |
94.73 |
Sell
|
MFI is 94.7. Overbought — heavy buying volume has driven the indicator above 80. Smart money may start selling. MFI is like RSI but weighted by volume, making it more reliable for confirming price moves. |
| CMF (20) |
Volume |
-0.29 |
Sell
|
CMF is -0.2880. Negative — money is flowing OUT of the stock ({strength} distribution). Sellers dominate with volume support. CMF above +0.1 or below -0.1 is a strong signal. Near zero means balanced buying/selling. |
| OBV Trend |
Volume |
— |
Sell
|
OBV is falling over the last 20 days. Falling OBV suggests volume is declining or moving to sellers — bearish divergence if price is still rising. OBV adds volume on up-days and subtracts on down-days. The direction matters more than the absolute number. |
| VWAP |
Volume |
9.17 |
Buy
|
VWAP is NPR 9.17. Price is NPR 0.1 above VWAP. Price above VWAP means the average buyer is in profit — bullish. Institutional traders often use VWAP as a benchmark. |
| Elder Force (13) |
Volume |
-1646.36 |
Sell
|
EFI is -1,646. Negative — selling force exceeds buying force. Large negative values indicate aggressive selling. Elder Force Index combines price direction with volume to measure the force behind moves. |