Base Formation · 2026-06-25 · Finance - Investment

CGCL

Capri Global Capital Ltd.

Strong momentum structure

Early Trend
Stage 2 RS leader VCP active

Setup readiness

Early Trend

Pivot Levels
₹208.3-227.1
Support Level
₹214.0
Resistance
₹271.2
Risk Distance
5.8% to stop

Reference levels for educational study only. Not a recommendation to buy or sell.

RS
71.0
ADX
45.0
Vol
39.0

Swing Edge Intelligence

Structured setup analysis · research only

Setup status · Strong leadership structure

Trend, relative strength and setup quality align with leading momentum names.

Relative strength Constructive
Breakout readiness High
Accumulation Constructive

Bullish factors

  • RS 71 below preferred 75+ (-6).
  • Volume quality 39 weak (-5).
  • Price is approaching the pivot zone.
  • ATR 3.0%/day — healthy volatility (+4).
  • Action-ready zone: RS and pivot distance aligned (+5).
  • MACD bearish divergence — price firm but histogram fading (−4).
  • Quality decay ×0.91 on raw 119 → 108.
  • RS ×0.91 (rank 71).
  • Recent volume expansion — institutional participation may be returning.
  • Volume flow suggests quiet institutional accumulation.
  • Volume persistence 2/3 — capped at Strong.
  • Accumulation/Distribution rating supports institutional demand.

Risk factors

Overall view

Short-term accumulation is visible, though it should be weighed against trend and RS context. Leadership metrics are generally constructive, but select risk factors below deserve attention.

Size this trade

Setup research

CGCL — trend, RS & risk snapshot (not a trade recommendation)

Signal · context · invalidation · risk · skip reasons — research only

Positives

Coiled at the pivot — breakout trigger is imminent

  • RS line at new highs — leadership intact
  • Confirmed Stage 2 uptrend

Flagged today

Context & regime

  • Market regime Mixed / range-bound
  • Trend stage Stage 2 — tradable
  • Sector Lagging (#33/40) — headwind
  • Relative strength Building (RS 71)
  • Trend strength Strong (ADX 45)

Negatives

This idea is wrong below ₹214.0 (1.6% away)

Base / stop support breaks — the swing thesis is wrong below here

  • Stop / base low₹214.0
  • Pivot — failure re-entry below₹226.0

Risk distance

5.8% to stop
1.9× ATR
3.3× R:R
19.4% reward

Risk ≈ ₹13.13/share from entry ₹227.1.

No major skip flags detected from current scanner data.

Setup metrics Base Formation

CGCL Technical Analysis & Swing Setup

Grouped structure, momentum and risk from the latest base formation scan.

Volume Profile bullish
POC₹185.4
VAH₹209.36
VAL₹173.43
Vol above POC76.0%
Institutional Activity — Neutral
Avg cost basis₹189.68
Acc zone₹163.5–219.2
Accumulation Sessions6
CMF-0.03

Structure

Trend / stage
Stage 2
Stage 2
Weekly trend
Above rising 30-wk MA
Uptrend
RS rank
71.0
Building
ADX
45.0
Strong

Momentum

RSI
66.0
Strong
Recent move (10d / 20d)
+9.1% / +14.5%
Neutral
Volume quality
39.0
Thin
Relative strength
Constructive
Leader

Risk

Failure risk
0.0
Low risk
ATR % / day
3.0%
Healthy
Distribution
1 day(s)
Neutral
Volatility
6 VCP
Contracting
More scanner fields
Sector RS 0.0%
Base 16w · 33.1%
VCP waves 6x
Vol dry-up No
Avg value ₹67.4 Cr
Failure flags None

CGCL Support & Resistance Levels

AI insights

AI Insights

Generated with AI

These insights are AI-generated to support your research process and should not be treated as investment advice or a recommendation to buy or sell securities.

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Pattern context 52w · setup · flow

52-week range

Stage-2 ideal band  ·  Early recovery

Pattern highlights

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Pattern signals from the latest scan

Smart money flow

Last 60 sessions · accumulation vs distribution

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Session flow 60 trading days
OBV trend On-balance volume · same window
·
Accumulation Distribution Neutral
Setup intelligence Overhead · VCP · radar · risk

Overhead supply

Resistance ceiling above current price

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Chase / failure risk

Honest read on exhaustion & extended moves

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Base / VCP coil

Depth, contractions & pivot distance

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Setup quality radar

Shape of the setup in one view

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Peer comparison Sector peers

Sector Peer Comparison

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CGCL FAQ Common swing-trading questions

Frequently asked questions about CGCL

What are the screener observations for CGCL?

On Swing Edge's swing-setup framework, Capri Global Capital Ltd. (CGCL) currently grades A — high-quality setup. Coiled at the pivot — breakout trigger is imminent. Flagged today. This is educational research, not investment advice.

What are CGCL's support and resistance levels?

For CGCL, near-term support sits around ₹214.0 (the base/stop zone); overhead resistance is around ₹226.0 (the breakout pivot); the next resistance above is ₹271.2. This is educational research, not investment advice.

What is the breakout / pivot level for CGCL?

The breakout pivot for CGCL is around ₹226.0. Price is about 3.8% below the pivot and still building toward it. A breakout is typically confirmed on a close above the pivot with above-average volume. This is educational research, not investment advice.

Is CGCL above its 50-day and 200-day moving averages?

Yes — CGCL is in a confirmed Stage 2 uptrend, trading above its rising 50- and 200-day moving averages, the zone where swing setups tend to work best. This is educational research, not investment advice.

How strong is CGCL versus the market (RS rank)?

CGCL has a relative strength (RS) rank of 71 out of 100 versus the NSE universe, making it building relative strength and outperforming the broader market. Trend strength (ADX) reads 45, indicating a strong trend. This is educational research, not investment advice.

Answers are generated from Swing Edge's latest scan data and are for research only — not investment advice.

Prices and day-change figures use the last daily close from scan data dated 2026-06-25 — not live intraday NSE quotes.