GARUDA

Garuda Construction & Engineering Ltd.

Construction - Real Estate

Wait and Watch

Early Trend
Stage 2 VCP active

Setup readiness

Early Trend

Pivot Levels
₹195.3-205.6
Support Level
₹190.4
Resistance
₹245.5
Risk Distance
7.4% to stop

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

RS
57.0
ADX
17.0
Vol
41.0

Swing Edge Intelligence

Structured setup analysis · research only

Setup status · Mixed technical setup

Some technical elements are present, but overall momentum and structure remain mixed.

Relative strength Neutral
Breakout readiness Low
Accumulation Constructive

Bullish factors

  • Moderate distance from 52w high (-28% below).
  • Price remains distant from the pivot zone.
  • Relative strength remains low versus the broader market.
  • 1 prior pivot rejection in last 60d (-8 pts).
  • ATR 4.2%/day — healthy volatility (+4).
  • BB squeeze — energy building.
  • Extended +12%/10d — elevated stop risk (-10).
  • Pivot quality 28/100 — sloppy pivot zone.
  • 74% of profile volume above POC.
  • OBV divergence — price flat, volume rising: hidden strength.
  • Price holding above POC — bullish volume profile.
  • Recent volume expansion detected.

Risk factors

  • 3 distribution days observed recently
  • Price advancing while OBV shows divergence
  • Significant overhead supply (62%)

Overall view

Short-term accumulation signals are visible. Short-term compression is observed, though broader structure remains mixed.

Size this trade

Setup research

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

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

Positives

Price is 12% below the pivot

  • Stage 2 uptrend structure detected

Flagged yesterday

Context & regime

  • Market regime Mixed / range-bound
  • Trend stage Stage 2 — tradable
  • Sector Leading (#1/46) — tailwind
  • Relative strength Lagging (RS 57)
  • Trend strength Weak (ADX 17)

Negatives

This idea is wrong below ₹190.4 (-6.2% away)

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

  • Stop / base low₹190.4
  • Pivot — failure re-entry below₹204.6

Risk distance

7.4% to stop
1.7× ATR
2.6× R:R
19.4% reward

Risk ≈ ₹15.17/share from entry ₹205.6.

Reasons to skip 3

Disqualifiers that apply even if the score looks good.

  • 3 distribution days observed recently
  • Price advancing while OBV shows divergence
  • Significant overhead supply (62%)
Setup metrics Latest scan

GARUDA Technical Analysis & Swing Setup

Grouped structure, momentum and risk from the latest research scan.

Volume Profile bullish

POC
₹172.17
VAH
₹196.27
VAL
₹169.16
Vol above POC
74.2%

Institutional Activity · Moderate Accumulation

Avg cost basis
₹182.19
Acc zone
₹137.4–199.6
Accumulation sessions
4
CMF
0.11

Structure

Trend / stage
Stage 2 (Early)
Stage 2
Weekly trend
Above 30-wk MA (flat)
Above 30W
RS rank
57.0
Weakening
ADX
17.0
Weak

Momentum

RSI
56.0
Strong
Recent move (10d / 20d)
+12.4% / +0.8%
Extended
Volume quality
41.0
Thin
Relative strength
Neutral
Neutral

Risk

Failure risk
36.0
Moderate
ATR % / day
4.2%
Healthy
Distribution
3 day(s)
Accumulation
Volatility
6 VCP
Contracting
More scanner fields
Sector RS 9.5%
Base 16w · 36.5%
VCP waves 6x
Vol dry-up No
Avg value ₹7.7 Cr
Failure flags Overhead supply, Deep base

GARUDA 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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GARUDA FAQ Common swing-trading questions

Frequently asked questions about GARUDA

What are the screener observations for GARUDA?

On Swing Edge's swing-setup framework, Garuda Construction & Engineering Ltd. (GARUDA) currently grades C — mixed — needs patience. Price is 12% below the pivot. Flagged yesterday. This is educational research, not investment advice.

What are GARUDA's support and resistance levels?

For GARUDA, near-term support sits around ₹190.4 (the base/stop zone); overhead resistance is around ₹204.6 (the breakout pivot); the next resistance above is ₹245.5. This is educational research, not investment advice.

What is the breakout / pivot level for GARUDA?

The breakout pivot for GARUDA is around ₹204.6. Price is about 12.4% 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 GARUDA above its 50-day and 200-day moving averages?

Yes — GARUDA 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 GARUDA versus the market (RS rank)?

GARUDA has a relative strength (RS) rank of 57 out of 100 versus the NSE universe, making it lagging the broader market on relative strength. Trend strength (ADX) reads 17, indicating a weak/choppy 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 2026-06-28 — not live intraday NSE quotes.