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DEEPAK PAL

10th Feb · SEBI-Registered Analyst

Mahindra & Mahindra Ltd. (M&M) -“मजबूत बुनियाद, नतीजों पर बाजार की नजर।”

Detailed Technical Rationale Mahindra & Mahindra’s stock continues to trade in a broader positive structure on the medium- to long-term charts, supported by a strong uptrend seen over the past few quarters. However, in the short term, the stock has entered a consolidation phase as markets await the upcoming quarterly results. Momentum indicators reflect a balanced setup. The Relative Strength Index (RSI) is hovering in the neutral-to-positive zone, indicating that while the stock is not overbought, aggressive upside may require a fresh trigger. Volumes have moderated, which is typical ahead of a key event such as earnings. Technically, M&M remains structurally strong as long as it holds above key medium-term support zones. Any result-led breakout or breakdown is expected to decide the next directional move.

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Result Outlook – 11 February Mahindra & Mahindra is scheduled to announce its quarterly results on 11 February. Market expectations are broadly positive, supported by strong auto volumes and stable performance in the farm equipment segment. If SUV sales growth remains strong and margins show improvement or stability, results could be better than market expectations. A stable outlook from management on rural demand and future growth would further support sentiment. However, any pressure on margins due to higher costs or weaker-than-expected tractor performance could lead to short-term volatility. Overall, the result outlook is positive to stable, with focus on margins and forward guidance.
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Overall Result Outlook for M&M M&M’s upcoming results are expected to act as a short-term trigger. While the company remains fundamentally strong with long-term growth visibility, result-led volatility is likely in the near term. Direction post-results will depend on margin performance and management guidance.
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Daily Technical Chart Outlook on M&M on 10022026.pdf
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