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Hitachi Energy (POWERINDIA)

Predictions Overview

1Y Prediction

Target Price: ₹23,310.37

Expected Return: 80.46%

Confidence: 9.38%

2Y Prediction

Target Price: ₹33,606.19

Expected Return: 160.17%

Confidence: 9.24%

3Y Prediction

Target Price: ₹44,447.73

Expected Return: 244.10%

Confidence: 9.19%

Technical Analysis

PeriodPrice TargetExpected ReturnConfidenceVolatilityCI LowCI High
1Y₹23,310.37 80.46%9.38%16.56%₹23,308.20₹23,312.54
2Y₹33,606.19 160.17%9.24%16.29%₹33,603.15₹33,609.24
3Y₹44,447.73 244.10%9.19%16.23%₹44,443.72₹44,451.74

Market States Analysis

PeriodState 1ProbabilityState 2ProbabilityState 3Probability
1YModerately Bullish High Volati76%Moderately Bullish High Volati23%unknown0%
2YModerately Bullish High Volati70%Moderately Bullish High Volati29%unknown0%
3YModerately Bullish High Volati69%Moderately Bullish High Volati30%unknown0%

Market Regime Analysis

Current Regime: high_volatility_bullish

1 Year Analysis

Week 52 Projection:
Target Price: 23310.37 (+80.5% expected return)

Market Analysis (Week 52):
Technical Indicators:
- ADX: 30.5
- RSI Analysis: Neutral at 51.3
- RSI Adaptive range: 30.0 - 65.4
- Volume Profile: Neutral.

MACD Analysis:
• MACD Line: 715.09
• Signal Line: 888.24
• Signal: Bearish (moderate momentum)
• Trend Divergence: MACD bearish but RSI above centerline

Volatility Analysis:
• High volatility environment at 37% level

Dominant Market States:
• Moderately Bullish High Volatility (23.9% probability)
Average Duration: 22.2 weeks
- High volatility expected in this state
• Moderately Bullish High Volatility (76.1% probability)
Average Duration: 26.9 weeks
- High volatility expected in this state