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Apar Industries (APARINDS)

Predictions Overview

1Y Prediction

Target Price: ₹17,238.03

Expected Return: 71.03%

Confidence: 7.30%

2Y Prediction

Target Price: ₹21,892.00

Expected Return: 117.21%

Confidence: 7.11%

3Y Prediction

Target Price: ₹26,114.77

Expected Return: 159.10%

Confidence: 7.09%

Technical Analysis

PeriodPrice TargetExpected ReturnConfidenceVolatilityCI LowCI High
1Y₹17,238.03 71.03%7.30%18.08%₹17,234.08₹17,241.97
2Y₹21,892.00 117.21%7.11%18.13%₹21,886.93₹21,897.08
3Y₹26,114.77 159.10%7.09%18.15%₹26,108.68₹26,120.85

Market States Analysis

PeriodState 1ProbabilityState 2ProbabilityState 3Probability
1YNeutral High Volatility17%Strong Bullish High Volatility46%Moderately Bullish High Volati36%
2YNeutral High Volatility23%Strong Bullish High Volatility35%Moderately Bullish High Volati40%
3YNeutral High Volatility25%Strong Bullish High Volatility33%Moderately Bullish High Volati41%

Market Regime Analysis

Current Regime: high_volatility_bullish

1 Year Analysis

Week 52 Projection:
Target Price: 17238.03 (+71.0% expected return)

Market Analysis (Week 52):
Technical Indicators:
- ADX: 37.5
- RSI Analysis: Overbought at 54.7
- RSI Adaptive range: 23.1 - 43.1
- Volume Profile: Neutral.

MACD Analysis:
• MACD Line: 543.37
• Signal Line: 565.90
• Signal: Bearish (moderate momentum)
• Trend Divergence: MACD bearish but RSI above centerline

Volatility Analysis:
• High volatility environment at 23% level

Dominant Market States:
• Neutral High Volatility (17.3% probability)
Average Duration: 14.6 weeks
- High volatility expected in this state
• Moderately Bullish High Volatility (36.1% probability)
Average Duration: 21.9 weeks
- High volatility expected in this state