Close 10 Sep 1505 scanned A
NIFTY 5023,477.80+0.20%
BANK NIFTY56,471.95+0.31%
INDIA VIX11.80-1.05%
MIDCAP 15022,904.25-0.38%
SMALLCAP 25018,433.40+0.01%
NEXT 5072,530.90-0.44%
BREADTH61%above 200-DMA
ADV / DEC558 / 939
NSE close 10 Sep

What I already hold

The side nobody builds a dashboard for. Every other page on this site is about what to buy. This one is about what is quietly going wrong in a portfolio you already own — distribution days, broken long averages, stocks stretched far enough from their mean that the next move is usually back toward it.

Scans on this page
19
Matches today
3818
Beat the market at 20d
16 of 19
Read these as questions, not verdicts. A stock appearing here is not a reason to sell; it is a reason to go and look at why it is here. Several of these scans were measurably positive forward returns in the backtest — fear is not an edge.

Your stocks

the names you have saved · kept in this browser, never sent anywhere
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What is firing on yours

the warning scans matching stocks you have saved
Checking your saved stocks…
558 up · 939 down TRENDING UP MARKET
37% of the 1505 stocks scanned closed higher on 10 September 2026, and 911 (61%) are above their 200-day average.
Universe trend · last 60 sessions
+6.25%

Across the whole market

every stock showing these signs, whether you hold it or not

Shortlist — Flagged by more than one warning scan

171 stocks · 19 scans on this page
These are the names where two or more of the scans on this page point at the same stock today. Agreement is not proof — but a single scan firing is close to noise, and this is the cheapest filter there is against it.
StockToday1 week1 monthAppears inCloseScans60-day trend
WELCORP+6.46%+5.12%+48.69%2,776.907
ACSTECH−3.55%+14.14%+15.51%57.867
VSTTILLERS+0.17%−2.25%−8.11%4,081.306
TFCILTD+1.04%−2.41%+24.36%143.176
SHILPAMED−2.15%−1.70%+16.73%939.906
STLTECH−1.29%+19.84%+31.30%854.756
VALIANTORG+4.99%+19.39%+16.03%377.456
PRABHA+0.41%+12.04%+56.10%247.586
VALIANTLAB+4.15%+23.65%+66.93%124.806
TNPETRO−3.24%−3.39%+24.70%133.146
SYNCOMF−4.37%−9.83%+21.28%19.266
TARIL−2.34%−3.54%−0.85%289.956
TrendMomentumFundamentalPatternRisk

The scans, best first

ordered by measured 20-session return, not by category
Profit that turns into cash163
Reported profit is an opinion; cash is a fact. When a company books earnings that never arrive as cash, the gap is sitting in receivables or inventory, and that is how accounting problems begin.
End of day · 10 September 2026
StockToday1W1M3MCash conv
SAPPHIRE−1.54%−2.03%−3.29%+29.21%5437%
TEGA+2.58%+10.87%+5.74%−3.37%4183%
WESTLIFE+0.08%+3.96%−5.51%+18.71%3202%
TVSSCS+3.27%−0.62%−0.23%−4.36%2644%
MANAPPURAM+3.37%−2.99%−6.18%+4.14%1400%
SOLARA+2.43%+12.29%+39.88%+17.64%923%
TARSONS−1.15%−5.60%+1.55%+53.65%909%
PRAJIND+0.05%−4.32%+0.77%−3.00%664%
STOVEKRAFT+0.09%+0.04%+5.12%+27.37%654%
PNCINFRA−0.89%−3.04%−20.54%−13.99%627%
ZIMLAB+2.31%+6.57%+26.73%+20.10%610%
VARROC+5.36%+5.39%+5.77%+51.70%586%
Operating cash flow at least 80% of trailing profit, revenue growingall 163 →
Over 20 sessions, across 9,184 past signals: 59% finished higher, average +3.68% (+12.1pt on hit rate)beat the market by 2.73pt2.6% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: SAPPHIRE ×15, TEGA ×15, WESTLIFE ×15
Profit on paper, not in cash74
On the risk side deliberately. This is not proof of anything wrong — a genuinely growing company funds working capital and shows exactly this pattern. It is a reason to open the cash flow statement rather than to trust the profit line.
End of day · 10 September 2026
StockToday1W1M3MCash conv
MAXESTATES+2.50%+5.47%+33.07%+28.27%-5083%
POONAWALLA+0.18%−3.38%−7.17%+12.49%-2768%
PNBGILTS+1.13%+2.20%−0.06%−11.78%-2484%
SEPC−1.31%−1.49%−12.27%−27.93%-1192%
PIRAMALFIN−0.64%+2.81%+10.72%+14.24%-940%
MANCREDIT−0.73%−5.54%−10.21%−2.45%-634%
MASFIN+1.92%+0.60%−2.77%−5.35%-447%
SBFC−1.11%−1.42%+4.75%+6.10%-412%
PNBHOUSING+3.24%+2.92%+1.85%+15.90%-388%
SHAH+0.85%+1.43%−13.45%−28.19%-376%
SUNDARMFIN−0.53%+2.73%+5.13%+5.29%-297%
SATIN+1.08%−0.98%−2.78%−6.42%-263%
Profitable on the P&L but operating cash flow below 40% of profitall 74 →
Over 20 sessions, across 3,884 past signals: 55% finished higher, average +2.94% (+7.4pt on hit rate)beat the market by 1.99pt1.1% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: MAXESTATES ×15, POONAWALLA ×15, SEPC ×15
More cash than borrowings112
A company that owes less than it holds cannot be forced by a lender. It is the cheapest form of resilience there is, and it is rarer in India than most people assume.
End of day · 10 September 2026
StockToday1W1M3MNet cash
SBIN+0.92%−1.34%−6.68%−1.09%401,843 cr
PNB+1.07%+0.46%−1.79%+8.23%164,122 cr
YESBANK−0.54%−1.06%−2.96%−6.22%38,347 cr
SOUTHBANK−0.71%−3.40%−0.30%−1.79%10,141 cr
TCS−0.18%−5.00%−6.20%+1.95%6,417 cr
SHRIRAMFIN+0.87%−0.59%−7.09%+3.73%5,746 cr
SUNPHARMA−0.21%−2.87%−4.27%+3.05%5,689 cr
MANAPPURAM+3.37%−2.99%−6.18%+4.14%5,048 cr
POWERINDIA−1.22%−2.52%−12.86%−10.09%4,689 cr
TVSHLTD+0.11%−0.17%−9.62%−2.88%4,621 cr
UCOBANK−0.21%−2.88%−8.56%−8.59%4,373 cr
TMB+0.15%−1.99%+7.64%+19.30%4,215 cr
Net debt negative, profitable across the last four filed quartersall 112 →
Over 20 sessions, across 6,919 past signals: 55% finished higher, average +2.42% (+7.9pt on hit rate)beat the market by 1.47pt1.9% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: SBIN ×15, PNB ×15, YESBANK ×15
Falling on heavy volume37
Down meaningfully on above-average volume — institutions selling, not retail drift.
End of day · 10 September 2026
StockToday1W1M3M× avg vol
MANAKCOAT−1.62%+3.08%+5.85%+16.26%4.8×
SHIVALIK−4.70%+17.04%+38.34%+66.73%4.5×
AFCONS−4.85%−11.49%−2.65%−19.78%4.4×
SILVERTUC−4.98%−10.44%−26.17%−27.05%4.1×
HUHTAMAKI−2.17%+1.49%−5.87%+49.36%3.9×
LUMAXIND−5.68%−8.14%−1.76%+9.33%3.7×
PFIZER−1.81%−11.81%−18.38%−9.35%3.7×
GARFIBRES−3.70%−1.94%+2.04%+15.45%3.4×
GRAPHITE−2.35%+14.35%+13.57%+24.79%3.4×
UTKARSHBNK−6.92%−0.60%+4.89%+9.87%3.4×
WHEELS−3.65%+39.81%+70.07%+43.83%3.4×
DDEVPLSTIK−3.60%−6.06%−11.98%−0.08%2.7×
Distribution dayall 37 →
Over 20 sessions, across 11,619 past signals: 52% finished higher, average +2.40% (+4.5pt on hit rate)beat the market by 1.45pt3.3% of the market
Live: fired on 18 of 18 sessions · 11.5 stocks a dayrepeat: ALOKINDS ×5, RRKABEL ×3, VIPIND ×2
Growing fast and near a high154
The two disciplines agreeing. Price near a high says the market has noticed; revenue growth says there is something to notice. Either alone is common; together is not.
End of day · 10 September 2026
StockToday1W1M3MBelow high
CRAFTSMAN+0.38%+5.62%+12.75%+26.93%0.0%
FCL+0.48%+21.28%+37.66%+41.47%0.0%
INDNIPPON+4.24%+23.40%+17.69%+49.85%0.0%
FLUOROCHEM+0.66%+1.95%+4.83%+29.88%0.0%
VALIANTLAB+4.15%+23.65%+66.93%+66.87%0.0%
IKIO+5.36%+11.24%+7.83%+42.72%0.0%
KROSS+5.40%+9.56%+13.07%+25.57%0.0%
LOTUSDEV+5.00%+12.59%+19.55%+55.08%0.0%
SUGSLLOYD+14.81%+22.58%+56.86%+132.59%0.0%
NEOGEN+5.93%+11.78%+15.51%+15.72%0.0%
CHENNPETRO+1.37%+12.94%+17.90%+34.35%0.0%
EBGNG+0.32%+8.98%+18.04%+51.19%0.0%
Revenue up more than 20% year on year and within 5% of the 52-week highall 154 →
Over 20 sessions, across 15,457 past signals: 53% finished higher, average +1.92% (+5.4pt on hit rate)beat the market by 0.97pt4.3% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: FCL ×8, ENTERO ×8, CYIENTDLM ×8
Heavily borrowed and earning less2
Leverage is only a problem when earnings fall, which is precisely the combination here. Interest does not decline with profit.
End of day · 10 September 2026
StockToday1W1M3MD/E
TATACOMM−0.47%+4.01%+1.62%−8.76%3.1x
SJVN+0.48%+3.42%+0.13%−8.12%2.3x
Debt to equity above 2 with profit down year on yearall 2 →
Over 20 sessions, across 189 past signals: 39% finished higher, average +2.28% (-8.1pt on hit rate)beat the market by 1.33pt0.1% of the market
Live: fired on 15 of 18 sessions · 1.7 stocks a dayrepeat: TATACOMM ×15, SJVN ×15
Growing fast, sold off anyway234
A deliberately uncomfortable screen. The accounts improved and the price fell, so either the market knows something the last filing does not show, or it has overreacted. This does not tell you which — it tells you where to look.
End of day · 10 September 2026
StockToday1W1M3MRSI
HMAAGRO−0.20%−4.54%−8.35%−13.05%6
KAMAHOLD−0.54%−2.40%−8.40%−12.85%7
RAILTEL−0.42%−3.03%−8.08%−17.58%8
SILVERTUC−4.98%−10.44%−26.17%−27.05%10
BDL−1.90%−4.99%−10.82%−1.22%10
ENDURANCE−1.44%−1.41%−10.06%+3.81%12
ROSSARI−0.58%−1.64%−11.06%−12.12%12
ARE&M−1.56%−4.79%−15.49%−2.14%12
LMW−2.32%−7.26%+0.36%+11.29%12
SUMICHEM−0.18%−3.50%−12.14%+1.34%12
DAVANGERE+9.14%−6.37%−38.19%−47.81%12
M&M−0.83%−0.83%−8.22%−0.34%14
Revenue up more than 20% year on year with RSI below 40all 234 →
Over 20 sessions, across 29,180 past signals: 51% finished higher, average +2.06% (+4.0pt on hit rate)beat the market by 1.11pt8.2% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: ASTRAZEN ×14, SUBROS ×13, STYRENIX ×9
Growth that is speeding up351
Not just growth — a SECOND derivative. A company growing 20% after growing 10% is telling you something a company growing a steady 20% is not. Acceleration is what forces analysts to revise, and revisions are what move price.
End of day · 10 September 2026
StockToday1W1M3MAccel
KERNEX−0.39%−0.01%−21.24%−16.09%+594pt
ARVSMART−1.35%−6.56%−10.29%+0.40%+217pt
E2E+0.23%+2.23%−4.04%+57.19%+206pt
BDL−1.90%−4.99%−10.82%−1.22%+204pt
MUKKA+2.38%+6.44%+26.43%+26.64%+187pt
SERVOTECH−0.28%−3.28%−6.75%−25.18%+183pt
NHCFOODS−4.93%−21.77%+63.08%+69.60%+142pt
TNPETRO−3.24%−3.39%+24.70%+47.85%+140pt
ARROWGREEN−1.41%+1.84%+0.90%+39.96%+138pt
PANAMAPET−1.35%+1.47%+2.31%+28.87%+132pt
JIOFIN−0.32%−3.03%−10.08%−3.87%+121pt
GCSL+2.14%+4.79%+22.42%+42.50%+113pt
Revenue YoY accelerating vs the prior quarter, with profit also growingall 351 →
Over 20 sessions, across 57,921 past signals: 50% finished higher, average +1.74% (+2.9pt on hit rate)beat the market by 0.79pt16.2% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: KERNEX ×15, ARVSMART ×15, E2E ×15
Stretched far above trend183
Run up a long way, fast. Not a sell signal — a reminder that entering here means buying well above where the trend actually is.
End of day · 10 September 2026
StockToday1W1M3MAbove 50d
BODALCHEM−5.00%+10.18%+141.51%+150.51%+95%
CHANDRIMA−2.00%−6.85%+92.66%+145.48%+73%
TBZ−4.99%+14.66%+111.59%+166.96%+70%
PVP+2.42%+1.85%+93.56%+113.23%+66%
PATILAUTOM+2.29%+21.65%+60.25%+118.84%+61%
VALIANTLAB+4.15%+23.65%+66.93%+66.87%+58%
SUGSLLOYD+14.81%+22.58%+56.86%+132.59%+57%
SHANTIGEAR+2.50%+24.48%+81.73%+62.17%+55%
ESCONET+2.60%+11.06%+43.24%+110.41%+55%
KABRAEXTRU+6.73%+25.27%+42.97%+194.43%+54%
CORDSCABLE+0.12%+19.87%+55.89%+63.62%+53%
MONOLITH+4.44%+12.46%+54.56%+110.35%+52%
More than 15% above the 50 DMAall 183 →
Over 20 sessions, across 27,245 past signals: 49% finished higher, average +1.82% (+2.0pt on hit rate)beat the market by 0.87pt7.6% of the market
Live: fired on 18 of 18 sessions · 11.6 stocks a dayrepeat: PVP ×16, MOREPENLAB ×14, KABRAEXTRU ×11
Earns well on the capital it uses91
The single number a fundamental investor reaches for first. A business earning 18% on its capital is compounding; one earning 8% is running to stand still. The leverage condition matters because return on capital is trivially inflated by borrowing more.
End of day · 10 September 2026
StockToday1W1M3MROCE
TIPSMUSIC+1.17%+0.97%−2.36%+2.86%106%
SANOFICONR+0.99%−2.75%−8.68%−13.36%97%
TVSHLTD+0.11%−0.17%−9.62%−2.88%86%
SPARC−1.83%−2.78%−2.62%−14.02%83%
TCS−0.18%−5.00%−6.20%+1.95%63%
WAAREEINDO−1.09%−6.04%−13.66%−33.77%61%
SANOFI+0.06%−2.66%−4.24%−4.16%55%
MARICO−1.34%−2.95%−6.08%−0.82%53%
SWARAJENG−1.20%−0.10%−1.60%−7.19%51%
WEBELSOLAR−3.79%−2.51%−11.61%−28.30%48%
TAJGVK+3.15%+2.64%−2.90%+2.44%41%
SOLARINDS+0.07%+4.05%+19.43%+29.48%36%
Return on capital above 18% with debt to equity under 1all 91 →
Over 20 sessions, across 4,293 past signals: 54% finished higher, average +2.03% (+6.7pt on hit rate)beat the market by 1.08pt1.2% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: TIPSMUSIC ×15, TVSHLTD ×15, SPARC ×15
Back in profit66
The most violent re-rating in the market, and the least reliable. One profitable quarter after a loss is not a trend — it is a data point. The measured edge on this screen is the only thing worth trusting about it.
End of day · 10 September 2026
StockToday1W1M3MProfit
NIMBSPROJ+1.10%+3.71%−14.83%−11.49%111.1% margin
WAAREEINDO−1.09%−6.04%−13.66%−33.77%53.6% margin
AURUM+0.10%−1.95%−2.50%+14.61%40.4% margin
IBULLSLTD−0.60%−3.64%−9.29%+5.42%39.2% margin
VERANDA−1.40%−4.85%−8.29%−4.54%22.7% margin
ARMANFIN−0.03%+2.24%+1.27%+22.78%22.4% margin
BORORENEW+0.05%+0.94%−12.42%−8.27%21.4% margin
GTLINFRA0.00%0.00%−5.69%−25.64%21.2% margin
VALIANTLAB+4.15%+23.65%+66.93%+66.87%18.3% margin
SUBEXLTD+5.11%+11.70%+47.13%+86.77%17.9% margin
PRABHA+0.41%+12.04%+56.10%+52.22%17.4% margin
KOLTEPATIL+1.89%+0.36%−8.43%+25.02%15.9% margin
Profitable now after a loss in the year-ago quarterall 66 →
Over 20 sessions, across 12,636 past signals: 48% finished higher, average +1.51% (+0.9pt on hit rate)beat the market by 0.56pt3.5% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: WAAREEINDO ×15, AURUM ×15, IBULLSLTD ×15
Profit jumped this quarter498
The revenue condition matters. Profit can leap on a one-off — an asset sale, a tax writeback — and look identical in the numbers. Requiring revenue to rise too filters most of those out, though not all: check the filing before believing it.
End of day · 10 September 2026
StockToday1W1M3MProfit YoY
HMAAGRO−0.20%−4.54%−8.35%−13.05%+8361%
PSPPROJECT−1.69%+0.36%−4.73%−6.11%+4232%
KIRIINDUS−5.02%−9.65%+20.41%+32.85%+2768%
APOLLOTYRE−0.64%−3.30%−5.75%+1.25%+2609%
BIRLACABLE+4.99%+4.46%+27.36%+83.81%+2154%
ONIXSOLAR+0.90%+19.64%+4.95%−29.85%+1969%
VENUSREM−1.58%−4.57%−1.38%−13.74%+1783%
KERNEX−0.39%−0.01%−21.24%−16.09%+1382%
MBAPL−0.51%−0.54%−2.75%+42.24%+1277%
GCSL+2.14%+4.79%+22.42%+42.50%+1240%
MUTHOOTMF−0.49%−5.20%−7.95%+0.47%+1215%
UNIVCABLES+0.86%−4.30%−8.89%+29.42%+1154%
Profit up more than 30% year on year with revenue also higherall 498 →
Over 20 sessions, across 84,077 past signals: 50% finished higher, average +1.60% (+2.5pt on hit rate)beat the market by 0.65ptfires on 24% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: HMAAGRO ×15, PSPPROJECT ×15, KIRIINDUS ×15
Keeping more of every rupee376
Margin expansion on rising revenue is operating leverage — the same business getting more profitable as it scales. Margin up on FALLING revenue is cost-cutting, which is a different and more fragile story, so revenue growth is required too.
End of day · 10 September 2026
StockToday1W1M3MMargin
SWANDEF+3.03%+6.94%+8.02%+33.26%-563.8%
MTNL−0.44%−5.00%−7.00%−19.42%-388.4%
UNITECH+7.65%+13.75%+3.94%−12.27%-663.0%
REMAGNET+0.32%−3.22%+19.81%−4.06%-16.3%
SPARC−1.83%−2.78%−2.62%−14.02%-52.1%
TARC−0.94%+3.52%+0.02%−0.18%10.4%
IDEAFORGE−0.54%−4.26%−8.25%−14.76%-3.8%
TAJGVK+3.15%+2.64%−2.90%+2.44%201.7%
JSWCEMENT+0.06%−2.11%−7.49%−7.49%8.1%
KIRIINDUS−5.02%−9.65%+20.41%+32.85%93.1%
BORORENEW+0.05%+0.94%−12.42%−8.27%21.4%
OMAXE+0.87%−3.83%+49.33%+56.15%0.3%
Net margin up at least 2 points year on year, on higher revenueall 376 →
Over 20 sessions, across 71,882 past signals: 49% finished higher, average +1.53% (+1.9pt on hit rate)beat the market by 0.58ptfires on 20% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: SWANDEF ×15, SPARC ×15, TARC ×15
Consistently growing and profitable703
Nothing clever here. Companies that have simply kept growing and kept earning, which is rarer than it sounds and is the base most long-term positions are built on.
End of day · 10 September 2026
StockToday1W1M3MRevenue YoY
MAHLIFE−2.82%−0.95%−6.06%+7.78%+2909%
KERNEX−0.39%−0.01%−21.24%−16.09%+800%
WORTH−1.60%+5.73%+0.27%0.00%+428%
SPIC−1.18%−2.57%+3.12%+0.42%+368%
SERVOTECH−0.28%−3.28%−6.75%−25.18%+316%
E2E+0.23%+2.23%−4.04%+57.19%+279%
SRM−1.14%−4.81%−13.35%−9.41%+258%
ACSTECH−3.55%+14.14%+15.51%+51.11%+244%
NHCFOODS−4.93%−21.77%+63.08%+69.60%+235%
WEBELSOLAR−3.79%−2.51%−11.61%−28.30%+234%
JIOFIN−0.32%−3.03%−10.08%−3.87%+227%
ARVSMART−1.35%−6.56%−10.29%+0.40%+212%
Profitable in all four recent quarters with revenue up more than 15% year on yearall 703 →
Over 20 sessions, across 117,484 past signals: 49% finished higher, average +1.46% (+2.0pt on hit rate)beat the market by 0.51ptfires on 33% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: MAHLIFE ×15, KERNEX ×15, SERVOTECH ×15
Improving business in an uptrend338
Fundamental improvement confirmed by the chart rather than argued against it. The slowest screen here and the one least likely to need a stop.
End of day · 10 September 2026
StockToday1W1M3M3-month
KABRAEXTRU+6.73%+25.27%+42.97%+194.43%+194.4%
TBZ−4.99%+14.66%+111.59%+166.96%+167.0%
BODALCHEM−5.00%+10.18%+141.51%+150.51%+150.5%
INDSWFTLAB−2.84%+1.29%+25.83%+133.26%+133.3%
MOREPENLAB−1.08%−1.85%+56.93%+119.92%+119.9%
PVP+2.42%+1.85%+93.56%+113.23%+113.2%
WELCORP+6.46%+5.12%+48.69%+101.27%+101.3%
CYIENTDLM−2.36%+10.37%+34.02%+97.05%+97.1%
TFCILTD+1.04%−2.41%+24.36%+87.99%+88.0%
SUBEXLTD+5.11%+11.70%+47.13%+86.77%+86.8%
JINDWORLD+0.36%+15.56%+51.44%+84.61%+84.6%
BIRLACABLE+4.99%+4.46%+27.36%+83.81%+83.8%
Margin expanding year on year, price above the 200-day average, three-month return positiveall 338 →
Over 20 sessions, across 51,843 past signals: 49% finished higher, average +1.36% (+1.4pt on hit rate)beat the market by 0.41pt14.5% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: KABRAEXTRU ×15, INDSWFTLAB ×15, MOREPENLAB ×15
Near a 52-week low210
Close to its worst price in a year. Every recent buyer is losing money, and they sell into strength — that is what makes these hard to hold.
End of day · 10 September 2026
StockToday1W1M3MAbove low
BIKAJI−0.97%−3.58%−7.13%−14.16%+0.0%
ACC−0.27%−1.39%−5.89%−7.53%+0.0%
HINDUNILVR−0.14%−1.00%−5.85%−9.92%+0.0%
RELINFRA−1.99%−2.07%−21.64%−25.60%+0.0%
HIMATSEIDE−0.85%−2.09%−9.60%−11.37%+0.0%
ELIN−3.81%−2.77%−5.29%−14.05%+0.0%
IRFC−0.38%−1.90%−8.14%−16.48%+0.0%
LAOPALA−3.02%−5.33%−14.45%−9.33%+0.0%
WIPRO−0.42%−5.36%−9.59%−8.31%+0.0%
EASEMYTRIP−3.02%−3.02%−10.51%−30.82%+0.0%
ATALREAL−9.96%−41.04%−56.79%−49.89%+0.0%
HMAAGRO−0.20%−4.54%−8.35%−13.05%+0.0%
Within 6% of the 52-week lowall 210 →
Over 20 sessions, across 48,405 past signals: 50% finished higher, average +1.33% (+2.5pt on hit rate)beat the market by 0.38pt13.6% of the market
Live: fired on 18 of 18 sessions · 12.0 stocks a dayrepeat: DABUR ×12, IRFC ×10, FIRSTCRY ×9
Just reported, and grew1
The short-term fundamental screen. Reaction to a result is not instant — it plays out over days as institutions read the filing and revise. This looks for companies in that window, which is the only place a fundamental fact behaves like a short-term signal at all.
End of day · 10 September 2026
StockToday1W1M3MFiled
TDPOWERSYS+1.63%−1.92%+42.40%+21.89%17d ago
Results filed within the last 15 sessions, revenue and profit both up year on yearall 1 →
Over 20 sessions, across 30,063 past signals: 45% finished higher, average -0.04% (-2.2pt on hit rate)lagged the market by 0.99pt8.4% of the market
Live: fired on 15 of 18 sessions · 7.6 stocks a dayrepeat: NSLNISP ×11, CIANAGRO ×11, PARACABLES ×11
Profit falling while the price holds up100
On the risk side deliberately. The accounts have deteriorated and the chart has not caught up yet. Sometimes the market is right and the next quarter recovers; sometimes it is the last quiet moment before a de-rating.
End of day · 10 September 2026
StockToday1W1M3MProfit YoY
MAGADSUGAR−1.34%−2.13%+6.59%+20.59%-5594%
COCKERILL−1.61%−0.88%−17.38%−14.11%-1925%
KECL+3.03%+0.93%−13.16%+26.42%-1526%
NIBE−1.15%−1.80%−10.20%−20.90%-1251%
RELIGARE+0.83%+2.74%+8.96%+7.52%-675%
ZIMLAB+2.31%+6.57%+26.73%+20.10%-547%
NAZARA+0.07%+2.42%+6.37%+28.77%-449%
TEJASNET−4.53%−3.11%+4.28%−5.59%-361%
ADANIENT−0.89%+6.07%+3.06%+4.58%-250%
APOLLOPIPE−1.43%−7.35%+11.04%+12.41%-236%
COHANCE+0.44%−3.37%+0.21%+4.29%-197%
AXISCADES−0.32%+8.05%+21.14%−1.89%-171%
Profit down more than 25% year on year with the stock still above its 200-day averageall 100 →
Over 20 sessions, across 19,179 past signals: 44% finished higher, average +0.24% (-3.4pt on hit rate)lagged the market by 0.71pt5.4% of the market
Live: fired on 15 of 18 sessions · 10.0 stocks a dayrepeat: MAGADSUGAR ×15, COCKERILL ×15, NIBE ×15
Lost the 200-day line125
Slipped under the average most investors use to separate a bull from a bear phase.
End of day · 10 September 2026
StockToday1W1M3MBelow 200d
ANURAS+0.12%−0.73%+2.22%−3.02%-4.0%
CAMS−0.42%−4.74%−8.41%−8.41%-4.0%
NESCO−0.52%+4.44%+4.53%−1.24%-3.9%
CENTURYPLY−0.63%−2.02%−3.90%−2.30%-3.8%
TATASTEEL−1.04%+1.40%+0.31%−5.32%-3.8%
GSFC+0.22%−0.91%−0.19%−2.75%-3.7%
TIINDIA−0.98%−3.05%−6.59%−17.80%-3.6%
KEI−0.63%−12.90%−19.36%−15.03%-3.6%
SILGO+0.91%+0.82%+2.78%−4.54%-3.6%
ASHOKLEY−0.53%−1.91%−5.99%+5.34%-3.6%
ASTRAL−1.07%−2.42%−0.34%−5.55%-3.5%
SWARAJENG−1.20%−0.10%−1.60%−7.19%-3.5%
Broke below the 200 DMAall 125 →
Over 20 sessions, across 37,684 past signals: 44% finished higher, average +0.02% (-3.5pt on hit rate)lagged the market by 0.93pt10.6% of the market
Live: fired on 18 of 18 sessions · 12.0 stocks a dayrepeat: ABBOTINDIA ×6, ITI ×5, TATAINVEST ×5