| Symbol | LTP(chng%) | Pre Close | 5 ema | 20 ema | 50 ema | 200 ema | RSI | NR7 | Vol(PreV) | 20VSMA | Del% |
|---|---|---|---|---|---|---|---|---|---|---|---|
| CROMPTON | 266.60 (-1.01%) | 269.30 | 274.65 | 280.34 | 265.17 | 272.57 | 41.41 | No | 12M (4M) | 61.01% |
| DATE | OPEN | HIGH | LOW | CLOSE | VOLUME | DELIVERY% | 20 DSMA | 50 DSMA | 200 DSMA | 2026-05-18 | 298.8 | 298.8 | 288.15 | 293.3 | 4483026 | 40.66 | 276.22 | 256.35 | 275.1 | 2026-05-19 | 295 | 297.7 | 290.5 | 293.6 | 2924150 | 45.32 | 277.84 | 257.15 | 274.87 | 2026-05-20 | 289.15 | 292.9 | 287.15 | 290.6 | 1877603 | 39.87 | 279.43 | 258.06 | 274.65 | 2026-05-21 | 291.9 | 293.95 | 289.6 | 291.85 | 1355199 | 41.64 | 280.96 | 258.89 | 274.47 | 2026-05-22 | 292.3 | 299.9 | 291 | 294.75 | 2218686 | 29.56 | 283.03 | 259.83 | 274.29 | 2026-05-25 | 296.8 | 298.25 | 292.55 | 293.5 | 1618146 | 36.8 | 285.19 | 260.87 | 274.11 | 2026-05-26 | 293.5 | 293.6 | 288 | 289.05 | 1511338 | 27.98 | 286.71 | 261.75 | 273.94 | 2026-05-27 | 288.1 | 290.95 | 287.75 | 288.25 | 793176 | 43.88 | 287.64 | 262.56 | 273.77 | 2026-05-29 | 288 | 292.6 | 272.3 | 281.15 | 2676816 | 48.71 | 287.9 | 263.24 | 273.57 | 2026-06-01 | 281.8 | 283.85 | 271.95 | 273.4 | 2685777 | 41.99 | 287.95 | 263.78 | 273.3 | 2026-06-02 | 271.3 | 275.2 | 269.05 | 273.45 | 2056612 | 45.37 | 287.72 | 264.31 | 273.05 | 2026-06-03 | 273.5 | 273.75 | 269.05 | 272.65 | 1201742 | 44.12 | 287.58 | 264.79 | 272.82 | 2026-06-04 | 273.6 | 275.65 | 267.85 | 269.3 | 4315290 | 61.01 | 286.84 | 265.17 | 272.57 | 2026-06-05 | 270.05 | 272.3 | 264.4 | 266.6 | 4744279 | 51.94 | 285.64 | 265.66 | 272.3 |
|---|
| SYMBOL | DATE | CLIENT | TRANSACTION TYPE | QUANTITY | PRICE | CROMPTON | 2016-09-26 | HSBC GLOBAL INVESTMENT FU NDS MAURITIUS LTD | SALE | 6659688 | 157 | CROMPTON | 2016-09-26 | HSBC GLOBAL INVESTMENT FUNDS INDIAN EQUITY | PURCHASE | 6659688 | 157 | CROMPTON | 2019-04-02 | NORDEA 1 SICAV | SALE | 7757531 | 212.55 | CROMPTON | 2019-04-02 | SBI MUTUAL FUND | PURCHASE | 3900000 | 212.5 | CROMPTON | 2019-12-03 | AMALFIACO LIMITED | SALE | 32296000 | 249.2 | CROMPTON | 2019-12-03 | AMUNDI FUNDS SBI FM EQUITY INDIA | PURCHASE | 9020000 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 18866327 | 249.2 | CROMPTON | 2019-12-03 | SBI MUTUAL FUND | PURCHASE | 30096000 | 249.2 | CROMPTON | 2019-12-03 | SOCIETE GENERALE | PURCHASE | 3400000 | 249.2 | CROMPTON | 2021-02-09 | AMALFIACO LIMITED | SALE | 19000000 | 392.45 | CROMPTON | 2021-02-09 | AMALFIACO LIMITED | SALE | 19000000 | 392.92 | CROMPTON | 2021-02-09 | SOCIETE GENERALE | PURCHASE | 3900000 | 392.1 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 33667802 | 400.4 | CROMPTON | 2021-06-09 | ASHOKA INDIA OPPORTUNITIES FUND | PURCHASE | 3530744 | 400.4 | CROMPTON | 2021-06-09 | SBI MUTUAL FUND | PURCHASE | 12480000 | 400.4 |
|---|
| SYMBOL | DATE | CLIENT | TRANSACTION TYPE | QUANTITY | PRICE | CROMPTON | 2016-09-26 | HSBC GLOBAL INVESTMENT FU NDS MAURITIUS LTD | SALE | 6659688 | 157 | CROMPTON | 2016-09-26 | HSBC GLOBAL INVESTMENT FUNDS INDIAN EQUITY | PURCHASE | 6659688 | 157 | CROMPTON | 2017-12-12 | MORGAN STANLEY FRANCE SAS | SALE | 317733 | 262.65 | CROMPTON | 2017-12-12 | MORGAN STANLEY MAURITIUS COMPANY LIMITED | SALE | 667052 | 262.65 | CROMPTON | 2017-12-12 | SOCIETE GENERALE | PURCHASE | 317733 | 262.65 | CROMPTON | 2017-12-12 | SOCIETE GENERALE | PURCHASE | 667052 | 262.65 | CROMPTON | 2019-12-03 | AMALFIACO LIMITED | SALE | 1000000 | 249.2 | CROMPTON | 2019-12-03 | AMALFIACO LIMITED | SALE | 1200000 | 249.2 | CROMPTON | 2019-12-03 | AMALFIACO LIMITED | SALE | 30096000 | 249.2 | CROMPTON | 2019-12-03 | AMUNDI FUNDS SBI FM EQUITY INDIA | PURCHASE | 9020000 | 249.2 | CROMPTON | 2019-12-03 | AURIGIN MASTER FUND LIMITED | PURCHASE | 401500 | 249.2 | CROMPTON | 2019-12-03 | CITIGROUP GLOBAL MARKETS MAURITIUS PRIVATE LIMITED | PURCHASE | 600000 | 249.2 | CROMPTON | 2019-12-03 | FIDELITY FUNDS - INDIA FOCUS FUND | PURCHASE | 2880303 | 249.2 | CROMPTON | 2019-12-03 | FIDELITY INDIA FUND | PURCHASE | 240058 | 249.2 | CROMPTON | 2019-12-03 | FIDELITY KOREA-INDIA EQUITY INVESTMENT TRUST-MOTHER | PURCHASE | 74466 | 249.2 | CROMPTON | 2019-12-03 | HDFC STANDARD LIFE INSURANCE CO LTD | PURCHASE | 1000000 | 249.2 | CROMPTON | 2019-12-03 | INTEGRATED CORE STRATEGIES ASIA PTE LTD | PURCHASE | 1450000 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 401500 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 600000 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 800000 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 1450000 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 3194827 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 3400000 | 249.2 | CROMPTON | 2019-12-03 | MACRITCHIE INVESTMENTS PTE LTD | SALE | 9020000 | 249.2 | CROMPTON | 2019-12-03 | MORGAN STANLEY ASIA SINGAPORE PTE | PURCHASE | 800000 | 249.2 | CROMPTON | 2019-12-03 | NORGES BANK ON ACCOUNT OF GOVERNMENT PETROLEUM FUND | PURCHASE | 1200000 | 249.2 | CROMPTON | 2019-12-03 | SBI MUTUAL FUND | PURCHASE | 30096000 | 249.2 | CROMPTON | 2019-12-03 | SOCIETE GENERALE | PURCHASE | 3400000 | 249.2 | CROMPTON | 2021-04-30 | MATTHEWS ASIA SMALL COMPANIES FUND | PURCHASE | 720912 | 377.15 | CROMPTON | 2021-04-30 | MATTHEWS EMERGING ASIA FUND | SALE | 720912 | 377.15 | CROMPTON | 2021-06-09 | ABS DIRECT EQUITY FUND LLC INDIA SERIES 1 | PURCHASE | 207000 | 400.4 | CROMPTON | 2021-06-09 | AL MEHWAR COMMERCIAL INVSTMENTS LLC | PURCHASE | 1323967 | 400.4 | CROMPTON | 2021-06-09 | ALPS KOTAK INDIA GROWTH FUND | PURCHASE | 255000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 255000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 409091 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 420000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 720000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 1195802 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 1323967 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 1356198 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 1480000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 1740000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 1870000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 2497000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 3000000 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 4410744 | 400.4 | CROMPTON | 2021-06-09 | AMALFIACO LIMITED | SALE | 12480000 | 400.4 | CROMPTON | 2021-06-09 | ASHOKA INDIA EQUITY INVESTMENT TRUST PLC | PURCHASE | 619198 | 400.4 | CROMPTON | 2021-06-09 | ASHOKA INDIA OPPORTUNITIES FUND | PURCHASE | 3530744 | 400.4 | CROMPTON | 2021-06-09 | AURIGIN MASTER FUND LIMITED | PURCHASE | 255000 | 400.4 | CROMPTON | 2021-06-09 | BHARTI AXA LIFE INSURANCE COMPANY LIMITED | PURCHASE | 420000 | 400.4 | CROMPTON | 2021-06-09 | BNP PARIBAS ARBITRAGE | PURCHASE | 255000 | 400.4 | CROMPTON | 2021-06-09 | CAISSE DE DEPOT ET PLACEMENT DU QUEBEC | PURCHASE | 673000 | 400.4 | CROMPTON | 2021-06-09 | HDFC STANDARD LIFE INSURANCE CO LTD | PURCHASE | 1480000 | 400.4 | CROMPTON | 2021-06-09 | ICICI PRUDENTIAL LIFE INSURANCE COMPANY LIMITED | PURCHASE | 2497000 | 400.4 | CROMPTON | 2021-06-09 | INDIA ACORN FUND LTD | PURCHASE | 737000 | 400.4 | CROMPTON | 2021-06-09 | INTEGRATED CORE STRATEGIES ASIA PTE LTD | PURCHASE | 1195802 | 400.4 | CROMPTON | 2021-06-09 | MIRAE ASSET MUTUAL FUND | PURCHASE | 3000000 | 400.4 | CROMPTON | 2021-06-09 | MORGAN STANLEY MAURITIUS COMPANY LIMITED | PURCHASE | 720000 | 400.4 | CROMPTON | 2021-06-09 | PUBLIC SECTOR PENSION INVESTMENT BOARD | PURCHASE | 1740000 | 400.4 | CROMPTON | 2021-06-09 | SBI LIFE INSURANCE COMPANY LTD | PURCHASE | 1870000 | 400.4 | CROMPTON | 2021-06-09 | SBI MUTUAL FUND | PURCHASE | 12480000 | 400.4 | CROMPTON | 2021-06-09 | WHITE OAK INDIA EQUITY FUND II | PURCHASE | 409091 | 400.4 | CROMPTON | 2021-08-31 | GOLDMAN SACHS FUNDS GOLDMAN SACHS INDIA EQUITY PORTFOLIO | PURCHASE | 3125092 | 470.9 | CROMPTON | 2021-08-31 | GOLDMAN SACHS INDIA FUND LIMITED | SALE | 3125092 | 470.9 | CROMPTON | 2022-09-19 | ISHARES CORE EMERGING MARKETS MAURITIUS CO | SALE | 810932 | 399.45 | CROMPTON | 2022-09-19 | ISHARES CORE MSCI EMERGING MARKETS ETF | PURCHASE | 810932 | 399.45 | CROMPTON | 2022-09-19 | ISHARES INDIA SC MAURITIUS COMPANY | SALE | 139208 | 399.45 | CROMPTON | 2022-09-19 | ISHARES MSCI INDIA SMALL-CAP ETF | PURCHASE | 139208 | 399.45 | CROMPTON | 2022-10-11 | ISHARES CORE EMERGING MARKETS MAURITIUS CO | SALE | 624229 | 390.75 | CROMPTON | 2022-10-11 | ISHARES CORE MSCI EMERGING MARKETS ETF | PURCHASE | 624229 | 390.75 | CROMPTON | 2022-10-11 | ISHARES INDIA SC MAURITIUS COMPANY | SALE | 108098 | 390.75 | CROMPTON | 2022-10-11 | ISHARES MSCI INDIA SMALL-CAP ETF | PURCHASE | 108098 | 390.75 | CROMPTON | 2022-10-17 | ISHARES CORE EMERGING MARKETS MAURITIUS CO | SALE | 638368 | 381.5 | CROMPTON | 2022-10-17 | ISHARES CORE MSCI EMERGING MARKETS ETF | PURCHASE | 638368 | 381.5 | CROMPTON | 2022-10-17 | ISHARES INDIA SC MAURITIUS COMPANY | SALE | 110548 | 381.5 | CROMPTON | 2022-10-17 | ISHARES MSCI INDIA SMALL-CAP ETF | PURCHASE | 110548 | 381.5 | CROMPTON | 2022-10-25 | ISHARES CORE EMERGING MARKETS MAURITIUS CO | SALE | 406220 | 377.45 | CROMPTON | 2022-10-25 | ISHARES CORE MSCI EMERGING MARKETS ETF | PURCHASE | 406220 | 377.45 | CROMPTON | 2022-10-25 | ISHARES INDIA SC MAURITIUS COMPANY | SALE | 331858 | 377.45 | CROMPTON | 2022-10-25 | ISHARES MSCI INDIA SMALL-CAP ETF | PURCHASE | 331858 | 377.45 | CROMPTON | 2022-11-03 | ISHARES CORE EMERGING MARKETS MAURITIUS CO | SALE | 755054 | 364.75 | CROMPTON | 2022-11-03 | ISHARES CORE MSCI EMERGING MARKETS ETF | PURCHASE | 755054 | 364.75 |
|---|
PCR : Put-Call Ratio. Green means > 0 i.e bullish. Red means < 0 i.e bearish.
COHL : GREEN means more call premiums @ Open=Low & Put premiums @ Open=High. RED means more call premiums @ Open=High & Put premiums @ Open=Low.
POHL : GREEN means more call premiums @ Open=Low & Put premiums @ Open=High. RED means more call premiums @ Open=High & Put premiums @ Open=Low.
FutOiBld : Futures Open Interest Buildup. GREEN means Long buildup and Short Covering. RED means Short buildup and Long Unwinding.
CEOiBld : CE side Prmiums Open Interest Buldup. GREEN means more premiums having Long buildup and Short Covering. RED means more premiums having Short buildup and Long Unwinding.
PEOiBld : PE side Prmiums Open Interest Buldup. RED means more premiums having Long buildup and Short Covering. GREEN means more premiums having Short buildup and Long Unwinding.
EOHL : Equity Open = High means bearish or Open = Low means bullish,
FOHL : Futures Open = High means bearish or Open = Low means bullish,
Fut OI : Futures Open Interest Build,
LBld=>LONG BUILDUP => Increase in price with increase in OI . It means people are taking positions assuming price will go up.
LUnw=>LONG UNWINDING => Fall in price with fall in OI. This shows Long positions are now getting exhausted and people are starting to book profits , assuming rally is about to over.
SBld=>SHORT BUILDUP => Fall in price with increase in OI. It means people are taking short positions , assuming price will go down.
SCov=>SHORT COVERING => Increase in price with fall in OI. Short positions are getting decreased and people are booking profits and expecting reversal.
PD H/L : PDH means LTP is greater than Previous Day High and PDL means LTP is lower than Previous Day Low,
ORB : open range breakout ex:Abv 1H means ltp higher than first 1 hour candle high.
CPR : Central Pivot Range. > TC means LTP is higher than Top Central Pivot. < BC means LTP is lower than Bottom Central Pivot.
Cam : Camarilla Levels :
Price Above H4 Camarilla Level
Price Between H4 and H3 Camarilla Levels
Price Between H3 and L3 Camarilla Levels
Price Between L3 and L4 Camarilla Levels
Price Below L4 Camarilla Level
PTr : Positional Trend, 50 -> 50EMA, 200 -> 200EMA, BB -> Bollinger bands, VSMA -> 20 Vol SMA, OI -> Open Interest %, DEL -> Delivery %, P u/d : Price up from n days / Price down from n days, V u/d : Volume up from n days / Volume down from n days
FLTP : Futures Close, FVOL : Futures Volume, FOI : Futures Open Interest,
Data Updated at : 2026-06-05 15:44:03.
Oi based Support Resistance Levels Updated at : 2026-06-05 15:39:02.If you want to know how to use this website please contact us on Telegram @mystockrishi
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