DSE Analyst data: 2026-07-13

ISNLTD

Information Services Network Ltd. · IT Sector · Cat B
0/100
High risk
৳60.9

DSE Hexagon

A mixed profile with no standout strength, held back by looks fully priced.

Value0Financial Health38Dividend1Quality30Momentum55Integrity28

Six lenses, each scored 0–100 from the analysis. Integrity is DSE-specific — it reads how organic the price action is (high = clean, low = concentrated-operator risk). Descriptive only, not a recommendation.

Risks & rewards

Risks (4)

  • ⚠ Signs of concentrated-operator price activity
  • ⚠ Earnings trending down
  • ⚠ Dividend sustainability at risk
  • ⚠ Financial health deteriorating

Rewards (0)

No notable positives flagged.

Score breakdown

Price history & performance

52-week high৳119.2
52-week low৳39.7
From 52w high-48.9%
Beta1.01
7D +0.0%
1M -3.0%
3M -22.2%
6M -17.7%
1Y +51.9%
YTD -20.6%

Shareholder returns vs DSEX

ISNLTD-2.2%
DSEX+2.4%

ISNLTD underperformed the DSEX since Jul 8, 2026 — that's when we started tracking the index, so this window will get longer over time.

Volatility

Annualized volatility47.1%
Daily VaR (95%)-3.92%
Max drawdown (5y)-60.4%
Correlation to market0.34

Typical volatility for a DSE stock. Descriptive only — past volatility is not a forecast.

Technical read

RSI (14)48.4
MACDbullish
Bollingerinside bands (+0.0σ)
Price cycle (Wyckoff)
Health trenddeteriorating
Flow pressuredistribution

Valuation

Fair value ()
Upside
Dividend yield+0.10%
Fundamental verdictAT-RISK
Confidence

Ownership

Institutional holding12.29%
Foreign holding0.0%
Free float66.23%

Sponsor, institutional, foreign and public holdings from the latest disclosed shareholding pattern. Descriptive only.

Share structure

Authorized capital৳500mn
Paid-up capital৳109.2mn
Face value৳10
Market lot1
Outstanding shares10,920,003
Last AGM14-12-2025
Fiscal year end30-Jun
Reserve & surplus (ex-OCI)৳-82.9mn
Other comprehensive income৳0.1mn

Financials

Recent P/E ratio

DateCurrent P/ETrailing P/E
Jul 14, 2026
Jul 13, 2026
Jul 12, 2026
Jul 9, 2026
Jul 8, 2026
Jul 7, 2026

Based on the latest un-audited financial statements. Descriptive only.

Dividend history

20240.5%
20231%
20223%
20201%
20192%

Earnings & NAV

YearEPSNAVDividend
2025 -0.43 2.42 0%
2024 0.12 2.96 0.5%
2023 0.43 2.93 1%
2022 0.59 3.12 3%

Quarterly EPS — FY2026

Q1-0.01
Q20.02
Half-year0.01
Q3-0.3
Nine-month-0.28

From disclosed annual reports and dividend declarations. Descriptive only, not a forecast.

Levels

Resistance

৳61
৳62.9
৳65
৳67.5

Support

৳59.4
৳57.6
৳55.2
৳53.5

Historical bounce zones

Sep 15, 2025: ৳99.8→৳116.5 +17%
Sep 22, 2025: ৳91.5→৳116.5 +27%
Oct 20, 2025: ৳70.9→৳102 +44%
Nov 10, 2025: ৳73.5→৳89.8 +22%
Nov 19, 2025: ৳82→৳95.5 +16%
Jan 5, 2026: ৳68→৳79.5 +17%
Feb 2, 2026: ৳72.6→৳87.1 +20%
May 19, 2026: ৳55→৳67.5 +23%

Sector peers

Other IT Sector names, ranked by our analysis score (DSE has no market-cap feed). Descriptive comparison only.

Historical outlook

Based on how similar setups behaved historically — not a prediction of what will happen.

10-day 40% vs 40% market avg Typical move: -4.7% / -1% / 3.9%
30-day 50% vs 42% market avg Typical move: -8.3% / -1.5% / 7%

Signals: Bullish Harami

Reference levels

Descriptive reference points from the analysis — not instructions to buy or sell.

Entry readAVOID (dormant/dirty)
Reference stopn/a
Reference target
Timing notestay out

strong artificial activity (score 430); speculative profile — not core-quality. Phase: DORMANT (-22% >200-MA, flow neut) -> watch. ⚠ SOLVENCY DISTRESS (Altman Z -1.25, RECOVERING) — bankruptcy risk. high-risk. [fundamentals AT-RISK (dividend cut risk), yield 0.1%]

My notes

Educational market analysis for the Dhaka Stock Exchange. Descriptive information only — not investment advice, not a buy/sell recommendation, and not from a licensed advisor. Prices and analysis can be delayed or wrong; verify with your broker before acting.