NPOLYMER
National Polymer Industries PLC. · Engineering · Cat B14/100
High risk
৳34.5
Score breakdown
Technical read
RSI (14)65.1
MACDbullish
Bollingerinside bands (+1.5σ)
Price cycle (Wyckoff)MARKUP
Health trenddeteriorating
Flow pressureaccumulation
Valuation
Fair value ()
Upside—
Dividend yield+1.40%
Fundamental verdictAT-RISK
Confidence—
Levels
Resistance
৳34.6
৳35.9
৳37.3
৳38.4
Support
৳34.2
৳32.8
৳31.7
৳30
Historical bounce zones
Jul 31, 2024: ৳36.2→৳49.8 +38%
Oct 27, 2024: ৳30→৳36.5 +22%
Jan 30, 2025: ৳28→৳34.6 +24%
Jun 15, 2025: ৳25.8→৳32.8 +27%
Aug 12, 2025: ৳29.5→৳38.3 +30%
Nov 13, 2025: ৳23.5→৳28.8 +23%
Mar 9, 2026: ৳25.4→৳31.1 +22%
May 10, 2026: ৳27.5→৳34.8 +27%
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: -5.4% / -1.2% / 4.4%
30-day 41% vs 42% market avg Typical move: -9.2% / -1.9% / 7.5%
Signals: Stochastic>80|Bearish Engulfing
Reference levels
Descriptive reference points from the analysis — not instructions to buy or sell.
Entry readSLEEVE only ≈34.5 (or dip 33.3)
Reference stopclose<33.3 (raw, tight)
Reference target⅓ at 36.9, trail rest
Timing notesleeve; enter Nov-Jan; OUT by Jun/Sep
Elevated (score 130) — acceptable only with real earnings and sponsor backing; artificial-activity lens applies. Phase: ACCUMULATION (19% >200-MA, flow ACC). Solvency GREY zone (Altman Z 1.18, RECOVERING) — watch balance sheet. [fundamentals AT-RISK (dividend cut risk), payout 714.0%, yield 1.4%]