Minolta Finance – 52-Week Levels for Trade Planning
MINOLTAF • Analyze price range, position & journal your trade setup
52-Week High
₹1.64
February 10, 2025
17.1% below high
52-Week Low
₹1.02
July 22, 2025
33.3% above low
Current Position in 52-Week Range
52W Low
54.8%
52W High
0.62
Range Span (₹)
Mid Range
Position Category
54.8%
Range Position
Position Analysis
Neutral - Trading in middle range, mixed signals
Risk-Reward Analysis
20.6%
Upside Potential
25.0%
Downside Risk
Ratio: 0.82
Poor - High risk vs limited reward
Poor - High risk vs limited reward
52-Week Price Movement for Minolta Finance
Full 52-week price movement showing current position relative to yearly high and low levels.
Historical 52-Week Ranges
2026
52-Week Range
H: ₹1.42
L: ₹1.33
6.8% Range
2025
52-Week Range
H: ₹1.64
L: ₹1.02
60.8% Range
Related Pages for Minolta Finance
Additional stock information and data for MINOLTAF
Volume Analysis at Extremes
High Volume: 926
(0.05x avg) - Low volume at high - weak conviction
Low Volume: 3,200
(0.19x avg) - Low volume at low - weak conviction
Average Volume: 17,049