GEPIL.BO stock closes at INR 360.10 on 30 Jan 2026: oversold bounce setup
GEPIL.BO stock closed at INR 360.10 on 30 Jan 2026 on the BSE in India, marking a session-range low of INR 357.00 and high of INR 379.00. Volume was 23,119.00 shares, below the 50-day average of 41,512.00, leaving the stock in a short-term pullback. For an oversold bounce strategy we track support near today’s low, weak intraday volume, and valuation gaps that could attract bargain hunting.
GEPIL.BO stock: market close snapshot
At market close (session: Market Closed) GE Power India Limited (GEPIL.BO) traded at INR 360.10 on BSE, market cap INR 24,208,624,190.00, EPS INR 4.74, and reported a quoted PE of 75.97. The stock sits above its 50-day average (INR 336.77) and 200-day average (INR 302.22), while YTD change stands at -5.95%, highlighting mixed momentum heading into the next session.
Technical setup and oversold bounce case
Price tested intraday support at INR 357.00 and closed nearer the low on low relative volume (0.56x), a common sign of a temporary oversold move. Volatility measures show ATR INR 10.45, with the Keltner upper band at INR 365.95 and middle at INR 345.05, suggesting a tight band where a measured bounce is plausible. Traders using an oversold bounce strategy may prefer a close-above INR 365.00 on higher volume as a confirmation signal.
GEPIL.BO analysis: fundamentals and valuation
GE Power India Limited operates in Industrials (Engineering & Construction); key ratios show book value per share INR 57.43, PB 5.07, price/sales 2.02, and a current ratio 1.17. Receivables days are elevated at 522.33, which tightens cash conversion but debt-to-equity is low at 0.05, limiting balance-sheet risk. Compared with the Industrials sector average PE 33.85, the quoted PE 75.97 implies a premium that warrants scrutiny alongside growth prospects.
Meyka AI grade and forecast for GEPIL.BO
Meyka AI rates GEPIL.BO with a score out of 100: 69.04 | Grade: B | Suggestion: HOLD. This grade factors S&P 500 and sector comparisons, financial growth, key metrics, forecasts, and analyst consensus. Meyka AI’s forecast model projects a yearly price of INR 329.84 (implied -8.41% vs INR 360.10) and a 3-year price of INR 366.55 (implied +1.79%). Forecasts are model-based projections and not guarantees.
Strategy, price targets and risk management
For an oversold bounce trade we propose a near-term target of INR 395.00 (implied +9.69%) with a protective stop-loss near INR 341.50 (implied -5.17%). A conservative medium-term anchor is the 3-year projection INR 366.55. Key risks include elevated receivables, thin intraday liquidity (avg vol 41,512.00), and sector headwinds in Industrials; confirm any entry with stronger volume and a clear close above INR 365.00.
Final Thoughts
GEPIL.BO stock closed at INR 360.10 on 30 Jan 2026 on the BSE, after a subdued session that left the stock close to intraday support. The oversold bounce setup looks actionable if volume picks up and price clears INR 365.00; a measured entry targets INR 395.00 for short-term traders. Meyka AI’s forecast model projects INR 329.84 for the next year (implied -8.41%) and INR 366.55 in three years (implied +1.79%). Our Meyka grade is 69.04 (B, HOLD), reflecting mixed technicals and sound balance-sheet metrics but a premium valuation. Use tight risk controls, factor in sector performance, and watch updates on earnings or order wins before increasing exposure. Forecasts are model-based projections and not guarantees.
FAQs
What is the current price and volume for GEPIL.BO stock?
GEPIL.BO stock closed at INR 360.10 on 30 Jan 2026 (BSE) with volume 23,119.00 shares. Day range was INR 357.00–379.00 and average volume is 41,512.00 shares.
What price targets does Meyka AI give for GEPIL.BO stock?
Meyka AI’s forecast model projects INR 329.84 next year (implied -8.41%) and INR 366.55 in three years (implied +1.79%). Suggested near-term target for an oversold bounce is INR 395.00.
What are the main risks for GEPIL.BO stock in an oversold bounce trade?
Key risks include elevated receivables days (522.33), thin intraday liquidity, sector weakness in Industrials, and premium valuation versus peers. Use volume confirmation and a stop-loss to manage downside.
Disclaimer:
Stock markets involve risks. This content is for informational purposes only. Past performance does not guarantee future results. Meyka AI PTY LTD provides market analysis and data insights, not financial advice. Always conduct your own research and consider consulting a licensed financial advisor.