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Every indicator from the Technical Analysis track, applied to real prices. Toggle overlays on and off, then read the automated interpretation on the right — including where the indicators disagree with each other.

AXIS BANK LIMITED

₹1,217.400.36%-4.40
NSE · as of 14 Aug 2026, 03:15 pm
Prev close
₹1,221.80
Day high
₹1,218.70
Day low
₹1,208.60
52w high
₹1,418
52w low
₹1,043
Volume
55.58 L
SMA 50SMA 200
Overlays
Indicator panes
Annotations

Deeper analysis

What this stock has actually done — its risk, its record against the index, its calendar, and whether the obvious rules would have helped.

Total return
14.0%
over 249 sessions
CAGR
14.0%
compounded annual rate
Volatility
24.1%
annualised, one standard deviation
Maximum drawdown
-17.2%
worst peak-to-trough fall
Sharpe ratio
0.40
return per unit of risk, over 6.5% risk-free
Sortino ratio
0.58
same, counting only downside moves
Calmar ratio
0.81
CAGR divided by the worst drawdown
Up days
50%
best 6.6%, worst -5.5%

Read the top row and the bottom row together. A 14.0% annual return that came with a -17.2% drawdown means you had to watch a meaningful slice of your money disappear and hold anyway. Most people who quote the first number never sat through the second.

Deepest falls in this range

FromBottomFallSessions downRecovery
25 Feb 202630 Mar 2026-17.2%116not yet
26 Nov 202516 Dec 2025-5.5%2814 sessions
30 Jan 202602 Feb 2026-4.3%1312 sessions

Detected support & resistance

Found by clustering swing highs and lows. Strength reflects touch count and recency.

  • ₹1,2187 touches
  • ₹1,2834 touches
  • ₹1,3105 touches
  • ₹1,4083 touches
  • ₹1,2523 touches
  • ₹1,3852 touches

Pivots & Fibonacci

Floor-trader pivots from the previous session, and retracements of the most recent swing.

Pivots
R21229.9
R11225.9
PIVOT1220.7
S11216.7
S21211.5
Fibonacci
0%1272.0
23.6%1257.5
38.2%1248.5
50%1241.3
61.8%1234.1
78.6%1223.7
100%1210.6