Pokhara Finance Ltd. (PFL)
Date
2026-07-09
Symbol
PFL
Pokhara Finance Ltd.
Sector
Finance
Market Cap
Rs. 3,897,204,120
LTP
Rs. 364.00
0.00% (Rs. 0.00)
Close Price
Rs. 364.00
Open vs Prev Close
Rs. 358.00 / Rs. 364.00
Day Low / High
Rs. 355.20 / Rs. 364.90
52 Week Range
Rs. 351.60 – Rs. 475.50
Trend & Price Structure
| Date | Close | Range | Vol | MA Setup | EMA20 Gap |
|---|---|---|---|---|---|
|
2026-07-09
|
RS. 364.00
|
Rs. 355.20 - 364.90
|
4.4K
|
Mixed
|
-0.95%
|
|
2026-07-08
|
RS. 364.00
|
Rs. 358.00 - 365.00
|
6.6K
|
Mixed
|
-1.03%
|
|
2026-07-07
|
RS. 366.00
|
Rs. 361.00 - 366.60
|
3.5K
|
Mixed
|
-0.60%
|
|
2026-07-06
|
RS. 362.00
|
Rs. 359.00 - 366.00
|
8.4K
|
Bearish
|
-1.76%
|
|
2026-07-03
|
RS. 360.00
|
Rs. 360.00 - 365.00
|
8.2K
|
Bearish
|
-2.47%
|
|
2026-07-02
|
RS. 364.90
|
Rs. 351.60 - 364.90
|
3.4K
|
Mixed
|
-1.41%
|
|
2026-07-01
|
RS. 360.00
|
Rs. 358.80 - 369.90
|
7.0K
|
Bearish
|
-2.86%
|
|
2026-06-30
|
RS. 363.70
|
Rs. 356.00 - 365.00
|
4.8K
|
Bearish
|
-2.18%
|
|
2026-06-29
|
RS. 365.00
|
Rs. 355.20 - 370.80
|
3.7K
|
Bearish
|
-2.04%
|
|
2026-06-26
|
RS. 366.00
|
Rs. 362.70 - 376.90
|
5.3K
|
Bearish
|
-1.98%
|
Momentum & Oscillators
| Date | RSI | ROC | PPO | MACD | Osc |
|---|---|---|---|---|---|
|
2026-07-09
|
43.70
|
-4.70%
|
-1.00
|
-6.40
|
Balanced
|
|
2026-07-08
|
43.70
|
-5.50%
|
-1.10
|
-6.70
|
Balanced
|
|
2026-07-07
|
45.60
|
-4.90%
|
-1.10
|
-7.20
|
Balanced
|
|
2026-07-06
|
40.90
|
-3.60%
|
-1.20
|
-7.60
|
Balanced
|
|
2026-07-03
|
38.40
|
-4.30%
|
-1.20
|
-7.80
|
Oversold
|
|
2026-07-02
|
42.40
|
-4.70%
|
-1.20
|
-7.50
|
Balanced
|
|
2026-07-01
|
36.10
|
-8.60%
|
-1.20
|
-7.60
|
Oversold
|
|
2026-06-30
|
39.10
|
-9.10%
|
-1.10
|
-6.80
|
Oversold
|
|
2026-06-29
|
40.20
|
-5.40%
|
-1.00
|
-6.40
|
Balanced
|
|
2026-06-26
|
41.10
|
-2.90%
|
-1.00
|
-6.10
|
Balanced
|
Signal Check
| Date | Action | ST | A/D |
|---|---|---|---|
|
2026-07-09
|
Wait
|
Sell
|
Acc
|
|
2026-07-08
|
Wait
|
Sell
|
Neutral
|
|
2026-07-07
|
Wait
|
Sell
|
Acc
|
|
2026-07-06
|
Avoid
|
Sell
|
Weak Dist
|
|
2026-07-03
|
Avoid
|
Sell
|
Dist
|
|
2026-07-02
|
Wait
|
Sell
|
Acc
|
|
2026-07-01
|
Avoid
|
Sell
|
Dist
|
|
2026-06-30
|
Wait
|
Sell
|
Weak Acc
|
|
2026-06-29
|
Wait
|
Sell
|
Weak Acc
|
|
2026-06-26
|
Avoid
|
Sell
|
Weak Dist
|
Levels & Reaction Zones
| Date | Close | Support Zone | Pivot | Resistance Zone | Position |
|---|---|---|---|---|---|
|
2026-07-09
|
RS. 364.00
|
Rs. 359.70 / 358.00
|
362.30
|
Rs. 365.00 / 366.70
|
Above Pivot
|
|
2026-07-08
|
RS. 364.00
|
Rs. 362.40 / 361.10
|
364.50
|
Rs. 366.70 / 368.00
|
Below Pivot
|
|
2026-07-07
|
RS. 366.00
|
Rs. 359.70 / 358.00
|
362.30
|
Rs. 365.00 / 366.70
|
Near Resistance
|
|
2026-07-06
|
RS. 362.00
|
Rs. 359.80 / 358.60
|
361.70
|
Rs. 363.60 / 364.80
|
Above Pivot
|
|
2026-07-03
|
RS. 360.00
|
Rs. 355.40 / 352.20
|
360.50
|
Rs. 365.50 / 368.70
|
Below Pivot
|
|
2026-07-02
|
RS. 364.90
|
Rs. 358.70 / 356.00
|
362.90
|
Rs. 367.10 / 369.80
|
Above Pivot
|
|
2026-07-01
|
RS. 360.00
|
Rs. 358.10 / 356.00
|
361.60
|
Rs. 365.00 / 367.10
|
Below Pivot
|
|
2026-06-30
|
RS. 363.70
|
Rs. 357.70 / 354.00
|
363.70
|
Rs. 369.60 / 373.30
|
At Pivot
|
|
2026-06-29
|
RS. 365.00
|
Rs. 363.10 / 359.80
|
368.50
|
Rs. 374.00 / 377.30
|
Below Pivot
|
|
2026-06-26
|
RS. 366.00
|
Rs. 361.60 / 359.40
|
365.00
|
Rs. 368.40 / 370.60
|
Above Pivot
|
Risk-Adjusted Return (ROMD)
Strategies ranked by return relative to their worst drawdown. Higher is better.
Top Strategy backtest By Return Over Max Drawdown
| Symbol | Strategy | Return/MaxDD | Entry | Position | Last Entry Date | Last Exit Date | |
|---|---|---|---|---|---|---|---|
Net Profit / Loss
Strategies ranked by total profit/loss percentage. Pure return, no risk adjustment.
Top Strategy backtest By Net Profit Loss Percentage
| Symbol | Strategy | Profit/Loss | Entry | Position | Last Entry Date | Last Exit Date | |
|---|---|---|---|---|---|---|---|
Win Rate
Strategies ranked by winning positions ratio. Higher hit rate means more consistent signals.
Top Strategy backtest By Winning Positions %
| Symbol | Strategy | Winning Positions % | Entry | Position | Last Entry Date | Last Exit Date | |
|---|---|---|---|---|---|---|---|
Maximum Drawdown
Strategies ranked by worst peak-to-trough loss. Lower drawdown means tighter risk control.
Top Strategy backtest By Maximum Drawdown
| Symbol | Strategy | Maximum Drawdown | Entry | Position | Last Entry Date | Last Exit Date | |
|---|---|---|---|---|---|---|---|
System Quality Number (SQN)
Strategies ranked by SQN. Measures overall system quality combining expectancy and consistency.
Top Strategy backtest By System Quality Number
| Symbol | Strategy | SQN Score | Entry | Position | Last Entry Date | Last Exit Date | |
|---|---|---|---|---|---|---|---|
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