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MOTILALOFS · Financials · 2026-08-21

Motilal Oswal Financial Services Ltd

4.4WatchEven +0.3Stage 2 · wk 9In scan: Breakout WatchMARKET: BULL RISING · 2026-08-21
₹990
+1.71% today
₹59,613 Cr · Large cap
About this companyFinancials· Diversified Financials
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Motilal Oswal Financial Services Limited offers financial services in India. It operates through Wealth Management, Capital Markets, Asset and Private Wealth Management, Home Finance, and Treasury Investments segments. The company offers broking and distribution services, such as equities, derivatives, commodities, currencies, mutual funds, and insurance products, as well as depository, portfolio management, and asset management services. It also provides private wealth management services, such as equity, alternate, credit, estate planning, and property advisory services; and home finance. In addition, the company offers institutional broking services, including cash and derivatives; private equity services; and investment banking services, including international capital markets, private equity funds, structured finance syndication, mergers and acquisitions advisory, and financial restructuring advisory. It serves high net worth individuals; and mutual funds, foreign institutional investors, financial institutions, and corporate clients. Motilal Oswal Financial Services Limited was founded in 1987 and is headquartered in Mumbai, India.

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P/E (TTM)
27.2
Forward 15.3
ROE
+15.6%
Profit margin +23.5%
Dividend Yield
1.26%
P/B 4.2
vs 52W High
-8.6%
₹628.2 lo₹1,082.6 hi
8.6% below 52W high — pullback range
How far this stock is from its 52-week high. A pullback of 3–20% while Stage 2 structure holds is typically a better entry than chasing near the high.
Stage Maturity
Week 9
1w13w26w
Week 9 — early Stage 2, building
How long this stock has been in Stage 2. The sweet spot is typically 13–26 weeks — enough time to prove the structure holds, not so long it's extended. Very fresh (wk 1–4) often needs more time to confirm.
vs 200 DMA
16.9%
200 DMA: ₹847.1 · sloping down
Long-term trend anchor. When stock and Nifty are both above their 200 DMA, the macro backdrop supports continuation.
Rel Volume
1.49x
vs 50-day avg
Low vol (0.5–1x) on pullbacks = resting, not being sold. High vol on breakouts = commitment. Volume spike on down days is a warning sign.
Trend Health
MA20 rolling over · -1.4% vs MA50 +1.8%
Two-layer momentum read: the glyph shows whether the 20-day MA is rising (↑/↗), flat (→), or rolling over (↓). The ⇈ flag fires when the 20-day MA is pulling away from the 50-day MA — short-term momentum building on top of the longer trend. Best when both glyphs agree.
Sector
Financials
↑ Building
Stage 2%
41.5%
20d Δ
+7.7pp
1M return
+2.1%
3M return
+3.6%
Sector Stage-2 % · last 20 days
This stock ranks #61 of 92 Stage 2 stocks in Financials by RS.
Industry
Diversified Financials
↑ Building
Stage 2%
38.7%
20d Δ
+6.5pp
1M return
+2.5%
3M return
+11.2%
Industry Stage-2 % · last 20 days
Ranks #7 of 12 Stage 2 stocks in this industry.
Price + Volume Chart
Loading price chart…
Stage Cycle Timeline2023-05-29 → 2026-08-21
S2 26w
S1 15w
S2 18w
S2 24w
S4 14w
2023-05-292026-08-21
S1S2S3S4Setup score (0–10, dashed line at 5)
S1 6w → S2 26w → S3 4w → S4 9w → S1 15w → S4 2w → S1 5w → S2 18w → S3 6w → S4 9w → S1 8w → S2 24w → S3 6w → S4 14w → S1 7w → S2 9w current
Total tracked: 168 weeks across 16 stage runs.
1M
+5.3%
3M
+16.5%
6M
+26.5%
YTD
+16.5%
1Y
+7.4%
Scan Membership
Breakout Watch
Latest: 2026-06-23
3 appearances in last 60 days. First seen: 2024-09-11.
Stocks that stay in the scan for 13+ weeks are in the highest observed-return cohort — they keep qualifying because the structure remains intact, not by luck. Persistence in the scan is itself a quality signal.
Recent Stage Timeline
2026-08-21S2
Wk 9 · Vol x
2026-08-20S2
Wk 9 · Vol x
2026-08-19S2
Wk 9 · Vol x
2026-08-18S2
Wk 8 · Vol x
2026-08-17S2
Wk 8 · Vol x
2026-08-14S2
Wk 8 · Vol x
2026-08-13S2
Wk 8 · Vol x
2026-08-12S2
Wk 8 · Vol x
2026-08-11S2
Wk 7 · Vol x
2026-08-10S2
Wk 7 · Vol x
2026-08-07S2
Wk 7 · Vol x
2026-08-06S2
Wk 7 · Vol x
Sector Peers — Stage 2All →
TFCILTD
wk 26 · -1.3% from hi
9.6
PRUDENT
wk 12 · -1.4% from hi
8.4
KTKBANK
wk 23 · -2.0% from hi
8.3
ESAFSFB
wk 9 · 0.0% from hi
7.6
MUFIN
wk 13 · -0.0% from hi
7.5
Moving averages & range
50 DMA
₹926.5
200 DMA
₹847.1
52W High
₹1,082.6
52W Low
₹628.2
5D Low
₹938
Resistance levels (recent highs)
20d High
₹990
60d High
₹990
120d High
₹990
250d High
₹1,082.6
Next resistance
+9.3%
to 250d High

All analytics based on EOD data. Data as of 2026-08-21. Past data patterns are not indicative of future results. This page is a data analytics tool only.