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GSEC5IETF NEWS why is Icicipramc - Icici5gsec price falling or rising

GSEC5IETF NEWS reasons for why stock price of Icicipramc - Icici5gsec is falling or rising

GSEC5IETF Icicipramc Icici5gsec is falling or rising technical reasons

Technical analysis forecast of Icicipramc Icici5gsec Stock is that its in a uptrend for shortterm, and I will avoid taking a SHORT or SELL trade in this stock. Look for opportunities to BUY or go LONG in Icicipramc Icici5gsec GSEC5IETF at this time. Stock is rising and might rise more.

It appears as if Icicipramc Icici5gsec GSEC5IETF gave a large move recently.

Stock of Icicipramc Icici5gsec (GSEC5IETF) is trading above an important moving average line, but it crossed this line recently, which means that it could show a small or a large fall soon enough depending on its trend.

My analysis of Icicipramc Icici5gsec is bullish for shortterm, but stock is in semi over bought zones and there are some chances of seeing a fall tomorrow. Use 64.7 as stoploss in an intra day sell trade for a target of 64.3. However, stock will show a bullish move above 64.7.

GSEC5IETF Icicipramc Icici5gsec is falling or rising NEWS fundamental reasons

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 19, 2026 is Rs. 64.3903. - NEWS as on 2026-02-20

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 18, 2026 is Rs. 64.3903. - NEWS as on 2026-02-19

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 17, 2026 is Rs. 64.3909. - NEWS as on 2026-02-18

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 16, 2026 is Rs. 64.3245. - NEWS as on 2026-02-17

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 13, 2026 is Rs. 64.2497. - NEWS as on 2026-02-16

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 12, 2026 is Rs. 64.2222. - NEWS as on 2026-02-13

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 11, 2026 is Rs. 64.1632. - NEWS as on 2026-02-12

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 10, 2026 is Rs. 64.1383. - NEWS as on 2026-02-11

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 09, 2026 is Rs. 64.0957. - NEWS as on 2026-02-10

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 06, 2026 is Rs. 64.0692. - NEWS as on 2026-02-09

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 05, 2026 is Rs. 64.2097. - NEWS as on 2026-02-06

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 04, 2026 is Rs. 64.1698. - NEWS as on 2026-02-05

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 03, 2026 is Rs. 64.1256. - NEWS as on 2026-02-04

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on February 02, 2026 is Rs. 63.9192. - NEWS as on 2026-02-03

Company Announcement ICICI Prudential Asset Management Company Limited has informed the Exchange that the Net Asset Value (per unit) of ICICI Prudential Mutual Fund - ICICI Prudential 5 Year G-Sec ETF as on January 30, 2026 is Rs. 63.9878. - NEWS as on 2026-02-02

More announcements and NEWS

GSEC5IETF Icicipramc - Icici5gsec current price & indicator signals

Moving Averages for Icicipramc - Icici5gsec

  • 5Day Average: 64.42
  • 12Day Average: 64.48
  • 20Day Average: 64.3
  • 50Day Average: 63.98
  • 100Day Average: 63.81
  • 150Day Average: 63.5
  • 200Day Average: 63.26

GSEC5IETF Indicators & signals

Indicator MACD (12,26,9)

64.39, 64.24, 0.14
Indicator MACD is in positive zone

Indicator ADX (14)

54.84, 39.34, 11.48
Indicator ADX is indicating that momentum is still strong.
Indicator ADX is showing that momentum is towards buying

Indicator RSI (14)

Current RSI is: 51
Indicator RSI is indicating buying momentum and stock might rise.

Recent prices of GSEC5IETF Icicipramc - Icici5gsec are as follows: Daily volume is divided by 10 day averaged volume

Date Close Range Change % Volume
20 Fri Feb 2026 64.69 64.26 to 64.71 0.4% 2.56 times
19 Thu Feb 2026 64.43 64.23 to 66.00 -0.12% 1.05 times
18 Wed Feb 2026 64.51 64.36 to 64.54 0.33% 0.49 times
17 Tue Feb 2026 64.30 64.00 to 64.44 0.2% 1.6 times
16 Mon Feb 2026 64.17 64.10 to 65.19 -0.4% 0.41 times
13 Fri Feb 2026 64.43 64.15 to 64.53 -0.02% 0.41 times
12 Thu Feb 2026 64.44 64.06 to 64.45 0.37% 0.34 times
11 Wed Feb 2026 64.20 64.15 to 64.34 -0.31% 1.94 times
10 Tue Feb 2026 64.40 64.00 to 64.44 0.06% 0.49 times
09 Mon Feb 2026 64.36 64.00 to 64.39 0.22% 0.93 times
06 Fri Feb 2026 64.22 64.00 to 64.79 -2.03% 2.32 times
05 Thu Feb 2026 65.55 64.00 to 66.00 2.01% 0.83 times

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