Comprehensive Technical Analysis of Tata Consumer Products Ltd (2025)

Tata Consumer Products Technical Analysis 2025: Support, Resistance, Targets & Broker Recommendations

Piyush Dubey
By
Piyush Dubey
Piyush Dubey is a financial writer and market analyst who specializes in covering the latest IPO updates, stock market insights, and investment opportunities. With a strong...
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3 Min Read
Highlights
  • Long-term bullish indicators supported by moving averages above 200 DMA (~₹1,085) signaling sustained upward trends.

Technical Summary & Price Levels

TimeframeSupport Levels (₹)Resistance Levels (₹)Price Targets (₹)
Short-term1,138; 1,149; 1,1531,165; 1,176; 1,1851,175 – 1,185
Mid-term1,100 – 1,1301,200 – 1,2171,270 – 1,350
Long-term1,000 – 1,1001,350 – 1,4501,450 – 1,600
  • Pivot point near ₹1,170 acts as a key technical juncture.
  • Long-term bullish indicators supported by moving averages above 200 DMA (~₹1,085) signaling sustained upward trends.

Broker Recommendations

BrokerRatingTarget Price (₹)Commentary
Motilal OswalBuy1,270Strong fundamentals; FMCG growth catalysts
MastertrustBuy1,355Positive outlook for medium to long term
Angel OneOutperform1,300Technical momentum supported by volume
Choice IndiaNeutral to Buy1,200–1,350Mixed market fluctuations but overall bullish

Key Financial & Technical Highlights

  • Tata Consumer Products continues to show solid revenue growth aided by new product launches and expanding market reach in the FMCG sector.
  • Relative Strength Index (RSI) is around 57, suggesting a balanced but positive momentum without overbought pressures.
  • Moving Averages (SMA 20, 50, 100, 200) remain supportive with crossover signals indicating potential upward strength.
  • MACD is positive with bullish histograms, confirming medium-term strength.
  • Trading volumes have been steady to increasing, indicating institutional participation.
  • Price-to-Earnings ratio (PE) is elevated reflecting premium valuation but justified by robust earnings growth.

TermSupport (₹)Resistance (₹)Target Range (₹)
Short-Term1,138 – 1,1531,165 – 1,1851,175 – 1,185
Mid-Term1,100 – 1,1301,200 – 1,2171,270 – 1,350
Long-Term1,000 – 1,1001,350 – 1,4501,450 – 1,60

The analysis of Tata Consumer Products Ltd for 2025 integrates critical support and resistance levels, price targets across short, mid, and long terms, and authoritative broker recommendations. The stock shows steady technical momentum alongside strong fundamentals in India’s FMCG sector, making it a favorable option for diversified investors aiming for growth with moderate risk. Monitoring the pivot near ₹1,170 and the 200-day SMA will be crucial for timing entries and exits. Leading brokers like Motilal Oswal and Mastertrust endorse buy ratings with optimistic price targets, supporting a bullish outlook in the near-to-medium term.

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Piyush Dubey is a financial writer and market analyst who specializes in covering the latest IPO updates, stock market insights, and investment opportunities. With a strong focus on technical analysis, he breaks down complex market trends into simple, actionable insights for readers. His articles provide in-depth analysis of upcoming listings, trading strategies, and stock recommendations to help investors make informed decisions in a fast-moving market.