(WestlifeDev) Westlife Dev complete technical analysis [charts+indicators] | Buy/Sell Westlife Dev | (WestlifeDev) share price targets
Complete technical analysis of Westlife Dev (WestlifeDev) by charts plus indicators, forecast predictions and share price targets for Westlife Dev (WestlifeDev)
10 day averaged volume of Westlife Dev is 8074
| Date | Daily Closing Price | Open | High | Low | Volume |
| 21 Fri Nov 2025 | 549.50 | 546.50 | 552.00 | 541.70 | 0.933 times |
| 20 Thu Nov 2025 | 550.25 | 560.00 | 562.05 | 548.85 | 0.294 times |
| 18 Tue Nov 2025 | 542.25 | 565.00 | 580.85 | 539.50 | 5.047 times |
| 17 Mon Nov 2025 | 543.80 | 597.90 | 597.90 | 538.10 | 1.101 times |
| 14 Fri Nov 2025 | 548.70 | 574.95 | 574.95 | 547.00 | 0.494 times |
| 13 Thu Nov 2025 | 560.30 | 566.00 | 566.00 | 549.95 | 0.685 times |
| 12 Wed Nov 2025 | 551.10 | 566.00 | 566.10 | 549.00 | 0.648 times |
| 11 Tue Nov 2025 | 565.05 | 559.95 | 567.00 | 553.45 | 0.279 times |
| 10 Mon Nov 2025 | 560.50 | 575.75 | 575.75 | 556.00 | 0.507 times |
| 07 Fri Nov 2025 | 575.75 | 579.15 | 580.55 | 568.20 | 0.486 times |
My analysis of stock is bearish for shortterm, but trade for tomorrow is selective. Take a sell trade only if stock stays below 552.9, but if it comes above 552.9, then a intra day buy could be more profitable.
If you take a sell trade below 552.9, then use 552.9 as stoploss and 528.7 as target. However if you take a buy trade in stock , then use 552.9 as stoploss and 573.02 as target.
Share price targets for Westlife Dev (WestlifeDev)
| Target Type | Value |
| Downside Target | 538.10 |
| Upside Target | 565.25 |
| Upside Target | 610.35 |
| Upside Target | 611.05 |
| Upside Target | 652.00 |
| Upside Target | 660.00 |
| Upside Target | 698.95 |
| Upside Target | 723.00 |
| Upside Target | 738.00 |
| Upside Target | 780.00 |
| Upside Target | 814.60 |
Intraday share price targets for Westlife Dev (WestlifeDev)
| Target Type | Value |
| Downside Intraday Target | 525.77 |
| Downside Intraday Target | 502.03 |
| Upside Intraday Target | 585.57 |
| Upside Intraday Target | 621.63 |
| Upside Intraday Target | 561.83 |
Weekly technical analysis of Westlife Dev (WestlifeDev)
| Date | Weekly Closing Price | Open | High | Low | Volume |
| 21 Fri Nov 2025 | 549.50 | 597.90 | 597.90 | 538.10 | 2.823 times |
| 14 Fri Nov 2025 | 548.70 | 575.75 | 575.75 | 547.00 | 0.492 times |
| 07 Fri Nov 2025 | 575.75 | 596.00 | 606.80 | 565.25 | 1.499 times |
| 31 Fri Oct 2025 | 595.30 | 586.35 | 610.35 | 580.00 | 0.704 times |
| 23 Thu Oct 2025 | 599.05 | 595.05 | 611.05 | 588.00 | 1.131 times |
Price has moved up this week, and volume has increased substantially. This means that the move can continue in coming weeks.
Monthly technical analysis of Westlife Dev (WestlifeDev)
| Date | Monthly Closing Price | Open | High | Low | Volume |
| 21 Fri Nov 2025 | 549.50 | 596.00 | 606.80 | 538.10 | 0.915 times |
| 31 Fri Oct 2025 | 595.30 | 686.85 | 698.95 | 580.00 | 0.404 times |
| 30 Tue Sep 2025 | 686.80 | 718.10 | 780.00 | 660.00 | 3.843 times |
| 29 Fri Aug 2025 | 718.40 | 725.50 | 738.00 | 652.00 | 0.989 times |
Scroll below to view daily charts
Price has moved down this month, but volume has not increased substantially. This means that the move can be temporary and might not continue in coming months.
Indicators analysis of Westlife Dev (WestlifeDev)
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a short term time period is negative, but sellers have recently become active on the stock. This cannot be called a strong downtrend, specially if selected time duration is small
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a short term time period is neutral. A longer time frame might give a better analysis.
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a short to mid term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a mid to longer term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
ADX buy sell signal for Westlife Dev stock for short term is SELL. Signal strength is Weak and stock is losing momentum.
MACD generated a BUY signal for Westlife Dev in short term but the buy signal is initial and weak.
MACD line is moving upwards which means that SELL signal is weakening, and buying is picking up momentum.
Westlife Dev Stock is trading near its recent LOWS in short term which reflects strong selling momentum. Bears are weakening, and bulls are picking up momentum!
Ichimoku cloud is of red color and prices are below the red cloud Prices appear to be coming down
CCI has generated a SELL signal for Westlife Dev in short term and SELL signal is strong!
RSI is generating a BUY signal in short term and the buying is gaining momentum.
MRSI is in negative zone. This is the SELL zone
Although the stock is in the SELL zone, but selling might be slowing down
Stock of Westlife Dev is picking up selling momentum according to indicator.
Volume based indicators are showing selling momentum.
Volume Weighted Averaged Price (VWAP) for short term is 548.36 and Westlife Dev (WestlifeDev) stock is trading above this level. This is a good sign for the stock and it could move higher. VWAP is falling down
People seem to be coming out and selling the Westlife Dev (WestlifeDev) stock. Volume based technical analysis of Westlife Dev (WestlifeDev) stock is negative.
Westlife Dev Stock has given negative returns over a short term period. Returns for a longer term period have been negative.
Force Index is moving in a negative zone, which indicates selling momentum for short term... Selling momentum is getting weaker.
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a short term time period is negative, but sellers have recently become active on the stock. This cannot be called a strong downtrend, specially if selected time duration is small
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a short term time period is neutral. A longer time frame might give a better analysis.
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a short to mid term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
Price action analysis of Westlife Dev ( (WestlifeDev) ) based on a mid to longer term time period is definitely negative. This means that there is a strong downtrend in the stock for given time period. Sellers are extremely active on this stock.
ADX buy sell signal for Westlife Dev stock for short term is SELL. Signal strength is Weak and stock is losing momentum.
MACD generated a BUY signal for Westlife Dev in short term but the buy signal is initial and weak.
MACD line is moving upwards which means that SELL signal is weakening, and buying is picking up momentum.
Westlife Dev Stock is trading near its recent LOWS in short term which reflects strong selling momentum. Bears are weakening, and bulls are picking up momentum!
Ichimoku cloud is of red color and prices are below the red cloud Prices appear to be coming down
CCI has generated a SELL signal for Westlife Dev in short term and SELL signal is strong!
RSI is generating a BUY signal in short term and the buying is gaining momentum.
MRSI is in negative zone. This is the SELL zone
Although the stock is in the SELL zone, but selling might be slowing down
Stock of Westlife Dev is picking up selling momentum according to indicator.
Volume based indicators are showing selling momentum.
Volume Weighted Averaged Price (VWAP) for short term is 548.36 and Westlife Dev (WestlifeDev) stock is trading above this level. This is a good sign for the stock and it could move higher. VWAP is falling down
People seem to be coming out and selling the Westlife Dev (WestlifeDev) stock. Volume based technical analysis of Westlife Dev (WestlifeDev) stock is negative.
Westlife Dev Stock has given negative returns over a short term period. Returns for a longer term period have been negative.
Force Index is moving in a negative zone, which indicates selling momentum for short term... Selling momentum is getting weaker.
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