Dubai Electricity & Water Authority PJSC Stock Analysis: Price Movement, Fundamentals, and Technical Indicators
By KlickAnalytics Data Insights | July 9, 2026 07:53AM ET
Pricing
Today, we analyze the stock of Dubai Electricity & Water Authority PJSC, with a current price of 2.76. In the last 1 day, there was a decrease of -0.05 in price, resulting in a 1-day return of -1.78%. The trading volume stands at 15,000,837. Over the past week, the stock has seen a return of 0.75% and over the past month, a decline of -3.93%. Looking at longer time frames, the 3-month and 1-year returns are both at -3.93% and 7.6%, respectively.
The stock is currently on a price rally, showing a bullish sentiment in the market. The close price has increased by 0.75% from the open price, indicating optimism among investors. Additionally, the close price is 1.89% higher than the lowest price, further supporting the bullish sentiment.
On the other hand, the close price is -0.37% lower than the previous day's open, signaling a bearish sentiment. The stock hit a 1-month high price of 2.85 and a low of 2.67, with the current price down by -3.16% from the high and up by 3.37% from the low. Similarly, the 52-week high and low prices were at 2.89 and 2.34, respectively, with the current price down by -4.50% from the high and up by 17.95% from the low.
For historical returns, the stock has seen fluctuations with a 1-day return of -1.78%, 1-week return of 0.75%, 1-month return of -3.93%, and a 1-year return of 7.60%. The relative volume has also varied over different periods, with the current volume down by 21.90% from the 1-month high volume.
Fundamentals - TTM
Looking at the fundamentals on a trailing twelve-month basis, the market cap of Dubai Electricity & Water Authority PJSC stands at 139 billion. The net income per share is at 0.18, with a price/earning ratio of 15.91. The dividend yield is relatively low at 0.04%, indicating potential for dividend growth in the future.
On the balance sheet side, the company's working capital is negative at -2,196,228,000, while total assets and total liabilities are at 197,308,110,000 and 103,827,695,000, respectively. The total revenue is reported at 33,329,484,000, along with an EBIT of 10,130,930,000. The Altman Z-Score, a measure of bankruptcy risk, is at 1.45.
Technical Indicators
From a technical analysis standpoint, the stock is currently not showing strong upward momentum across different moving averages. The 5-days, 10-days, and 20-days simple moving averages (SMA) are all signaling a sell, while the 50-days SMA indicates a buy signal. The longer-term SMAs, such as 100-days and 200-days, are also showing a sell signal.
Comparing the close price to the various SMAs, the stock is trading below the SMA5, SMA10, SMA20, and SMA200, indicating a general downward trend. However, the close price is above the SMA50 by 1.91%, which could suggest potential support at this level.