Market Recap
After a negative opening, Nifty witnessed sharp selling pressure in the first half, dragging the index below the 23,200 mark. However, buying interest at lower levels triggered a strong recovery in the latter half, and the index eventually settled with a loss of 0.33 percent.
📊 Sector Performance:
• Top Performers: Banking, Healthcare
• Lagging Sectors: IT, Realty
💰 Institutional Activity:
• FIIs: Net sellers of ₹5,616.56 crore
• DIIs: Net buyers of ₹5,740.89 crore
📉 FII Index Futures (Net Contracts):
• Nifty: -29,283
• Bank Nifty: 433
• Fin Nifty: -21
• Midcap Nifty: -274
• Nifty Next 50: -12
🔍 Options Market Insights:
• Significant Call side OI: 23,500 Call
• Significant Put side OI: 23,300 Put
• Put-Call Ratio (PCR): 0.98
• Max Pain: 23,500
• VWAP Range: 23,250 – 23,655
Sentiment:
Slightly higher Put writing compared to Call writing → Mildly bullish undertone