Market reports
Every market report by date: the pre-market and post-market report for each session, weekend and holiday reports, and the weekly sector review.
September 2026
Pre-market ·
Nifty gains 0.35% as lower oil and softer yields support Indian equities
Indian equities closed higher as lower oil prices and softer global yields improved risk appetite, with support from selected heavyweights and defensive sectors. The move was moderated by foreign selling and weakness in…
Post-market ·
Nifty gains 0.35% as easing oil prices support Indian equities
Indian equities closed higher as softer crude prices eased pressure on the import bill and corporate costs, while bargain buying followed six weekly declines. Large-cap gains supported the benchmarks, and foreign buying…
Pre-market ·
Nifty’s 0.33% rise leaves India watching oil, yields and foreign flows
Indian equities begin the week with a cautious positive bias after domestic institutions and a return of foreign buying supported Friday’s recovery. Banking, cement and infrastructure shares had company-specific or…
Weekend report ·
Nifty gains 0.33% on Friday as oil eases, but India records sixth straight weekly decline
Indian equities recorded a sixth consecutive weekly decline even as Friday brought a relief rally. Oil, global rates and foreign selling remained the central pressure points; domestic institutions and strong IPO demand…
Sector review ·
Weekly sector review: insurers and industrials outperformed as IT remained under pressure
The week's sector leadership reflected differences in earnings sensitivity. Insurers benefited from expectations of lower distribution costs, infrastructure stocks from order wins and public capex visibility, while IT…
Weekend report ·
Nifty gains 0.33% on Friday, but Indian equities post sixth weekly decline
The week combined a late relief rally with a sixth consecutive weekly decline. Oil and global rates remained the main macro constraints, while a public dispute over Tata Sons' leadership and listing plans became the…
Post-market ·
Nifty 50 closed at 23346.4, up 0.33%
The benchmarks closed higher. Levels and sector moves for the session are shown below.
Pre-market ·
Nifty edges higher as pharma and metals offset bank weakness
The Indian market ended with a narrow gain as sector rotation and domestic institutional buying offset pressure on banks, oil-linked shares and foreign-sensitive segments. The US Federal Reserve's 25-basis-point rate…
Post-market ·
Nifty edges higher as insurance, pharma and metals offset bank weakness
The session’s modest gain was driven by selective buying rather than a broad-based risk shift. Insurance, pharmaceutical, metals and infrastructure-linked shares provided support, while banking and technology counters…
Pre-market ·
Nifty’s 0.43% rebound faces a test from the Fed’s hawkish turn
Indian equities recovered on September 16 as FMCG and banking names offset weakness in IT stocks. The move followed relief buying ahead of the Federal Reserve decision, while crude, the rupee and global yields remained…
Post-market ·
Nifty closes 0.43% higher as banks, FMCG offset IT weakness
Indian equities recovered selectively on September 16, with banks, FMCG and autos supporting the benchmarks while IT lagged. The session’s wider backdrop remained difficult: crude stayed elevated, US Treasury yields…
Pre-market ·
Nifty falls 1.19% as oil, yields and Fed uncertainty overwhelm IT gains
The session was marked by a sharp reversal from early gains. IT stocks benefited from reduced concern about rapid AI disruption, but that support was outweighed by higher crude, elevated bond yields, foreign selling and…
Post-market ·
Nifty falls 1.2% as oil and yields overwhelm IT rally
Indian equities closed lower as the market weighed elevated crude prices, a weaker rupee, rising government-bond yields and uncertainty before the Federal Reserve decision. IT shares offered a clear pocket of strength…
Pre-market ·
Nifty slips as oil, inflation and Fed risk keep Indian equities cautious
Indian equities return from a holiday-shortened break with the market's direction tied to oil, inflation and global interest rates rather than a single domestic earnings catalyst. August CPI accelerated to 4.82%…
Post-market ·
Nifty fell 0.34% in the last session as crude and yields pressured Indian equities
There was no Indian trading session on September 14 because of the Ganesh Chaturthi holiday. The latest session ended lower as higher crude prices, elevated global yields and foreign selling outweighed support from…
Pre-market ·
Indian markets closed for Ganesh Chaturthi after a cautious Friday
Indian equity markets are closed on Monday for Ganesh Chaturthi. The previous session showed selective support in banks and IT but continued pressure in metals, auto and power, against a backdrop of higher crude…
Weekend report ·
Nifty ends fifth weekly decline as oil, yields and foreign selling weigh
Indian equities recorded a fifth consecutive weekly decline as Middle East tensions lifted crude, global bond yields rose and foreign investors remained sellers. Domestic institutions provided support, but the market’s…
Sector review ·
Indian sector review: metals bear the brunt of the oil and yield shock
The week’s sector performance was defined by a common macro shock rather than a collapse in operating demand. Metals were most exposed to uncertainty around China and global commodity prices. Auto volumes and EV…
Weekend report ·
Nifty records fifth weekly fall as oil and global yields weigh
Indian equities extended their losing run as Middle East supply risks pushed oil higher and global bond yields rose. HDFC Bank and selected technology shares offered late support, while financials, metals, autos and…
Post-market ·
Nifty slips 0.34% as oil and global yields weigh on Indian equities
Indian shares closed lower after a sharp early decline linked to West Asia tensions, higher crude prices and firmer global bond yields. IT stocks and domestic institutional support helped the market recover, but the…
Pre-market ·
Nifty edges higher as oil and global yields cap recovery
Indian equities posted a narrow recovery after three sessions of losses as selective buying in banks, oil and gas, power and media offset weakness in technology, metals and autos. Higher crude, a softer rupee and rising…
Post-market ·
Nifty 50 closed at 23477.8, up 0.2%
The benchmarks closed higher, with the index gauges pulling in different directions. Levels and sector moves for the session are shown below.
Pre-market ·
Nifty falls 0.86% as oil, IT selling and foreign outflows weigh
The session's weakness reflected a combination of geopolitical risk, oil above $100 a barrel, pressure in large technology stocks and continued foreign selling. RBI liquidity absorption and the approaching inflation…
Post-market ·
Nifty falls 0.86% as oil nears $100 and IT stocks slide
Indian equities closed lower as renewed West Asia tensions pushed crude towards $100 a barrel and technology stocks came under pressure. Traders also cited the rupee, foreign selling and the diversion of liquidity…
Pre-market ·
Nifty falls 0.61% as oil, geopolitics and bank selling weigh
The Indian market’s weak close reflected a combination of higher oil, geopolitical risk, possible US rate tightening and selling in heavyweight banks and energy-linked stocks. Wednesday’s focus shifts to whether crude…
Post-market ·
Nifty falls 0.61% as crude, banks and index-heavy stocks weigh
The Indian market ended lower as higher crude and West Asian tensions kept risk appetite restrained. Banks and other index-heavy shares weighed on the session, while defence stocks benefited from a large procurement…
Pre-market ·
Nifty slips 0.5% as crude, Middle East tensions and rate fears weigh
The Indian market's weak close reflected a combination of elevated crude, Middle East uncertainty and renewed concern about US monetary policy. Large-cap IT and metals led the pressure, while healthcare and selected…
Post-market ·
Nifty ends 0.5% lower as oil, rate fears weigh on Indian equities
Indian equities finished lower as traders weighed higher crude prices, Middle East tensions and the possibility of a US rate increase against domestic support from pharma, healthcare and telecom stocks. Infosys and…
Pre-market ·
Nifty ends four-session decline as metals and financials support a cautious rebound
The Friday rebound was supported by metals, selected financials and domestic institutional liquidity, but it did not remove the pressure from foreign outflows, elevated crude and a less supportive US rate backdrop. This…
Weekend report ·
Nifty gains 0.1% as metals and financials offset oil and global-rate pressure
Indian equities ended the week with a late recovery after four sessions of losses, as metals, insurers, private banks and Reliance Industries offset weakness in technology, healthcare and telecom. The central tension…