Global Relief Rally: Wall Street Rebounds, Asian Cues Firm, Gift Nifty Points to Cautious Bounce ...
Автор: Premananda Mohapatra
Загружено: 2026-01-21
Просмотров: 0
Описание:
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Wall Street staged a strong relief rally, with the Dow, S&P 500 and Nasdaq 100 all gaining over 1%, led by value, cyclicals, financials, industrials and energy.
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Easing global trade and geopolitical worries after conciliatory signals from President Trump helped sentiment, while markets stay alert to any renewed tariff or conflict risks.
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Indian ADRs showed a mixed but constructive signal: Infosys and Reliance edged higher, while HDFC Bank and ICICI Bank closed lower, hinting at strength in IT and energy but caution in financials.
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Asian markets ended their previous session mildly positive, with the Nikkei, Hang Seng and Shanghai Composite all in the green, though investors remain cautious on China‑linked names.
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Gift Nifty futures around twenty five thousand three hundred indicate a mild positive start for the Nifty, suggesting an attempt to build on yesterday’s late recovery rather than a runaway rally.
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In India, Nifty is holding the crucial twenty five thousand support zone after a volatile session, while Bank Nifty underperforms and mid/small caps show weaker breadth.
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FII flows remain negative, but strong DII buying continues to absorb selling; RBI commentary stays upbeat on growth, with resilient domestic demand supporting the medium‑term India story.
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Key technical levels: Nifty support near twenty four thousand nine hundred to twenty five thousand, resistance around twenty five thousand three hundred to twenty five thousand five hundred; Bank Nifty support near fifty eight thousand five hundred, resistance between fifty nine thousand and fifty nine thousand five hundred.
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Gold and silver saw mild profit‑taking after strong rallies, while crude oil around sixty dollars a barrel and softer natural gas prices keep imported inflation risks manageable for India.
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Traders are advised to focus on risk management, moderate position sizing and strict stop‑losses, especially in banks and F&O, while looking for opportunities in relatively stronger themes like IT and metals.
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Long‑term investors can use this volatility around a still‑strong macro backdrop to gradually accumulate quality stocks rather than react to intraday swings.
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