Nifty 50 Daily Analysis2026-08-14

Session: Closing

Close
24.366,00
Change
-0,12%
1W Change
-0,83%
20D Change
0,13%
EMA20
24.363,57
EMA50
24.188,52
EMA200
24.457,75
RSI (14)
52,2
ATR (14)
192,14
Volatility (20D)
9,57%
Distance from 20D High
-1,65%
Advancers
Decliners
Volume
0
VIX
14,56
US10Y
4,64%
DXY
99,73

The index closed slightly lower, showing a mild pullback after recent gains. Market breadth remains mixed, with a cautious tone prevailing.

Market Drivers

The move is driven by profit-taking in recent winners and a lack of fresh catalysts. Global cues are mixed, keeping participants on the sidelines.

Trend Interpretation

Price is hovering near its short-term moving average, indicating a consolidation phase. Momentum is neutral, with no clear directional bias.

Risk Factors

Key risks include a potential breakdown below the short-term support, which could trigger further selling. Also, elevated volatility and external uncertainties may weigh.

Bullish

In a bullish scenario, the index could resume its uptrend if it holds above the short-term average and breaks out of the recent range. Positive global cues and sector rotation would support.

Neutral

In a neutral scenario, the index may continue to trade sideways within a range, with alternating sessions of gains and losses. Low volatility and balanced market breadth would characterize this phase.

Risk

In a risk scenario, a decisive move below the recent low could accelerate declines, with selling pressure intensifying. Weakness in global markets and a spike in volatility would exacerbate the downside.

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