Nifty 50 Daily Analysis2026-09-10

Session: ClosingLatest

NY: 09/10/2026, 06:05 AM
Local: ...
Close
23,477.80
Change
0.20%
1W Change
-1.66%
20D Change
-3.76%
EMA20
23,950.69
EMA50
24,065.67
EMA200
24,347.59
RSI (14)
28.9
ATR (14)
172.00
Volatility (20D)
6.33%
Distance from 20D High
-3.80%
Advancers
Decliners
Volume
0
VIX
17.39
US10Y
4.92%
DXY
98.99

Nifty 50 is showing a mild recovery attempt after recent weakness, but remains below key moving averages with weak momentum.

Market Drivers

The index is being driven by a modest rebound in risk sentiment, though global factors like elevated US yields and a firm dollar continue to weigh on emerging market equities.

Trend Interpretation

The index is trading below its short-term and long-term moving averages, indicating a bearish trend structure, while momentum remains oversold but is showing early signs of stabilization.

Risk Factors

Key risks include persistent weakness in market breadth, elevated volatility, and the potential for further downside if global yields remain high or the dollar strengthens further.

Bullish

In a bullish scenario, the index could sustain a recovery above its short-term moving averages, with improving breadth and momentum signaling a potential trend reversal.

Neutral

In a neutral scenario, the index may continue to trade in a range, consolidating recent losses without a clear directional bias, as investors await fresh catalysts.

Risk

In a risk scenario, the index could break below recent support levels, with selling pressure intensifying if global risk-off sentiment deepens and volatility spikes.

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