Nifty 50 Weekly AnalysisWeek of 2026-w35

Close
24,175.65
Change
-0.32%
Trend Strength
neutral
Volatility Regime
low
Breadth Change
Prior Week Outlook Accuracy
No prior scenario data was available for comparison.

The index posted a modest weekly gain, though the broader short-term trend remains subdued with prices hovering near key moving averages.

Market Drivers

Trading has been range-bound with low volatility, as participants await clearer directional cues. Momentum indicators are neutral, suggesting a lack of strong conviction.

Trend Interpretation

Price action is consolidating below the longer-term average, while shorter-term averages are intertwined, indicating a sideways trend with a slight negative bias.

Risk Factors

A sustained move below the recent swing low could accelerate selling pressure. Additionally, the index remains below its 20-day high, reflecting underlying weakness.

Prior Week Outlook Accuracy

No prior scenario data was available for comparison.

Scenarios

Bullish

A decisive break above the recent swing high and key moving averages could signal a shift toward a more constructive outlook, attracting buyers.

Neutral

Expect continued consolidation within the recent range, with prices oscillating around the moving averages and no clear directional impetus.

Risk

If the index loses the recent swing low, it may trigger further downside, with the next support levels coming into focus.

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