Agent Adda - Market Intelligence Agent
NSE Sector Rotation Report — EOD Friday, 21 Aug 2026
Report Date: 2026-08-23 EOD Close: EOD Friday, 21 Aug 2026 Posting: Trading day · 2026-08-23
Disclaimer: This report is not investment advice. It is a learning journey demonstrating how AI and rules-based agents can be applied to financial markets. Validate all data, prices, liquidity, corporate events, and risk independently before making any financial decision.
🔄 Market Regime: ROTATION | Confidence: 60% | Duration: 1d  (rule-based)
Economic Cycle: SLOWDOWN60% confidenceMixedFavours: FMCG, Pharma, ITAvoids: Metals, Auto, Real Estate
⚪ NeutralFII 5D: ₹-1,602 Cr (SELL_2D) · DII 5D: ₹+17,316 Cr (BUY_9D)Today: FII ₹-543 Cr · DII ₹+2,124 Cr
BreadthWeak breadthNIFTY 50: WEAK (43% >200DMA)Smallcap: WEAK (38% >200DMA)
McClellanNEUTRALOsc -9.2TRIN 0.54 BULLISHNet A/D -19BEARISH DIVERGENCE2026-08-21
Global Corr⚠ Decoupling: Gold, USDINRCrude Oil -0.17 · DXY +0.00 · Gold -0.10 · S&P 500 +0.03 · USDINR -0.41
🌐 Macro backdrop: India VIX: 11.2 (rising, +4.1% today); Nifty 50: 24252 (flat, +0.1% today).
Market Brief
Market Read
  • Regime is ROTATION with 60% confidence while the economic cycle is SLOWDOWN with 60% confidence.
  • Breadth is mixed: McClellan is NEUTRAL at -9.2, TRIN is 0.54 (BULLISH), and divergence is BEARISH_DIVERGENCE, so the tape is weak on trend but showing internal reversal pressure.
Risk Posture
  • Defensive but alert for reversal: keep position sizing controlled because FII 5D flow is ₹-1,602 Cr while DII 5D flow is ₹+17,316 Cr (NEUTRAL).
  • New exposure should wait for breadth confirmation unless the setup has a defined stop and the score justifies risk; current BUY count is 29.
Where to Focus
  • Focus first on FMCG, Pharma, IT, which aligns with the SLOWDOWN cycle map.
  • Current rotation is led by IT & Technology with score 7.3 and +6.9% 1M return; avoid or downsize Metals, Auto, Real Estate until regime and breadth improve.
What Would Change
  • Turn more constructive if the regime exits ROTATION, McClellan holds above 0 without a failed divergence, and Nifty breadth recovers above 50% of stocks over the 200DMA.
  • Turn more defensive if TRIN rises above 1.40, McClellan rolls below 0, or the macro backdrop worsens from the current read: Macro backdrop: India VIX: 11.2 (rising, +4.1% today); Nifty 50: 24252 (flat, +0.1% today)..
BUY Signals
29
out of 30 candidates
Leading Sector
IT & Technology
Cycle-Adjusted Score 7.3 · 1M +6.9%
Sectors Rotating
6
above Nifty 500 baseline
Data As Of
2026-08-21
Report: 2026-08-23

Market Rotation Context

  • NSE rotation is led by IT & Technology (score 7.3, +6.9% 1M) with broad cyclical participation across IT & Technology, Media & Entertainment, Capital Goods & Industrials.
  • The multi-sector rotation pattern signals risk-on positioning with institutional momentum in cyclical segments.

Active BUY Signals (29)

  • Buy MANINDS — MANINDS (Capital Goods & Industrials) Score 99.3
  • Buy LAURUSLABS — LAURUSLABS (Pharma & Healthcare) Score 98.9
  • Buy RPTECH — RPTECH (IT & Technology) Score 97.7
  • Buy CUPID — CUPID (Pharma & Healthcare) Score 97.7
  • Buy HFCL — HFCL (IT & Technology) Score 97.4
  • Buy NETWEB — NETWEB (IT & Technology) Score 96.2
  • Buy AEGISLOG — AEGISLOG (Logistics & Transport) Score 95.2
  • Buy MCX — MCX (Capital Markets) Score 93.8
Sector Cycle-Adjusted Score vs Nifty 500
Sector Rotation Rankings
Ranked by composite rotation score vs Nifty 500. Click column headers to sort.
Market Breadth
Latest internal participation snapshot · 2026-08-21
Adv / Decl
1,307 / 1,326
A/D ratio 0.99
McClellan
-9.2
NEUTRAL
TRIN
0.54
BULLISH
Sector >50DMA
64%
2 healthy · 0 weak
Sector Rotation Heatmap
Color intensity follows rotation score; each tile shows RS, 1M return, and sector breadth.
IT & Technology
Score 7.3RS +5.3%1M +6.9%
100% >50DMA
Media & Entertainment
Score 5.8RS +6.1%1M +7.8%
Breadth not tracked
Capital Goods & Industrials
Score 5.7RS +1.9%1M +3.5%
Breadth not tracked
Pharma & Healthcare
Score 5.2RS +0.7%1M +2.4%
45% >50DMA
Capital Markets
Score 4.4RS +0.1%1M +1.8%
47% >50DMA
Logistics & Transport
Score 4.0RS +4.5%1M +6.1%
63% >50DMA
#IndexSectorClose5D1M3M6MRS 1MCycle-Adjusted ScoreMacroSeasonBreadth
1Nifty ITIT & Technology30532.25-2.6%+6.9%+5.6%—+5.3%
7.3
+0.3→ Neutral100% HEALTHY
2Nifty MediaMedia & Entertainment1612.70+1.4%+7.8%+17.3%—+6.1%
5.8
+0.5→ Neutral– NO_DATA
3Nifty Multi MfgCapital Goods & Industrials16983.75-0.2%+3.5%+5.1%—+1.9%
5.7
+0.4→ Neutral– NO_DATA
4Nifty PharmaPharma & Healthcare26359.75-0.3%+2.4%+7.3%—+0.7%
5.2
-0.4→ Neutral45% NEUTRALINT WEAKNESS
5Nifty Capital MktCapital Markets5423.15+2.5%+1.8%-2.4%—+0.1%
4.4
+0.3→ Neutral47% NEUTRAL
6Nifty Trans LogisLogistics & Transport26624.85-0.2%+6.1%+12.9%—+4.5%
4.0
+0.0→ Neutral63% HEALTHY
Sectoral Seasonality (7-year avg monthly returns)
MonthBanking - PSUBanking - PrivateCapital Goods & IndustrialsCapital MarketsChemicals & SpecialtyCommoditiesConsumer DurablesConsumption & DiscretionaryDefenceEV/AutoOil & GasPowerFMCGFinancial ServicesHousing & Building MaterialsIT & TechnologyInfrastructureLogistics & TransportMNCMedia & EntertainmentMetalsPSU / CPSEPharmaRailways & PSU InfraRealty
Jan— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a
Feb— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a
Mar— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a
Apr↑ +7.7%↑ +9.0%↑ +11.2%↑ +23.2%↑ +14.2%↑ +12.2%↑ +12.9%↑ +10.5%↑ +24.4%↑ +11.4%↑ +8.4%↑ +17.0%↑ +12.2%↑ +11.7%↑ +13.2%↑ +1.0%↑ +10.0%↑ +9.6%↑ +14.7%↑ +15.4%↑ +15.2%↑ +9.6%↑ +4.9%↑ +16.8%↑ +21.9%
May↓ -3.8%→ -0.5%↑ +1.6%↑ +4.5%↑ +2.7%→ +0.6%↓ -6.2%↓ -1.4%↑ +1.5%↑ +1.9%↓ -4.2%→ +0.3%↓ -3.3%→ -0.1%→ +0.7%↓ -0.9%↓ -0.7%↑ +1.2%↑ +1.8%↓ -3.3%↑ +4.7%↓ -4.9%↑ +3.9%↓ -7.8%↓ -1.4%
Jun↑ +4.1%↑ +6.1%→ +0.0%→ -0.5%↑ +1.3%↓ -4.9%↑ +4.3%↑ +2.3%↑ +4.5%→ +0.9%↓ -1.5%↓ -2.8%↓ -1.2%↑ +3.2%→ -0.1%↓ -9.6%→ +0.4%↑ +2.8%→ +0.2%↑ +5.0%↓ -6.9%↓ -3.4%↑ +4.4%↓ -3.0%↑ +6.0%
Jul↓ -1.5%↓ -1.0%↑ +3.0%↓ -2.6%↑ +1.6%→ +0.7%↑ +10.0%↑ +4.9%↓ -2.0%↑ +6.8%↑ +2.0%↓ -2.5%→ +0.7%↑ +1.8%→ +0.3%↑ +16.8%→ +0.2%↑ +6.6%↑ +1.7%↑ +9.5%↑ +1.6%↓ -1.4%↑ +4.3%→ -0.0%↑ +8.7%
Aug ◀↑ +3.0%→ +0.6%↑ +1.2%↑ +2.2%→ -0.1%↓ -0.6%↑ +1.3%↓ -0.5%↑ +5.4%↑ +1.9%↓ -0.6%↓ -1.2%↓ -3.3%↓ -0.7%→ -0.5%↓ -0.6%→ -0.5%↑ +1.8%→ +0.2%→ -0.4%↑ +3.6%↓ -1.2%↓ -1.3%↓ -1.0%↑ +1.1%
Sep— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a
Oct— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a
Nov— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a
Dec— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a— n/a
Return avg:< -5%-2% to -5%-1% to +1%+2% to +5%> +5%Current month
Global Correlation Monitor (30d/60d rolling vs Nifty 500)
AssetPrice30d Corr60d CorrΔAlert
Copper6.58+0.115+0.240-0.125Stable
Crude Oil87.06-0.170-0.333+0.164Stable
DXY98.80+0.003-0.053+0.056Stable
Gold4,624-0.105+0.210-0.314⚠ Decoupling
Hang Seng26,009+0.277+0.114+0.164Stable
Nasdaq26,180+0.094+0.100-0.006Stable
Nikkei 22566,016+0.248+0.327-0.079Stable
S&P 5007,674+0.029+0.152-0.123Stable
USDINR95.71-0.415+0.041-0.456⚠ Decoupling
Decoupling alert fires when |30d − 60d correlation| > 20%. Positive correlation = moves together; negative = moves inversely.

Sector Analysis Narratives

IT & Technology
MEDIUM Conviction
📈 Rotation Dynamics
  • IT & Technology ranks #1 in the current NSE rotation screen with a composite score of 7.3, driven by a +6.9% 1-month return and +5.3% relative strength above Nifty 500 — moderate outperformance.
  • The 5-day return of -2.6% suggests brief consolidation within the broader uptrend.
  • Momentum is accelerating: the 1M gain of 6.9% exceeds the 3M annualized run-rate (1.9% per month), implying a fresh acceleration.
🏭 Fundamental Drivers
  • The balanced timeframe profile — 1M +6.9%, 3M +5.6%, 6M +0.0% — indicates a sector building momentum progressively.
  • The rotation score of 7.3 and 1M relative strength of +5.3% place this sector in the tactical opportunity zone.
⚠️ Risk & Tactical View
  • Key watchpoints: sustaining RS above 3.2% (40% pullback threshold) on consolidation would confirm the rotation is durable.
  • Conviction: HIGH — rotation score above 10 with RS in double digits supports active positioning.
+6.9% 1M momentumRS +5.3% vs Nifty 500Score 7.3 — #1 rotation
Media & Entertainment
MEDIUM Conviction
📈 Rotation Dynamics
  • Media & Entertainment ranks #2 in the current NSE rotation screen with a composite score of 5.8, driven by a +7.8% 1-month return and +6.1% relative strength above Nifty 500 — moderate outperformance.
  • The 5-day return of +1.4% suggests continued near-term momentum.
  • Momentum is accelerating: the 1M gain of 7.8% exceeds the 3M annualized run-rate (5.8% per month), implying a fresh acceleration.
🏭 Fundamental Drivers
  • The balanced timeframe profile — 1M +7.8%, 3M +17.3%, 6M +0.0% — indicates a sector building momentum progressively.
  • The rotation score of 5.8 and 1M relative strength of +6.1% place this sector in the tactical opportunity zone.
⚠️ Risk & Tactical View
  • Key watchpoints: sustaining RS above 3.7% (40% pullback threshold) on consolidation would confirm the rotation is durable.
  • Conviction: HIGH — rotation score above 10 with RS in double digits supports active positioning.
+7.8% 1M momentumRS +6.1% vs Nifty 500Score 5.8 — #2 rotation
Capital Goods & Industrials
MEDIUM Conviction
📈 Rotation Dynamics
  • Capital Goods & Industrials ranks #3 in the current NSE rotation screen with a composite score of 5.7, driven by a +3.5% 1-month return and +1.9% relative strength above Nifty 500 — near-benchmark performance.
  • The 5-day return of -0.2% suggests brief consolidation within the broader uptrend.
  • Momentum is accelerating: the 1M gain of 3.5% exceeds the 3M annualized run-rate (1.7% per month), implying a fresh acceleration.
🏭 Fundamental Drivers
  • The balanced timeframe profile — 1M +3.5%, 3M +5.1%, 6M +0.0% — indicates a sector building momentum progressively.
  • The rotation score of 5.7 and 1M relative strength of +1.9% place this sector in the tactical opportunity zone.
⚠️ Risk & Tactical View
  • Key watchpoints: sustaining RS above 1.1% (40% pullback threshold) on consolidation would confirm the rotation is durable.
  • Conviction: HIGH — rotation score above 10 with RS in double digits supports active positioning.
+3.5% 1M momentumRS +1.9% vs Nifty 500Score 5.7 — #3 rotation
Pharma & Healthcare
MEDIUM Conviction
📈 Rotation Dynamics
  • Pharma & Healthcare ranks #4 in the current NSE rotation screen with a composite score of 5.2, driven by a +2.4% 1-month return and +0.7% relative strength above Nifty 500 — near-benchmark performance.
  • The 5-day return of -0.3% suggests brief consolidation within the broader uptrend.
  • Momentum is decelerating: the 1M gain of 2.4% lags the 3M annualized run-rate (2.4% per month), suggesting momentum may be normalizing.
🏭 Fundamental Drivers
  • The balanced timeframe profile — 1M +2.4%, 3M +7.3%, 6M +0.0% — indicates a sector building momentum progressively.
  • The rotation score of 5.2 and 1M relative strength of +0.7% place this sector in the tactical opportunity zone.
⚠️ Risk & Tactical View
  • Key watchpoints: sustaining RS above 0.4% (40% pullback threshold) on consolidation would confirm the rotation is durable.
  • Conviction: HIGH — rotation score above 10 with RS in double digits supports active positioning.
  • Pharma is still behaving like a defensive-growth pocket rather than a broad beta leader.
  • The sector is up +2.4% over 1M with RS +0.7% vs Nifty 500, but only 45% of names above 50DMA, so the trade remains selective.
  • Prefer earnings-visible leaders and avoid paying up for weak follow-through.
+2.4% 1M momentumRS +0.7% vs Nifty 500Score 5.2 — #4 rotation
Capital Markets
LOW Conviction
📈 Rotation Dynamics
  • Capital Markets ranks #5 in the current NSE rotation screen with a composite score of 4.4, driven by a +1.8% 1-month return and +0.1% relative strength above Nifty 500 — near-benchmark performance.
  • The 5-day return of +2.5% suggests continued near-term momentum.
  • Momentum is accelerating: the 1M gain of 1.8% exceeds the 3M annualized run-rate (-0.8% per month), implying a fresh acceleration.
🏭 Fundamental Drivers
  • The balanced timeframe profile — 1M +1.8%, 3M -2.4%, 6M +0.0% — indicates a sector building momentum progressively.
  • The rotation score of 4.4 and 1M relative strength of +0.1% place this sector in the tactical opportunity zone.
⚠️ Risk & Tactical View
  • Key watchpoints: sustaining RS above 0.1% (40% pullback threshold) on consolidation would confirm the rotation is durable.
  • Risk: rotation score of 4.4 is below 5, suggesting weak conviction — monitor for a drop out of the top 6.
  • Capital Markets is a secondary rotation lane at the moment: +1.8% over 1M and RS +0.1% show constructive but not decisive leadership, while 47% of names above 50DMA keeps conviction below the primary leaders.
  • Use this group tactically and demand price confirmation before adding exposure.
+1.8% 1M momentumRS +0.1% vs Nifty 500Score 4.4 — #5 rotation
Logistics & Transport
LOW Conviction
📈 Rotation Dynamics
  • Logistics & Transport ranks #6 in the current NSE rotation screen with a composite score of 4.0, driven by a +6.1% 1-month return and +4.5% relative strength above Nifty 500 — moderate outperformance.
  • The 5-day return of -0.2% suggests brief consolidation within the broader uptrend.
  • Momentum is accelerating: the 1M gain of 6.1% exceeds the 3M annualized run-rate (4.3% per month), implying a fresh acceleration.
🏭 Fundamental Drivers
  • The balanced timeframe profile — 1M +6.1%, 3M +12.9%, 6M +0.0% — indicates a sector building momentum progressively.
  • The rotation score of 4.0 and 1M relative strength of +4.5% place this sector in the tactical opportunity zone.
⚠️ Risk & Tactical View
  • Key watchpoints: sustaining RS above 2.7% (40% pullback threshold) on consolidation would confirm the rotation is durable.
  • Risk: rotation score of 4.0 is below 5, suggesting weak conviction — monitor for a drop out of the top 6.
  • Logistics and Transport is one of the cleaner mid-tier rotation pockets: +6.1% over 1M with RS +4.5% and 63% of names above 50DMA.
  • The trend is usable, but follow-through can still be noisy because the group is sensitive to fuel, freight, and flow-driven reversals.
+6.1% 1M momentumRS +4.5% vs Nifty 500Score 4.0 — #6 rotation
Investment Candidates by Sector
Ranked within each sector by composite investment score. Click any row's narrative arrow to expand the analysis.
22 stocks
RPTECH97.7
HFCL97.4
NETWEB96.2
CYIENTDLM92.1
SYRMA92.1
NAZARA77.7
MANINDS99.3
PRECWIRE90.2
NRBBEARING89.6
KEI75.1
SIEMENS70.4
LAURUSLABS98.9
CUPID97.7
DIVISLAB93.6
SHILPAMED93.3
AUROPHARMA88.2
MCX93.8
EDELWEISS79.0
360ONE67.5
AEGISLOG95.2
REDINGTON84.4
MAHLOG63.2
1
IT & Technology
Rotation: 7.31M: +6.9%RS: +5.3%
SymbolCompanyPriceSignal / ActionScoreTechFundRS%RSISupertrendPatternVolSignalsEntry · Stop · Targets
RPTECHRPTECH₹876.90Strong Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
97.7
78.7
75.6
+99.6%48.9Bullish ↑Trending0.43×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹868.13–₹894.44Stop: ₹816.04T1: ₹967.70T2: ₹998.35
R: ₹967.70 · S: ₹749.75 · ST: ₹782.51
Investment Narrative — RPTECH  CONSTRUCTIVE
🔍 Technical Setup
  • RPTECH (RPTECH) at ₹876.90 is in a trending or choppy phase.
  • RSI at 48.9 reflects neutral-to-weak momentum (RSI <50) — watch for confirmation before adding.
  • Supertrend is bullish at ₹782.51, with volume at 0.43x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹967.70, support ₹749.75.
  • Technical score: 78.7/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 75.6/100).
  • Relative strength of +99.6% vs Nifty 500 places RPTECH well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 18.0.
  • Investment score: 97.7/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
HFCLHFCL₹228.01Strong Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
97.4
80.0
72.1
+99.9%68.1Bullish ↑Trending0.50×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹225.73–₹232.57Stop: ₹212.19T1: ₹234.40T2: ₹259.59
R: ₹234.40 · S: ₹181.05 · ST: ₹200.38
Investment Narrative — HFCL  CONSTRUCTIVE
🔍 Technical Setup
  • HFCL (HFCL) at ₹228.01 is in a trending or choppy phase.
  • RSI at 68.1 reflects overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹200.38, with volume at 0.50x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹234.40, support ₹181.05.
  • Technical score: 80.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 72.1/100).
  • Relative strength of +99.9% vs Nifty 500 places HFCL well above market.
  • Institutional quality metrics: Minervini score 15.0, CAN SLIM 20.0.
  • Investment score: 97.4/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
NETWEBNETWEB₹5601.00Strong Buy
Neutral
Wait Pullback
CYCLE FAVOURED · Cycle +4
S2 ✅
96.2
80.0
58.5
+98.8%72.1Bullish ↑Near Res.2.40×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹5544.99–₹5422.65Stop: ₹5212.29T1: ₹5449.90T2: ₹6376.74
R: ₹5449.90 · S: ₹4115.00 · ST: ₹4710.55
Investment Narrative — NETWEB  CONSTRUCTIVE
🔍 Technical Setup
  • NETWEB (NETWEB) at ₹5601.00 is testing key resistance at ₹5449.90, with immediate support at ₹4115.00.
  • RSI at 72.1 is in overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹4710.55; a decisive close above resistance with volume would upgrade this to a breakout setup.
  • Technical score: 80.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: moderate fundamentals (score 58.5/100).
  • Relative strength of +98.8% vs Nifty 500 places NETWEB well above market.
  • Institutional quality metrics: Minervini score 8.0, CAN SLIM 25.0.
  • Investment score: 96.2/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
CYIENTDLMCYIENTDLM₹721.15Strong Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
92.1
73.3
64.3
+98.7%60.6Bullish ↑Trending1.13×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹713.94–₹735.57Stop: ₹671.10T1: ₹764.80T2: ₹821.03
R: ₹764.80 · S: ₹650.00 · ST: ₹644.17
Investment Narrative — CYIENTDLM  CONSTRUCTIVE
🔍 Technical Setup
  • CYIENTDLM (CYIENTDLM) at ₹721.15 is in a trending or choppy phase.
  • RSI at 60.6 reflects healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹644.17, with volume at 1.13x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹764.80, support ₹650.00.
  • Technical score: 73.3/100.
📊 Fundamental Quality & RS
  • Fundamentals: moderate fundamentals (score 64.3/100).
  • Relative strength of +98.7% vs Nifty 500 places CYIENTDLM well above market.
  • Institutional quality metrics: Minervini score 6.0, CAN SLIM 19.0.
  • Investment score: 92.1/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
SYRMASYRMA₹1439.30Strong Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
92.1
70.0
72.2
+97.8%61.7Bullish ↑Trending0.34×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹1424.91–₹1468.09Stop: ₹1348.89T1: ₹1543.00T2: ₹1614.96
R: ₹1543.00 · S: ₹1257.00 · ST: ₹1348.89
Investment Narrative — SYRMA  CONSTRUCTIVE
🔍 Technical Setup
  • SYRMA (SYRMA) at ₹1439.30 is in a trending or choppy phase.
  • RSI at 61.7 reflects healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹1348.89, with volume at 0.34x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹1543.00, support ₹1257.00.
  • Technical score: 70.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 72.2/100).
  • Relative strength of +97.8% vs Nifty 500 places SYRMA well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 14.0.
  • Investment score: 92.1/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
2
Media & Entertainment
Rotation: 5.81M: +7.8%RS: +6.1%
SymbolCompanyPriceSignal / ActionScoreTechFundRS%RSISupertrendPatternVolSignalsEntry · Stop · Targets
NAZARANAZARA₹354.35Strong Buy
Neutral
Watchlist
CYCLE NEUTRAL · Cycle +0
S2 ✅
77.7
76.0
77.5
+80.5%67.8Bullish ↑Trending0.18×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹350.81–₹361.44Stop: ₹334.70T1: ₹365.00T2: ₹391.10
R: ₹365.00 · S: ₹295.30 · ST: ₹334.70
Investment Narrative — NAZARA  CONSTRUCTIVE
🔍 Technical Setup
  • NAZARA (NAZARA) at ₹354.35 is in a trending or choppy phase.
  • RSI at 67.8 reflects overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹334.70, with volume at 0.18x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹365.00, support ₹295.30.
  • Technical score: 76.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 77.5/100).
  • Relative strength of +80.5% vs Nifty 500 places NAZARA well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 20.0.
  • Investment score: 77.7/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
3
Capital Goods & Industrials
Rotation: 5.71M: +3.5%RS: +1.9%
SymbolCompanyPriceSignal / ActionScoreTechFundRS%RSISupertrendPatternVolSignalsEntry · Stop · Targets
MANINDSMANINDS₹715.40Strong Buy
Neutral
Wait Pullback
CYCLE FAVOURED · Cycle +4
S2 ✅
99.3
83.3
71.7
+97.0%82.3Bullish ↑Near Res.2.85×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹708.25–₹695.50Stop: ₹665.76T1: ₹699.00T2: ₹814.49
R: ₹699.00 · S: ₹515.85 · ST: ₹593.68
Investment Narrative — MANINDS  CONSTRUCTIVE
🔍 Technical Setup
  • MANINDS (MANINDS) at ₹715.40 is testing key resistance at ₹699.00, with immediate support at ₹515.85.
  • RSI at 82.3 is in deep overbought territory (RSI >75) — momentum is extended and pullback risk is elevated.
  • Supertrend is bullish at ₹593.68; a decisive close above resistance with volume would upgrade this to a breakout setup.
  • Technical score: 83.3/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 71.7/100).
  • Relative strength of +97.0% vs Nifty 500 places MANINDS well above market.
  • Institutional quality metrics: Minervini score 12.0, CAN SLIM 25.0.
  • Investment score: 99.3/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
PRECWIREPRECWIRE₹438.50Strong Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
90.2
68.7
69.2
+97.0%65.9Bullish ↑Trending0.44×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹434.12–₹447.27Stop: ₹408.07T1: ₹474.90T2: ₹499.24
R: ₹474.90 · S: ₹352.30 · ST: ₹383.03
Investment Narrative — PRECWIRE  CONSTRUCTIVE
🔍 Technical Setup
  • PRECWIRE (PRECWIRE) at ₹438.50 is in a trending or choppy phase.
  • RSI at 65.9 reflects overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹383.03, with volume at 0.44x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹474.90, support ₹352.30.
  • Technical score: 68.7/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 69.2/100).
  • Relative strength of +97.0% vs Nifty 500 places PRECWIRE well above market.
  • Institutional quality metrics: Minervini score 11.0, CAN SLIM 16.0.
  • Investment score: 90.2/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
NRBBEARINGNRBBEARING₹486.10Strong Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
89.6
74.0
60.2
+96.6%67.2Bullish ↑Trending0.55×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹481.24–₹495.82Stop: ₹452.37T1: ₹503.90T2: ₹553.43
R: ₹503.90 · S: ₹382.40 · ST: ₹422.36
Investment Narrative — NRBBEARING  CONSTRUCTIVE
🔍 Technical Setup
  • NRBBEARING (NRBBEARING) at ₹486.10 is in a trending or choppy phase.
  • RSI at 67.2 reflects overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹422.36, with volume at 0.55x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹503.90, support ₹382.40.
  • Technical score: 74.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: moderate fundamentals (score 60.2/100).
  • Relative strength of +96.6% vs Nifty 500 places NRBBEARING well above market.
  • Institutional quality metrics: Minervini score 13.0, CAN SLIM 18.0.
  • Investment score: 89.6/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
KEIKEI₹5527.60Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
75.1
60.7
84.8
+81.0%68.0Bullish ↑Trending0.56×
F&O
⚪ Neutral
Long Unwind · PCR: 0.71
Long Unwind · PCR: 0.71 · -42.7% · Max Pain: ₹5,400
Insider
No insider alerts
Events
No upcoming events
Entry: ₹5472.32–₹5638.15Stop: ₹5398.83T1: ₹5899.00T2: ₹5656.04
R: ₹5899.00 · S: ₹4745.50 · ST: ₹5398.83
Investment Narrative — KEI  CONSTRUCTIVE
🔍 Technical Setup
  • KEI (KEI) at ₹5527.60 is in a trending or choppy phase.
  • RSI at 68.0 reflects overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹5398.83, with volume at 0.56x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹5899.00, support ₹4745.50.
  • Technical score: 60.7/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 84.8/100).
  • Relative strength of +81.0% vs Nifty 500 places KEI well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 10.0.
  • Investment score: 75.1/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
SIEMENSSIEMENS₹3920.00Buy
🏔 Base Near High
Breakout Watch
CYCLE FAVOURED · Cycle +4
S2 ✅
70.4
70.7
69.0
+75.3%52.0Bullish ↑Trending0.96×
F&O
⚪ Neutral
Short Cover · PCR: 0.57
Short Cover · PCR: 0.57 · -46.6% · Max Pain: ₹3,900
Insider
No insider alerts
Events
No upcoming events
Entry: ₹3880.80–₹3998.40Stop: ₹3681.41T1: ₹4097.90T2: ₹4379.28
R: ₹4097.90 · S: ₹3576.10 · ST: ₹3681.41
Investment Narrative — SIEMENS  CONSTRUCTIVE
🔍 Technical Setup
  • SIEMENS (SIEMENS) at ₹3920.00 is in a trending or choppy phase.
  • RSI at 52.0 reflects healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹3681.41, with volume at 0.96x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹4097.90, support ₹3576.10.
  • Technical score: 70.7/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 69.0/100).
  • Relative strength of +75.3% vs Nifty 500 places SIEMENS well above market.
  • Institutional quality metrics: Minervini score 15.0, CAN SLIM 12.0.
  • Investment score: 70.4/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
4
Pharma & Healthcare
Rotation: 5.21M: +2.4%RS: +0.7%
SymbolCompanyPriceSignal / ActionScoreTechFundRS%RSISupertrendPatternVolSignalsEntry · Stop · Targets
LAURUSLABSLAURUSLABS₹1802.00Strong Buy
Neutral
Watchlist
CYCLE FAVOURED · Cycle +4
S2 ✅
98.9
80.0
81.7
+98.6%48.1Bullish ↑Trending0.63×
F&O
⚪ Neutral
Long Unwind · PCR: 0.83
Long Unwind · PCR: 0.83 · -27.5% · Max Pain: ₹1,740
Insider
No insider alerts
Events
No upcoming events
Entry: ₹1783.98–₹1838.04Stop: ₹1750.19T1: ₹1870.80T2: ₹1868.46
R: ₹1870.80 · S: ₹1554.90 · ST: ₹1750.19
Investment Narrative — LAURUSLABS  CONSTRUCTIVE
🔍 Technical Setup
  • LAURUSLABS (LAURUSLABS) at ₹1802.00 is in a trending or choppy phase.
  • RSI at 48.1 reflects neutral-to-weak momentum (RSI <50) — watch for confirmation before adding.
  • Supertrend is bullish at ₹1750.19, with volume at 0.63x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹1870.80, support ₹1554.90.
  • Technical score: 80.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 81.7/100).
  • Relative strength of +98.6% vs Nifty 500 places LAURUSLABS well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 18.0.
  • Investment score: 98.9/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
CUPIDCUPID₹284.58Strong Buy
Neutral
Wait Pullback
CYCLE FAVOURED · Cycle +4
S2 ✅
97.7
72.0
85.2
+100.0%73.5Bullish ↑Trending0.47×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹281.73–₹290.27Stop: ₹264.83T1: ₹299.00T2: ₹323.99
R: ₹299.00 · S: ₹206.09 · ST: ₹253.69
Investment Narrative — CUPID  CONSTRUCTIVE
🔍 Technical Setup
  • CUPID (CUPID) at ₹284.58 is in a trending or choppy phase.
  • RSI at 73.5 reflects overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹253.69, with volume at 0.47x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹299.00, support ₹206.09.
  • Technical score: 72.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 85.2/100).
  • Relative strength of +100.0% vs Nifty 500 places CUPID well above market.
  • Institutional quality metrics: Minervini score 6.0, CAN SLIM 20.0.
  • Investment score: 97.7/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
DIVISLABDIVISLAB₹8597.00Strong Buy
🏔 Base Near High
Breakout Watch
CYCLE FAVOURED · Cycle +4
S2 ✅
93.6
76.7
79.7
+90.5%50.6Bullish ↑Near Res.0.33×
F&O
⚪ Neutral
Long Unwind · PCR: 0.98
Long Unwind · PCR: 0.98 · -36.9% · Max Pain: ₹8,200
Insider
No insider alerts
Events
No upcoming events
Entry: ₹8511.03–₹8630.63Stop: ₹8147.75T1: ₹8674.00T2: ₹9419.23
R: ₹8674.00 · S: ₹7177.00 · ST: ₹8147.75
Investment Narrative — DIVISLAB  CONSTRUCTIVE
🔍 Technical Setup
  • DIVISLAB (DIVISLAB) at ₹8597.00 is testing key resistance at ₹8674.00, with immediate support at ₹7177.00.
  • RSI at 50.6 is in healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹8147.75; a decisive close above resistance with volume would upgrade this to a breakout setup.
  • Technical score: 76.7/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 79.7/100).
  • Relative strength of +90.5% vs Nifty 500 places DIVISLAB well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 20.0.
  • Investment score: 93.6/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
SHILPAMEDSHILPAMED₹814.95Strong Buy
Neutral
Wait Pullback
CYCLE FAVOURED · Cycle +4
S2 ✅
93.3
69.3
74.2
+99.1%86.5Bullish ↑Trending0.22×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹806.80–₹829.93Stop: ₹758.39T1: ₹834.10T2: ₹927.82
R: ₹834.10 · S: ₹597.50 · ST: ₹740.26
Investment Narrative — SHILPAMED  CONSTRUCTIVE
🔍 Technical Setup
  • SHILPAMED (SHILPAMED) at ₹814.95 is in a trending or choppy phase.
  • RSI at 86.5 reflects deep overbought territory (RSI >75) — momentum is extended and pullback risk is elevated.
  • Supertrend is bullish at ₹740.26, with volume at 0.22x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹834.10, support ₹597.50.
  • Technical score: 69.3/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 74.2/100).
  • Relative strength of +99.1% vs Nifty 500 places SHILPAMED well above market.
  • Institutional quality metrics: Minervini score 6.0, CAN SLIM 20.0.
  • Investment score: 93.3/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
AUROPHARMAAurobindo Pharma Limited₹1621.30Strong Buy
🏔 Base Near High
Breakout Watch
CYCLE FAVOURED · Cycle +4
S2 ✅
88.2
72.0
73.0
+85.6%61.1Bullish ↑Base Build0.76×
F&O
⚪ Neutral
Long Unwind · PCR: 0.50
Long Unwind · PCR: 0.50 · -31.0% · Max Pain: ₹1,600
Insider
No insider alerts
Events
No upcoming events
Entry: ₹1605.09–₹1653.73Stop: ₹1545.51T1: ₹1682.40T2: ₹1754.04
R: ₹1682.40 · S: ₹1512.00 · ST: ₹1545.51
Investment Narrative — AUROPHARMA  CONSTRUCTIVE
🔍 Technical Setup
  • Aurobindo Pharma Limited (AUROPHARMA) at ₹1621.30 is in a base building phase.
  • RSI at 61.1 reflects healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹1545.51, with volume at 0.76x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹1682.40, support ₹1512.00.
  • Technical score: 72.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 73.0/100).
  • Relative strength of +85.6% vs Nifty 500 places AUROPHARMA well above market.
  • Institutional quality metrics: Minervini score 12.0, CAN SLIM 12.0.
  • Investment score: 88.2/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
5
Capital Markets
Rotation: 4.41M: +1.8%RS: +0.1%
SymbolCompanyPriceSignal / ActionScoreTechFundRS%RSISupertrendPatternVolSignalsEntry · Stop · Targets
MCXMCX₹3185.00Strong Buy
Neutral
Breakout Watch
CYCLE FAVOURED · Cycle +4
S2 ✅
93.8
74.7
78.9
+92.0%78.2Bullish ↑Near Res.1.38×
F&O
⚪ Neutral
Short Cover · PCR: 1.00
Short Cover · PCR: 1.00 · -21.1% · Max Pain: ₹3,000
Insider
No insider alerts
Events
No upcoming events
Entry: ₹3153.15–₹3117.53Stop: ₹2963.96T1: ₹3133.20T2: ₹3626.12
R: ₹3133.20 · S: ₹2565.50 · ST: ₹2814.40
Investment Narrative — MCX  CONSTRUCTIVE
🔍 Technical Setup
  • MCX (MCX) at ₹3185.00 is testing key resistance at ₹3133.20, with immediate support at ₹2565.50.
  • RSI at 78.2 is in deep overbought territory (RSI >75) — momentum is extended and pullback risk is elevated.
  • Supertrend is bullish at ₹2814.40; a decisive close above resistance with volume would upgrade this to a breakout setup.
  • Technical score: 74.7/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 78.9/100).
  • Relative strength of +92.0% vs Nifty 500 places MCX well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 17.0.
  • Investment score: 93.8/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
EDELWEISSEDELWEISS₹128.68Strong Buy
Neutral
Wait Pullback
CYCLE FAVOURED · Cycle +4
S2 ✅
79.0
81.3
65.3
+74.7%73.2Bullish ↑Near Res.2.97×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹127.39–₹129.75Stop: ₹119.75T1: ₹130.40T2: ₹146.50
R: ₹130.40 · S: ₹113.35 · ST: ₹115.41
Investment Narrative — EDELWEISS  CONSTRUCTIVE
🔍 Technical Setup
  • EDELWEISS (EDELWEISS) at ₹128.68 is testing key resistance at ₹130.40, with immediate support at ₹113.35.
  • RSI at 73.2 is in overbought-approaching levels (RSI 65-75) — trend is strong but upside may be limited near-term.
  • Supertrend is bullish at ₹115.41; a decisive close above resistance with volume would upgrade this to a breakout setup.
  • Technical score: 81.3/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 65.3/100).
  • Relative strength of +74.7% vs Nifty 500 places EDELWEISS well above market.
  • Institutional quality metrics: Minervini score 10.0, CAN SLIM 23.0.
  • Investment score: 79.0/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
360ONE360ONE₹1199.00Buy
🏔 Base Near High
Breakout Watch
CYCLE FAVOURED · Cycle +4
S2 ✅
67.5
67.3
79.5
+63.3%64.6Bullish ↑Near Res.0.50×
F&O
⚪ Neutral
Long Unwind · PCR: 0.68
Long Unwind · PCR: 0.68 · -30.1% · Max Pain: ₹1,200
Insider
No insider alerts
Events
No upcoming events
Entry: ₹1187.01–₹1216.79Stop: ₹1115.79T1: ₹1222.90T2: ₹1365.06
R: ₹1222.90 · S: ₹1065.00 · ST: ₹1112.02
Investment Narrative — 360ONE  CONSTRUCTIVE
🔍 Technical Setup
  • 360ONE (360ONE) at ₹1199.00 is testing key resistance at ₹1222.90, with immediate support at ₹1065.00.
  • RSI at 64.6 is in healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹1112.02; a decisive close above resistance with volume would upgrade this to a breakout setup.
  • Technical score: 67.3/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 79.5/100).
  • Relative strength of +63.3% vs Nifty 500 places 360ONE well above market.
  • Institutional quality metrics: Minervini score 12.0, CAN SLIM 12.0.
  • Investment score: 67.5/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
6
Logistics & Transport
Rotation: 4.01M: +6.1%RS: +4.5%
SymbolCompanyPriceSignal / ActionScoreTechFundRS%RSISupertrendPatternVolSignalsEntry · Stop · Targets
AEGISLOGAEGISLOG₹1417.90Strong Buy
Neutral
Watchlist
CYCLE NEUTRAL · Cycle +0
S2 ✅
95.2
83.3
76.0
+99.2%53.2Bullish ↑Trending1.27×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹1403.72–₹1446.26Stop: ₹1319.50T1: ₹1497.80T2: ₹1614.28
R: ₹1497.80 · S: ₹1222.30 · ST: ₹1197.79
Investment Narrative — AEGISLOG  CONSTRUCTIVE
🔍 Technical Setup
  • AEGISLOG (AEGISLOG) at ₹1417.90 is in a trending or choppy phase.
  • RSI at 53.2 reflects healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹1197.79, with volume at 1.27x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹1497.80, support ₹1222.30.
  • Technical score: 83.3/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 76.0/100).
  • Relative strength of +99.2% vs Nifty 500 places AEGISLOG well above market.
  • Institutional quality metrics: Minervini score 14.0, CAN SLIM 19.0.
  • Investment score: 95.2/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
REDINGTONREDINGTON₹350.55Strong Buy
🏔 Base Near High
Breakout Watch
CYCLE NEUTRAL · Cycle +0
S2 ✅
84.4
75.3
62.8
+93.7%51.7Bullish ↑Trending0.43×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹347.04–₹357.56Stop: ₹326.22T1: ₹364.50T2: ₹399.10
R: ₹364.50 · S: ₹255.70 · ST: ₹306.22
Investment Narrative — REDINGTON  CONSTRUCTIVE
🔍 Technical Setup
  • REDINGTON (REDINGTON) at ₹350.55 is in a trending or choppy phase.
  • RSI at 51.7 reflects healthy trending momentum (RSI 50-65) — room for further upside without overextension.
  • Supertrend is bullish at ₹306.22, with volume at 0.43x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹364.50, support ₹255.70.
  • Technical score: 75.3/100.
📊 Fundamental Quality & RS
  • Fundamentals: moderate fundamentals (score 62.8/100).
  • Relative strength of +93.7% vs Nifty 500 places REDINGTON well above market.
  • Institutional quality metrics: Minervini score 6.0, CAN SLIM 20.0.
  • Investment score: 84.4/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
MAHLOGMAHLOG₹401.15Buy
Neutral
Watchlist
CYCLE NEUTRAL · Cycle +0
S2 ✅
63.2
64.0
69.0
+68.3%33.8Bullish ↑Base Build0.34×
F&O
No F&O data
Insider
No insider alerts
Events
No upcoming events
Entry: ₹397.14–₹409.17Stop: ₹382.30T1: ₹431.90T2: ₹434.24
R: ₹431.90 · S: ₹390.10 · ST: ₹377.59
Investment Narrative — MAHLOG  CONSTRUCTIVE
🔍 Technical Setup
  • MAHLOG (MAHLOG) at ₹401.15 is in a base building phase.
  • RSI at 33.8 reflects neutral-to-weak momentum (RSI <50) — watch for confirmation before adding.
  • Supertrend is bullish at ₹377.59, with volume at 0.34x average is below the 1.4x breakout threshold.
  • Key levels: resistance ₹431.90, support ₹390.10.
  • Technical score: 64.0/100.
📊 Fundamental Quality & RS
  • Fundamentals: strong fundamental backing (score 69.0/100).
  • Relative strength of +68.3% vs Nifty 500 places MAHLOG well above market.
  • Institutional quality metrics: Minervini score 12.0, CAN SLIM 13.0.
  • Investment score: 63.2/100.
  • Stance: CONSTRUCTIVE — Active entry — breakout or strong momentum warrants a position.
Research Shortlist / Stage 2 Swing Overlay
Keeps the latest swing research shortlist visible even when a stock sits outside the current top sector cut or below the sector candidate rank threshold.
#SymbolCompanySector LensStage / SetupSignalPriceScoreTechRS%FundRSISupertrend
1POLYCABPOLYCABCapital Goods & IndustrialsSTAGE_1
RESEARCH
MONITOR
Weak Hold₹8966.00
78.8
47.3
+65.9%
88.5
47.5BEARISH
3TIMKENTIMKENCapital Goods & IndustrialsSTAGE_1
RESEARCH
MONITOR
Weak Hold₹3134.10
55.1
46.0
+37.8%
60.0
42.2BULLISH
4OLECTRAOLECTRAEV & Auto AncillariesSTAGE_1
RESEARCH
MONITOR
Hold₹1318.40
59.7
58.0
+57.9%
62.5
45.2BEARISH
5JBMAJBMAEV & Auto AncillariesSTAGE_1
RESEARCH
MONITOR
Hold₹673.95
52.4
60.0
+62.4%
52.8
54.5BULLISH
6AMBERAMBERConsumer DurablesSTAGE_1
RESEARCH
MONITOR
Sell₹7350.00
44.4
32.0
+43.4%
50.6
48.0BEARISH
8GVT&DGVT&DCapital Goods & IndustrialsSTAGE_1
RESEARCH
MONITOR
Weak Hold₹4127.20
54.6
40.0
+72.0%
60.2
36.3BEARISH
9TEJASNETTEJASNETIT & TechnologySTAGE_1
RESEARCH
MONITOR
Sell₹510.45
42.8
30.0
+68.2%
45.4
45.7BEARISH
Stage Analysis Screener
William O'Neil / Stan Weinstein 4-stage price cycle classification. Only Stage 2 (Markup) stocks are in the buy zone.
30
Stage 2 — BUY ZONE
0
Stage 1 — Basing
0
Stage 3 — Distribution
0
Stage 4 — Decline
0
Insufficient Data
30 stocks
SymbolCompanySectorStagePriceSMA 50SMA 20050D Slope200D SlopeDist 52W HiVol RatioRS PctileInv ScoreStage Score
SHILPAMEDSHILPAMEDPharma & HealthcareS2 ✅₹814.95650.29440.16+9.4%+5.4%-0.9%3.34×87th93.30.934
CUPIDCUPIDPharma & HealthcareS2 ✅₹284.58221.92125.25+14.6%+10.3%-3.5%1.07×100th97.70.755
NETWEBNETWEBIT & TechnologyS2 ✅₹5601.004668.733797.97+2.6%+1.7%+0.0%1.16×83th96.20.749
HFCLHFCLIT & TechnologyS2 ✅₹228.01210.26120.42+4.1%+6.5%-0.9%0.75×97th97.40.748
AEGISLOGAEGISLOGLogistics & TransportS2 ✅₹1417.901259.59847.35+8.9%+3.2%+0.0%0.80×90th95.20.740
RPTECHRPTECHIT & TechnologyS2 ✅₹876.90791.67496.88+8.8%+5.7%-2.9%1.07×93th97.70.737
WSTCSTPAPRWSTCSTPAPRIT & TechnologyS2 ✅₹637.25552.99468.46+4.1%+1.7%+0.0%2.56×43th90.60.729
REDINGTONREDINGTONLogistics & TransportS2 ✅₹350.55296.57262.15+7.6%+1.6%-1.2%2.02×57th84.40.711
MANINDSMANINDSCapital Goods & IndustrialsS2 ✅₹715.40570.70469.91+3.9%+2.3%+0.0%1.32×68th99.30.705
LAURUSLABSLAURUSLABSPharma & HealthcareS2 ✅₹1802.001624.521227.63+5.5%+3.7%-3.0%1.14×77th98.90.676
NRBBEARINGNRBBEARINGCapital Goods & IndustrialsS2 ✅₹486.10434.25324.95+3.6%+3.3%+0.0%1.19×63th89.60.672
CYIENTDLMCYIENTDLMIT & TechnologyS2 ✅₹721.15592.08436.10+10.0%+3.1%-2.2%0.79×80th92.10.666
GLANDGLANDPharma & HealthcareS2 ✅₹2819.302513.361997.10+5.0%+2.4%-5.1%2.35×50th87.80.659
ROSSTECHROSSTECHIT & TechnologyS2 ✅₹1074.201011.93830.50+1.1%+2.6%-3.1%1.64×53th81.50.630
SYRMASYRMAIT & TechnologyS2 ✅₹1439.301397.63996.45+4.0%+3.6%-5.1%1.12×73th92.10.629
DIVISLABDIVISLABPharma & HealthcareS2 ✅₹8597.007453.146650.68+5.4%+1.5%-0.0%1.47×40th93.60.607
PRECWIREPRECWIRECapital Goods & IndustrialsS2 ✅₹438.50402.17329.67+1.4%+3.5%-6.4%0.82×68th90.20.559
GRANULESGRANULESPharma & HealthcareS2 ✅₹858.15836.67677.79+1.9%+2.2%-5.0%0.57×60th86.10.522
NAZARANAZARAMedia & EntertainmentS2 ✅₹354.35318.28276.21+5.3%+1.6%-0.9%1.19×27th77.70.512
SOMANYCERASOMANYCERACapital Goods & IndustrialsS2 ✅₹520.15513.69449.04+0.2%+0.7%-3.5%2.36×7th41.10.510
ELGIEQUIPELGIEQUIPCapital Goods & IndustrialsS2 ✅₹634.35593.27528.19+0.2%+1.1%-0.5%1.21×23th67.50.506
AUROPHARMAAurobindo Pharma LimitedPharma & HealthcareS2 ✅₹1621.301565.541352.17+2.4%+2.0%-2.7%0.76×37th88.20.482
KEIKEICapital Goods & IndustrialsS2 ✅₹5527.605317.334729.91+1.8%+1.8%-5.9%1.49×30th75.10.481
COFORGECOFORGEIT & TechnologyS2 ✅₹1891.701598.031515.96+5.2%+0.1%-4.4%1.09×33th90.70.477
MCXMCXCapital MarketsS2 ✅₹3185.002822.632575.29+1.0%+2.2%-7.5%0.82×47th93.80.457
SIEMENSSIEMENSCapital Goods & IndustrialsS2 ✅₹3920.003720.733411.92+1.6%+1.2%-2.5%0.94×20th70.40.437
EDELWEISSEDELWEISSCapital MarketsS2 ✅₹128.68120.71113.85+2.1%+0.3%-1.2%0.83×17th79.00.431
MEDANTAMEDANTAPharma & HealthcareS2 ✅₹1409.701359.591202.66+3.1%+0.3%-4.5%1.17×13th73.40.403
360ONE360ONECapital MarketsS2 ✅₹1199.001132.011107.12+1.9%+0.1%-0.3%0.91×3th67.50.399
MAHLOGMAHLOGLogistics & TransportS2 ✅₹401.15391.58365.13+3.3%+0.7%-9.4%0.78×10th63.20.277
Stage Definitions (O'Neil / Weinstein):
  • Stage 2 — Markup (BUY ZONE): Price > SMA50 > SMA200, both MAs rising, within 20% of 52W high. Positive RS percentile.
  • Stage 1 — Base: Price near 200 DMA, MAs flat/declining. Accumulation phase.
  • Stage 3 — Distribution: Near highs but SMA50 flattening, ATR expanding. Avoid.
  • Stage 4 — Decline: Price < SMA50 < SMA200, MAs falling. Shorting territory.

Stage 2 stocks receive a +4 investment score bonus; Stage 3 = −5, Stage 4 = −8. Only buy Stage 2.

52W High Momentum — A3
Stocks within 5% of 52-week high with RS top-25%, rising SMA50, volume ≥ 1× average, and RSI 50–80. Ranked by composite momentum score.
#SymbolCompanySectorPriceDist 52W HighRS RankVol RatioRSIStageScore
1NETWEBNETWEBIT & Technology5601.00+0.0%+83%1.16×72.1S2 ✅
0.80
2CUPIDCUPIDPharma & Healthcare284.58-3.5%+100%1.07×73.5S2 ✅
0.64
2 candidates · Score = RS 35% + Proximity 30% + Volume 20% + RSI 15%
Turnaround Detector — A6

No turnaround candidates today (need: drawdown <−30%, price above SMA50, RSI 35–58, Supertrend BULLISH/NEUTRAL).

Darvas Box Breakout — A2
Nicolas Darvas box technique: stock makes a new high → consolidates ≥3 days → box top/bottom locked → BREAKOUT on close above box top with volume ≥1.3× average. Stop loss = box bottom − 1%.
0
BREAKOUTS
5
NEAR TOP
14
IN BOX
#SymbolCompanySectorPriceBox TopBox BottomWidth%vs Top%DaysStop LossRSIStatus
1DIVISLABDIVISLABPharma & Healthcare8,597.008,600.008,477.001.45%-0.03%78,392.2350.6NEAR_TOP
2SHILPAMEDSHILPAMEDPharma & Healthcare814.95822.00807.751.76%-0.86%5799.6786.5NEAR_TOP
3HFCLHFCLIT & Technology228.01230.03223.902.74%-0.88%3221.6668.1NEAR_TOP
4REDINGTONREDINGTONLogistics & Transport350.55354.85326.308.75%-1.21%10323.0451.7NEAR_TOP
5EDELWEISSEDELWEISSCapital Markets128.68130.28114.0814.20%-1.23%44112.9473.2NEAR_TOP
6CYIENTDLMCYIENTDLMIT & Technology721.15737.45715.603.05%-2.21%4708.4460.6IN_BOX
7ROSSTECHROSSTECHIT & Technology1,074.201,108.901,074.203.23%-3.13%41,063.4651.8IN_BOX
8SIEMENSSIEMENSCapital Goods & Industrials3,920.004,019.003,880.003.58%-2.46%73,841.2052.0IN_BOX
9AUROPHARMAAurobindo Pharma LimitedPharma & Healthcare1,621.301,667.001,608.003.67%-2.74%71,591.9261.1IN_BOX
10LAURUSLABSLAURUSLABSPharma & Healthcare1,802.001,858.001,787.303.96%-3.01%81,769.4348.1IN_BOX
11GLANDGLANDPharma & Healthcare2,819.302,970.202,819.305.35%-5.08%52,791.1167.2IN_BOX
12SYRMASYRMAIT & Technology1,439.301,516.401,439.305.36%-5.08%91,424.9161.7IN_BOX
13MEDANTAMEDANTAPharma & Healthcare1,409.701,476.201,393.505.93%-4.50%91,379.5743.8IN_BOX
14KEIKEICapital Goods & Industrials5,527.605,873.005,527.606.25%-5.88%45,472.3268.0IN_BOX
15RPTECHRPTECHIT & Technology876.90902.85834.058.25%-2.87%12825.7148.9IN_BOX
16PRECWIREPRECWIRECapital Goods & Industrials438.50468.65429.709.06%-6.43%6425.4065.9IN_BOX
17GRANULESGRANULESPharma & Healthcare858.15903.25824.659.53%-4.99%26816.4054.8IN_BOX
18CUPIDCUPIDPharma & Healthcare284.58294.86267.3210.30%-3.49%6264.6573.5IN_BOX
19SOMANYCERASOMANYCERACapital Goods & Industrials520.15539.25479.3012.51%-3.54%37474.5157.3IN_BOX
19 valid boxes · 0 breakouts · 5 near top · 14 in box
Short-Term Technical View
Broader market and selected index view from PostgreSQL index EOD history. Latest data: 2026-08-21.

Broader Market Technical Narrative

Market Regime
  • Broader market technical regime is neutral with 6/13 approved indices in bullish or constructive trends and 3 in weak or bearish trends.
Laggards & Watch Areas
  • Relative strength leadership is with Nifty IT at +5.9% 1M RS versus Nifty 50, while Nifty FMCG lags at -4.6% 1M RS.
Confirmation & Key Levels
  • Nifty 50 closed at 24252.00; its RSI is 48.9, MACD is bearish, support is near 23891.55, and resistance is near 24774.30.
  • SMA / trend alignment: 5 constructive, 4 neutral, 2 bearish, 1 bullish, 1 weak.
  • VCP contraction flags are present in 7 indices, indicating selective volatility contraction rather than a broad setup.
VWAP / Data Limits
  • VWAP is unavailable for indices where local index volume is absent or zero.
Data note: VWAP is marked unavailable where index volume is absent or zero.
Nifty 50 Trend
Neutral
Close 24252.00 · RSI 48.9 · MACD Bearish
Constructive Breadth
6/13
Approved indices in bullish or constructive short-term trend.
RS Leader
Nifty IT
1M RS +5.9% · 1M return +6.9%
VCP Contraction
7
Indices showing range contraction versus prior short-term volatility.
Normalized 1M Performance
Nifty IT
+6.9%
Nifty Auto
+6.6%
Nifty Metal
+4.8%
Nifty Smallcap 100
+4.4%
Nifty Pharma
+2.4%
Nifty Next 50
+2.4%
Nifty Midcap 100
+2.3%
Nifty Bank
+1.1%
Relative Strength vs Nifty 50
Nifty IT
+5.9%
Nifty Auto
+5.5%
Nifty Metal
+3.8%
Nifty Smallcap 100
+3.4%
Nifty Pharma
+1.3%
Nifty Next 50
+1.3%
Nifty Midcap 100
+1.2%
Nifty Bank
+0.0%
SMA / Momentum Trend Score
Nifty Metal
Bullish
Nifty Auto
Constructive
Nifty Smallcap 100
Constructive
Nifty Midcap 100
Constructive
Nifty Bank
Constructive
Nifty Realty
Constructive
Nifty IT
Neutral
Nifty Pharma
Neutral
RSI Momentum Above / Below 50
Nifty Smallcap 100
+15.1
Nifty Auto
+10.3
Nifty Metal
+9.5
Nifty Midcap 100
+7.8
Nifty Realty
+6.9
Nifty Next 50
+4.6
Nifty Pharma
+4.5
Nifty Bank
+3.9
Index Signal Matrix
RS, SMA, RSI, MACD, VCP, support/resistance, and VWAP availability for the approved basket.
IndexClose1W1MRS 1MTrendSMARSIMACDSupportResistanceVCPVWAP
Nifty IT
2026-08-21
30532.25-2.6%+6.9%+5.9%NeutralMIXED51.7Bearish29070.2531955.00YESUnavailable
Nifty Auto
2026-08-21
29124.60-0.3%+6.6%+5.5%ConstructiveABOVE 20 50 20060.3Bearish27365.2529865.50YESUnavailable
Nifty Metal
2026-08-21
13172.60+1.8%+4.8%+3.8%BullishABOVE 20 50 20059.5Bullish12383.1513322.80NOUnavailable
Nifty Smallcap 100
2026-08-21
19977.75+1.2%+4.4%+3.4%ConstructiveABOVE 20 50 20065.1Bearish19006.9020031.05YESUnavailable
Nifty Pharma
2026-08-21
26359.75-0.3%+2.4%+1.3%NeutralMIXED54.5Bearish25592.4026801.20NOUnavailable
Nifty Next 50
2026-08-21
73992.10-0.7%+2.4%+1.3%NeutralMIXED54.6Bearish71977.3574878.45YESUnavailable
Nifty Midcap 100
2026-08-21
63735.75-0.1%+2.3%+1.2%ConstructiveABOVE 20 50 20057.8Bearish62109.0064139.05YESUnavailable
Nifty Bank
2026-08-21
57761.95+0.5%+1.1%+0.0%ConstructiveABOVE 20 50 20053.9Bearish56672.4058247.95YESUnavailable
Nifty 50
2026-08-21
24252.00-0.5%+1.1%0.0%NeutralMIXED48.9Bearish23891.5524774.30YES24376.52
Nifty Realty
2026-08-21
911.60+1.8%+0.9%-0.1%ConstructiveABOVE 20 50 20056.9Bearish876.55927.75NOUnavailable
Nifty Oil & Gas
2026-08-21
11182.75-0.1%-0.5%-1.6%WeakBELOW 20 5047.6Bearish11019.1511358.20NOUnavailable
Nifty Energy
2026-08-21
38252.20-0.8%-3.0%-4.1%BearishBELOW 20 5038.0Bearish37965.4539119.00NOUnavailable
Nifty FMCG
2026-08-21
47510.95-2.3%-3.5%-4.6%BearishBELOW 20 5036.5Bearish47344.7550063.40NOUnavailable

Global / US Context

Local cache-driven global backdrop for the NSE report. No external report is opened from this tab.

Narrative

The cached Global / US snapshot from 2026-05-29 showed RISK-ON conditions, with SOXX - SOXX 1M 26.5% | RS/SPY 51.1 setting the tone. Across the current cache we have 66 tracked symbols, 5 Stage 2 leaders, and 5 VCP / contraction watches. At the time of this cache, the read was: The global backdrop is mixed, so the best Indian trades will still come from local relative strength and price confirmation. The cache is 86 days old, so this section is stale directional context, not a current global market read. The clearest India read-through from this cache is: IT & Technology: positive; Electronics / EMS: positive; Energy - Oil & Gas: positive; Aviation / Paints / Tyres: negative. That does not automatically translate into a trade, but it does help rank sectors that may benefit if global leadership keeps holding.

Regime From Cache
RISK-ON
Latest cache: 2026-05-29 | Symbols: 66
Sector ETF Leader
SOXX - SOXX 1M 26.5% | RS/SPY 51.1
US Stage 2 Leaders
ARM, AMD, MU, MRVL
VCP / Contraction Watch
MS, SPY, ^GSPC, DIA
India Read-Through
IT & Technology: positive; Electronics / EMS: positive; Energy - Oil & Gas: positive; Aviation / Paints / Tyres: negative
Tactical Read

At the time of this cache, the read was: The global backdrop is mixed, so the best Indian trades will still come from local relative strength and price confirmation. The cache is 86 days old, so this section is stale directional context, not a current global market read. The clearest India read-through from this cache is: IT & Technology: positive; Electronics / EMS: positive; Energy - Oil & Gas: positive; Aviation / Paints / Tyres: negative. That does not automatically translate into a trade, but it does help rank sectors that may benefit if global leadership keeps holding.

This tab uses local US/global cache only. It does not fetch data while rendering the NSE report.

Peak Resilience & Fast Recovery
Stocks within 5% of their 52-week high, ranked by composite peak resilience score. Green drawdown = very close to 52W high.
#SymbolSectorPrice52W High52W LowDrawdownRecoveryDaysSpeedPeak Score
1CUPIDPharma & Healthcare₹284.58₹299.00₹32.87
-4.8%
+765.8%347d2.21%/d
89.8
2HFCLIT & Technology₹228.01₹234.40₹59.82
-2.7%
+281.2%206d1.36%/d
89.0
3SHILPAMEDPharma & Healthcare₹814.95₹834.10₹259.50
-2.3%
+214.0%206d1.04%/d
81.3
4MANINDSCapital Goods & Industrials₹715.40₹735.00₹302.05
-2.7%
+136.8%200d0.68%/d
77.7
5NRBBEARINGCapital Goods & Industrials₹486.10₹503.90₹212.55
-3.5%
+128.7%144d0.89%/d
76.5
6LAURUSLABSPharma & Healthcare₹1802.00₹1870.80₹823.10
-3.7%
+118.9%329d0.36%/d
74.2
7NETWEBIT & Technology₹5601.00₹5674.80₹2037.30
-1.3%
+174.9%365d0.48%/d
73.1
8REDINGTONLogistics & Transport₹350.55₹364.50₹191.31
-3.8%
+83.2%141d0.59%/d
70.9
9COFORGEIT & Technology₹1891.70₹1989.70₹1008.10
-4.9%
+87.7%157d0.56%/d
69.0
10WSTCSTPAPRIT & Technology₹637.25₹655.00₹375.00
-2.7%
+69.9%165d0.42%/d
68.0
11DIVISLABPharma & Healthcare₹8597.00₹8674.00₹5636.50
-0.9%
+52.5%326d0.16%/d
66.0
12NAZARAMedia & Entertainment₹354.35₹365.00₹215.70
-2.9%
+64.3%151d0.43%/d
63.5
13AUROPHARMAPharma & Healthcare₹1621.30₹1682.40₹1016.10
-3.6%
+59.6%354d0.17%/d
60.6
14PVRINOXMedia & Entertainment₹1216.80₹1249.70₹907.40
-2.6%
+34.1%144d0.24%/d
56.8
15EDELWEISSCapital Markets₹128.68₹133.90₹93.50
-3.9%
+37.6%364d0.10%/d
55.2
16SIEMENSCapital Goods & Industrials₹3920.00₹4097.90₹2826.00
-4.3%
+38.7%212d0.18%/d
54.0
17ELGIEQUIPCapital Goods & Industrials₹634.35₹644.00₹408.25
-1.5%
+55.4%212d0.26%/d
52.1
18360ONECapital Markets₹1199.00₹1236.20₹906.05
-3.0%
+32.3%136d0.24%/d
49.7
19APOLLOHOSPPharma & Healthcare₹8693.00₹9050.00₹6696.50
-3.9%
+29.8%210d0.14%/d
41.7
All NSE Indices
Performance and range data for all 140 tracked indices. RS 1M and Score are relative to Nifty 500 benchmark.
140 indices
IndexCategoryClose5D1M3M6MRS 1MScore52W High52W LowDD%
Nifty50 Div PointStrategy / Factor189.560.0%+34.3%+512.5%—+32.7%+70.90.000.00inf%
Nifty InternetThematic1459.50+2.2%+10.6%+20.1%—+8.9%+7.91501.901056.45-2.8%
NIFTY IND DIGITALSector8763.75-0.6%+7.9%+11.8%—+6.3%+4.99723.257233.65-9.9%
Nifty MediaSector1612.70+1.4%+7.8%+17.3%—+6.1%+5.81643.801245.05-1.9%
Nifty MS IT TelcmSector10043.10-0.4%+7.2%+8.6%—+5.6%+4.210591.607748.35-5.2%
Nifty ITSector30532.25-2.6%+6.9%+5.6%—+5.3%+3.340301.4025699.10-24.2%
Nifty AutoSector29124.60-0.3%+6.6%+11.9%—+4.9%+4.229865.5023560.10-2.5%
Nifty Trans LogisThematic26624.85-0.2%+6.1%+12.9%—+4.5%+4.027025.0521355.40-1.5%
Nifty MobilityThematic23784.05-0.2%+5.5%+11.5%—+3.9%+3.50.000.00inf%
Nifty EVThematic3338.30-1.3%+5.5%+11.0%—+3.8%+3.20.000.00inf%
NIFTY MICROCAP250Size26334.35+0.7%+5.4%+13.2%—+3.7%+3.826388.1518858.50-0.2%
NIFTY SMLCAP 50Size9987.05+1.1%+5.3%+13.0%—+3.6%+3.810021.757338.35-0.3%
Nifty Mid Liq 15Size17393.05+0.7%+5.0%+4.4%—+3.4%+2.717430.1513702.75-0.2%
Nifty MetalSector13172.60+1.8%+4.9%-0.7%—+3.2%+2.313931.359132.20-5.4%
Nifty New ConsumpThematic12247.15+0.2%+4.8%+12.2%—+3.1%+3.20.000.00inf%
NIFTY Alpha 50Size56454.75+0.5%+4.6%+8.3%—+2.9%+2.80.000.00inf%
NIFTY SMLCAP 100Size19977.75+1.2%+4.4%+11.3%—+2.8%+3.120031.0514986.00-0.3%
Nifty Ind DefenceThematic9832.35+0.2%+4.4%+8.1%—+2.7%+2.59977.607184.90-1.5%
Nifty IPOThematic2393.85+1.8%+4.2%+15.6%—+2.6%+3.52398.701774.60-0.2%
Nifty GrowSect 15Thematic11539.65-1.5%+3.8%+6.7%—+2.1%+1.712852.4510329.35-10.2%
Nifty Smallcap 500Other21003.85+0.7%+3.7%+10.6%—+2.1%+2.521038.8515960.20-0.2%
Nifty SME EmergeThematic14536.25+1.4%+3.7%+6.2%—+2.1%+2.217223.6511015.55-15.6%
NIFTY CONSR DURBLSector40580.85-0.1%+3.6%+15.1%—+1.9%+2.740796.9532587.95-0.5%
Nifty Multi MfgThematic16983.75-0.2%+3.5%+5.1%—+1.9%+1.717180.3014148.20-1.1%
Nifty HighBeta 50Strategy / Factor4539.60+0.9%+3.5%+9.3%—+1.8%+2.30.000.00inf%
Nifty MS Fin ServSector22855.70+1.0%+3.5%+3.6%—+1.8%+1.722890.2517421.50-0.2%
NiftyMS400 MQ 100Size52047.85+0.3%+3.3%+3.1%—+1.6%+1.40.000.00inf%
NiftyConglomerateThematic15382.90-0.2%+3.3%+5.8%—+1.6%+1.615692.3012226.80-2.0%
Nifty FinSerExBnkSector32724.55+0.6%+3.2%+3.9%—+1.5%+1.533301.0526788.05-1.7%
Nifty200 Alpha 30Strategy / Factor26814.35+0.4%+3.2%+4.3%—+1.5%+1.50.000.00inf%
NiftySml250MQ 100Size48869.45+1.0%+3.1%+8.6%—+1.4%+2.00.000.00inf%
NIFTY SMLCAP 250Size18414.45+0.7%+3.1%+9.8%—+1.4%+2.118447.1014143.45-0.2%
NIFTY M150 QLTY50Size24716.05-0.5%+3.1%+4.4%—+1.4%+1.30.000.00inf%
Nifty100 Liq 15Other7678.10-0.3%+3.0%+8.1%—+1.4%+1.67785.856565.70-1.4%
NIFTY INDIA MFGSector16474.35-0.4%+3.0%+4.3%—+1.3%+1.20.000.00inf%
Nifty WavesThematic1951.85+0.5%+2.9%+3.0%—+1.3%+1.32789.801581.05-30.0%
Nifty Tata 25 CapThematic14506.30-1.4%+2.9%+2.0%—+1.2%+0.715588.8513218.65-6.9%
Nifty PSU BankSector8620.00-1.4%+2.8%+7.7%—+1.2%+1.39918.656730.30-13.1%
NiftyM150Momntm50Size63922.90-0.2%+2.7%+2.0%—+1.0%+0.90.000.00inf%
Nifty MidSmall 50 50Other21065.90+0.3%+2.6%+6.9%—+0.9%+1.421121.0016874.30-0.3%
NIFTY100 Qualty30Strategy / Factor5697.65-1.3%+2.5%+3.1%—+0.9%+0.60.000.00inf%
Nifty Top 20 EWStrategy / Factor8925.00-0.7%+2.5%+5.3%—+0.8%+1.00.000.00inf%
Nifty TMMQ 50Strategy / Factor44560.55-0.8%+2.4%+0.8%—+0.8%+0.50.000.00inf%
Nifty Midcap 50Size18320.25+0.3%+2.4%+4.8%—+0.8%+1.118403.5014804.55-0.5%
NIFTY MIDSML 400Broad Market21596.65+0.2%+2.4%+5.9%—+0.8%+1.221673.6517390.85-0.4%
Nifty500Momentm50Strategy / Factor54804.75-0.1%+2.4%+3.8%—+0.7%+0.90.000.00inf%
Nifty PharmaSector26359.75-0.3%+2.4%+7.3%—+0.7%+1.226801.2021149.90-1.6%
Nifty Next 50Broad Market73992.10-0.7%+2.3%+6.0%—+0.7%+1.074878.4559896.10-1.2%
NIFTY MIDCAP 100Size63735.75-0.1%+2.3%+3.8%—+0.6%+0.864139.0552032.85-0.6%
Nifty500 FlexicapOther10133.65-1.0%+2.3%+4.9%—+0.6%+0.70.000.00inf%
Nifty500 LMS EqlOther18715.50+0.1%+2.2%+5.5%—+0.5%+1.018831.8015495.10-0.6%
Nifty500 EWOther15127.10+0.1%+2.1%+6.5%—+0.5%+1.00.000.00inf%
Nifty MidSml HlthSize51782.55-0.5%+2.1%+7.5%—+0.5%+1.053040.5540352.90-2.4%
NIFTY MIDCAP 150Size23407.70-0.1%+2.1%+4.0%—+0.4%+0.723545.0019218.00-0.6%
Nifty50 TR 2x LevStrategy / Factor18395.30-1.0%+2.1%+4.2%—+0.4%+0.531895.451056.45-42.3%
Nifty Multi MQ 50Strategy / Factor41877.25+0.0%+2.0%-1.2%—+0.4%+0.20.000.00inf%
Nifty Ind TourismThematic8007.90-0.5%+2.0%+10.4%—+0.4%+1.29380.656502.65-14.6%
Nifty50 USDStrategy / Factor8778.35-0.8%+2.0%+2.1%—+0.3%+0.30.000.00inf%
NIFTY200 QUALTY30Strategy / Factor20587.70-1.5%+2.0%+2.0%—+0.3%+0.20.000.00inf%
NIFTY500 MULTICAPBroad Market16710.90-0.1%+2.0%+4.9%—+0.3%+0.716847.1514102.20-0.8%
Nifty ConsumptionThematic12018.85-1.0%+1.9%+6.3%—+0.2%+0.712716.2010298.50-5.5%
Nifty500 ShariahStrategy / Factor7027.45-1.2%+1.9%+2.2%—+0.2%+0.27291.956162.95-3.6%
NIFTY TOTAL MKTBroad Market13294.10-0.2%+1.8%+4.3%—+0.2%+0.613548.0011436.55-1.9%
Nifty Capital MktSector5423.15+2.5%+1.8%-2.4%—+0.1%+0.45697.104086.85-4.8%
NIFTY100 EQL WgtStrategy / Factor35139.55-0.6%+1.8%+4.3%—+0.1%+0.40.000.00inf%
NIFTY100 ESGStrategy / Factor5050.20-0.8%+1.7%+5.1%—+0.1%+0.50.000.00inf%
Nifty100 Enh ESGOther5083.85-0.8%+1.7%+5.0%—+0.1%+0.50.000.00inf%
NIFTY LARGEMID250Broad Market16864.75-0.3%+1.7%+3.5%—+0.0%+0.417077.7514445.65-1.2%
NIFTY MID SELECTSize14875.45-0.6%+1.7%+3.4%—+0.0%+0.315078.1512046.20-1.3%
Nifty Top 10 EWStrategy / Factor8623.50-0.6%+1.7%+0.8%—+0.0%+0.10.000.00inf%
Nifty 500Broad Market23530.30-0.3%+1.7%+3.9%+2.9%0.0%+0.424144.2020385.65-2.5%
Nifty 500Broad Market23530.30-0.3%+1.7%+3.9%+2.9%0.0%+0.424144.2020385.65-2.5%
Nifty50 PR 2x LevStrategy / Factor12072.75-1.0%+1.6%+2.9%—-0.0%+0.231895.451056.45-62.1%
Nifty Top 15 EWStrategy / Factor9844.55-0.8%+1.6%+2.9%—-0.1%+0.20.000.00inf%
Nifty Sml250 Q50Size25578.80-0.6%+1.6%+3.8%—-0.1%+0.30.000.00inf%
Nifty 200Broad Market14103.10-0.4%+1.5%+3.1%—-0.2%+0.214700.9512396.10-4.1%
Nifty FPI 150Thematic1575.85-0.5%+1.4%+2.9%—-0.3%+0.11641.401346.50-4.0%
Nifty100 Alpha 30Strategy / Factor18368.40-0.1%+1.4%+4.0%—-0.3%+0.30.000.00inf%
Nifty Corp MAATRThematic39291.75-0.7%+1.4%+2.4%—-0.3%+0.00.000.00inf%
Nifty MNCThematic33128.35-1.5%+1.3%+3.7%—-0.3%-0.034028.0027597.20-2.6%
Nifty200Momentm30Strategy / Factor30968.20-0.3%+1.3%+2.2%—-0.3%+0.00.000.00inf%
Nifty500 HealthStrategy / Factor21431.90-0.6%+1.3%+6.3%—-0.4%+0.421896.1516294.60-2.1%
Nifty 100Broad Market25396.05-0.5%+1.3%+2.9%—-0.4%+0.126975.1522720.45-5.9%
Nifty BankSector57761.95+0.5%+1.1%+6.9%—-0.6%+0.561764.8549954.85-6.5%
Nifty 50Broad Market24252.00-0.5%+1.1%+2.2%+6.1%-0.6%+0.226373.2022182.55-8.0%
NIFTY50 EQL WgtStrategy / Factor33123.20-0.7%+1.1%+2.1%—-0.6%-0.20.000.00inf%
Nifty RealtySector911.60+1.8%+1.0%+17.7%—-0.7%+1.8974.50638.65-6.5%
Nifty Shariah 25Strategy / Factor8001.55-1.7%+0.9%+2.4%—-0.8%-0.58562.107196.60-6.5%
Nifty RuralThematic15590.00-1.0%+0.8%+3.1%—-0.8%-0.316396.4013751.35-4.9%
Nifty500 Qlty50Strategy / Factor19772.35-1.1%+0.8%+0.4%—-0.8%-0.60.000.00inf%
Nifty MS Ind ConsSector18956.80-0.4%+0.8%+6.4%—-0.9%+0.120135.1515614.35-5.9%
Nifty50 ShariahStrategy / Factor4264.60-2.3%+0.8%-1.9%—-0.9%-1.14982.454082.25-14.4%
Nifty NonCyc ConsThematic15423.60-1.2%+0.8%+4.8%—-0.9%-0.216983.4513311.10-9.2%
Nifty Div Opps 50Strategy / Factor5868.55-1.6%+0.7%-0.4%—-0.9%-0.86584.655614.00-10.9%
Nifty GS 11 15YrFixed Income3381.73-0.6%+0.6%+4.6%—-1.1%-0.20.000.00inf%
Nifty100ESGSecLdrOther4072.15-0.6%+0.6%+2.6%—-1.1%-0.40.000.00inf%
NIFTY100 LowVol30Strategy / Factor20251.50-1.2%+0.5%+3.2%—-1.1%-0.50.000.00inf%
Nifty RailwaysPSUThematic2838.55-1.3%+0.5%-8.2%—-1.1%-1.74005.502744.60-29.1%
Nifty GS 15YrPlusFixed Income3569.49-1.2%+0.5%+4.1%—-1.2%-0.40.000.00inf%
Nifty Serv SectorSector30936.50-0.6%+0.5%+3.4%—-1.2%-0.434549.7528232.65-10.5%
NIFTY HEALTHCARESector16423.90-0.5%+0.4%+4.8%—-1.2%-0.316921.0513536.50-2.9%
BHARATBOND-APR30Fixed Income1610.66-0.2%+0.4%+3.0%—-1.3%-0.40.000.00inf%
Nifty Qlty LV 30Strategy / Factor16672.90-1.3%+0.4%+2.7%—-1.3%-0.70.000.00inf%
Nifty GS 4 8YrFixed Income3339.00-0.4%+0.4%+3.0%—-1.3%-0.50.000.00inf%
Nifty Pvt BankSector27590.65+1.3%+0.4%+4.6%—-1.3%+0.029748.4523957.45-7.3%
Nifty CoreHousingThematic15859.20-0.0%+0.3%+5.2%—-1.3%-0.216610.2512788.20-4.5%
Nifty GS CompsiteFixed Income3144.53-0.7%+0.3%+3.3%—-1.3%-0.50.000.00inf%
Nifty Multi InfraThematic14670.25-0.2%+0.3%+2.1%—-1.4%-0.614885.8012542.85-1.4%
Nifty Low Vol 50Strategy / Factor24687.25-0.9%+0.3%+1.7%—-1.4%-0.80.000.00inf%
Nifty Fin ServiceSector26261.00+0.2%+0.3%+2.9%—-1.4%-0.428562.5023373.95-8.1%
BHARATBOND-APR31Fixed Income1463.97-0.4%+0.3%+3.3%—-1.4%-0.50.000.00inf%
NIFTY AlphaLowVolStrategy / Factor27195.45-0.7%+0.2%+5.2%—-1.4%-0.40.000.00inf%
BHARATBOND-APR33Fixed Income1291.02-0.3%+0.2%+3.7%—-1.4%-0.50.000.00inf%
Nifty GS 8 13YrFixed Income3052.13-0.6%+0.2%+3.0%—-1.5%-0.60.000.00inf%
BHARATBOND-APR32Fixed Income1330.91-0.4%+0.2%+3.6%—-1.5%-0.50.000.00inf%
Nifty50 Value 20Strategy / Factor11873.85-0.6%+0.2%-1.1%—-1.5%-1.113684.4011528.60-13.2%
Nifty GS 10YrFixed Income2670.73-0.7%+0.1%+2.8%—-1.6%-0.70.000.00inf%
Nifty500 LowVol50Strategy / Factor22369.55-0.8%-0.0%+1.5%—-1.7%-0.90.000.00inf%
Nifty REITs RealtyOther1952.10-0.0%-0.1%+9.7%—-1.7%+0.02012.901632.55-3.0%
Nifty InfraSector9362.95-0.6%-0.1%+0.0%—-1.7%-1.19792.608426.65-4.4%
Nifty FinSrv25 50Size28558.85-0.0%-0.1%+2.4%—-1.8%-0.70.000.00inf%
Nifty500 Value 50Strategy / Factor16044.65-0.3%-0.1%-2.8%—-1.8%-1.30.000.00inf%
Nifty AQL 30Strategy / Factor22928.35-1.2%-0.3%+2.6%—-1.9%-1.10.000.00inf%
Nifty HousingThematic11940.55-0.0%-0.3%+0.5%—-2.0%-1.012244.2510358.70-2.5%
Nifty AQLV 30Strategy / Factor20241.65-0.8%-0.4%+1.7%—-2.1%-1.10.000.00inf%
Nifty GS 10Yr ClnFixed Income872.57-0.8%-0.4%+1.1%—-2.1%-1.20.000.00inf%
NIFTY OIL AND GASSector11182.75-0.2%-0.5%-1.7%—-2.2%-1.412445.7010580.95-10.1%
Nifty InfraLogThematic12148.40-0.7%-0.6%+1.3%—-2.3%-1.312549.959210.40-3.2%
Nifty50 PR 1x InvStrategy / Factor219.15+0.6%-0.7%-1.3%—-2.4%-1.431895.45197.80-99.3%
Nifty50 TR 1x InvStrategy / Factor177.85+0.6%-0.9%-1.9%—-2.6%-1.531895.45161.80-99.4%
Nifty CommoditiesSector9804.60-0.2%-1.0%-4.3%—-2.6%-2.010569.658560.60-7.2%
Nifty500 MQVLv50Strategy / Factor30586.10-1.4%-1.3%-0.8%—-3.0%-2.10.000.00inf%
Nifty200 Value 30Strategy / Factor14901.10-0.9%-1.5%-3.2%—-3.1%-2.30.000.00inf%
Nifty ChemicalsSector30067.65-2.1%-1.9%+3.1%—-3.5%-2.231895.4524851.65-5.7%
Nifty PSEThematic9788.30-0.6%-2.3%-5.5%—-4.0%-3.010839.059168.35-9.7%
Nifty EnergySector38252.20-0.8%-3.0%-4.9%—-4.7%-3.441828.5532890.30-8.6%
Nifty CPSEThematic6480.20+0.5%-3.1%-9.4%—-4.8%-3.67593.356101.90-14.7%
Nifty CementOther14933.45-0.4%-3.4%-1.4%—-5.1%-3.218188.6013534.80-17.9%
Nifty FMCGSector47510.95-2.3%-3.5%-5.5%—-5.2%-4.058485.0545334.15-18.8%
India VIXSector11.20-1.0%-15.7%-37.5%—-17.4%-14.328.918.72-61.3%
Methodology
How each score and screen is calculated.
1 · Scoring Frameworks
R
Sector Rotation Score

Ranks sectors by short-term momentum and relative strength versus the Nifty 500 benchmark. Positive values mean the sector is outperforming the broad market. The five sub-components capture momentum across multiple timeframes, with the heaviest weight on 1-month RS.

0.35 × RS_1M + 0.25 × RET_1M
+ 0.20 × RS_5D + 0.10 × RS_3M + 0.10 × RS_6M
RS_xM = sector return minus Nifty 500 return over the same period
S
Investment Score

Per-stock composite score (0–100+) that blends price momentum, relative strength, fundamentals, and qualitative bonuses. Use it to rank candidates within a sector, not across sectors. Stage 2 stocks receive +4; Stage 3 = −5; Stage 4 = −8.

0.38 × Tech + 0.27 × RS_rank + 0.25 × Fund
+ Pattern bonus (+3) + Supertrend bonus (+2)
+ Signal bonus (F&O/Insider) + Stage bonus (±4/−5/−8)
T
Technical Score

Aggregates price-based momentum signals: RSI (14), distance from 52W high, SMA50/SMA200 position, short-term rate-of-change, and volume trend. Scored 0–100; values above 60 indicate strong uptrend conditions.

RSI, SMA50/200 crossover, 52W high proximity,
5-day & 20-day ROC, volume ratio vs 20D avg
F
Fundamental Score

Enhanced composite score sourced from the Screener.in pipeline, covering earnings quality, revenue growth, balance sheet strength, and institutional interest. Refreshed weekly.

Score: 0–100 · Source: fundamental_scores_database.csv
≥65: Strong · 50–65: Moderate · <50: Speculative
P
Peak Resilience Score

Identifies stocks trading within 20% of their 52-week high — the hallmark of institutional accumulation. Scores favour stocks near their peak with strong technicals, fast drawdown recovery, and solid fundamentals.

0.25 × Tech + 0.20 × RS + 0.20 × RecoverySpeed
+ 0.20 × HighProximity + 0.15 × Fund
2 · Trend & Pattern Indicators
ST
Supertrend

ATR-based dynamic support/resistance line. When price closes above the band the signal turns Bullish; below it turns Bearish. A flip from Bear→Bull adds +2 to the Investment Score. Works best on daily timeframe with a 1–2 week holding horizon.

Period: 10 · Multiplier: 3.0 · Source: NSE OHLC cache
Score bonus: +2 (Bull), −1 (Bear)
B
Consolidation Breakout

Flags stocks that have just broken above a tight multi-week base. Requires the latest close to exceed the prior 20-session high, the base to be narrow (≤12% range), and volume to spike to at least 1.4× the 20-day average — confirming institutional demand.

Lookback: 20 sessions · Base width ≤ 12%
Volume threshold: 1.4× 20D avg · Score bonus: +3
A1
Stage Analysis (O'Neil / Weinstein)

Classifies every stock into one of four price-cycle stages using the SMA 50/200 structure and their slopes. Only buy Stage 2. Avoid Stage 3 (distribution) and never hold Stage 4 (decline).

  • Stage 2 — Markup ✅: Price > SMA50 > SMA200, both slopes rising, within 20% of 52W high. Score +4.
  • Stage 1 — Base: Price near 200 DMA, MAs flat. Accumulation phase. Score 0.
  • Stage 3 — Distribution ⚠: Near highs but SMA50 flattening, ATR expanding. Score −5.
  • Stage 4 — Decline ❌: Price < SMA50 < SMA200, both MAs falling. Score −8.
SMA50/200 · 10-day slope · 52W high dist · Vol ratio · ATR expansion
3 · Signals Column (F&O · Insider · Events)
SG
Reading the Signals Button

Each stock row has a compact Signals button showing three coloured dots. Click to expand a popup with the full detail for each signal type. Click anywhere else to close.

Green — Bullish signal (F&O bull, insider buy, bullish event)
Red — Bearish signal (F&O bear, insider sell/pledge)
Grey — Neutral / mixed signal
Blue — Upcoming corporate event
Light — No data for this signal type
F&O
F&O Signals

Derived from NSE Futures & Options data. The Put/Call Ratio (PCR) and Open Interest (OI) trend identify smart-money positioning. An expanding OI with rising price confirms a strong trend; falling OI on a rally is a warning.

  • BULL: PCR > 1.2 or OI trending up with price rise
  • MILD_BULL / MILD_BEAR: Mixed OI signals
  • BEAR: PCR < 0.7 or OI building on price decline
Score bonus: +2 (BULL), +1 (MILD_BULL), −1 (MILD_BEAR), −3 (BEAR)
IN
Insider Alerts

Monitors SEBI bulk/block deal disclosures and promoter shareholding changes. Promoter buying at market price is one of the strongest fundamental signals; promoter pledging or large block selling flags elevated risk.

  • PROMOTER_BUYING: +6 score · INSIDER_BUY: +4
  • BULK_DEAL_BUY: +3 · BULK_DEAL_SELL: −3
  • PROMOTER_SELLING: −4 · PROMOTER_PLEDGE: −5
Lookback: 90 days · Source: SEBI disclosures via NSE API
EV
Corporate Events

Surfaces the next material event (earnings, dividend, board meeting, AGM, split, bonus) from the NSE corporate actions calendar. Urgency is colour-coded by days remaining.

  • 🔴 ≤ 3 days: Imminent — animated pulse badge
  • 🟡 4–7 days: This week — amber badge
  • 🔵 8–30 days: Upcoming — blue badge
  • ⚪ > 30 days: Far out — grey badge
Score bonus: +3 (results ≤7d), +1 (dividend), −1 (AGM/EGM)
4 · Sectoral Seasonality — How to Read the Heat Calendar
B3
Sectoral Heat Calendar (7-Year Monthly Returns)

The heat calendar shows the average return for each NSE sector index in every calendar month, computed over the last 7 years of NSE index data. It answers: "Historically, has this sector tended to go up or down in this month?"

Reading the Colours
> +5%
+2% → +5%
+1% → +2%
0% → +1%
−1% → 0%
−1% → −2%
−2% → −5%
−5% → −10%
< −10%

Arrows inside each cell: ↑ avg > +1% · → flat (−0.5% to +1%) · ↓ avg < −0.5%.
The current month row is highlighted in blue with a ◀ marker.

Signals Derived

Each sector is tagged TAILWIND, HEADWIND, or NEUTRAL for the current month based on its historical average return:

  • TAILWIND: avg monthly return > +2% over ≥5 years of data
  • HEADWIND: avg monthly return < −1%
  • NEUTRAL: between −1% and +2%, or fewer than 5 observations

These signals appear as coloured tags on sector headers in the Sector Rotation tab and as a summary in the Overview.

⚠ Interpretation Guidance

Seasonal patterns are probabilistic, not deterministic. A TAILWIND month improves the base rate; it does not guarantee a positive return. Always cross-reference with the Rotation Score and the current market regime (displayed in the top banner). A HEADWIND season in a strong uptrend sector is less of a deterrent than in a weakening one. Use seasonality as a tie-breaker, not the primary filter.

5 · All Indices Tab
IX
136 NSE Indices — Coverage & Layout

Covers all NSE index series with performance metrics computed from the same index data feed. Use the category filter chips to narrow focus, and the search box to jump to a specific index.

  • Broad Market: Nifty 50, 100, 200, 500 and multi-cap composites
  • Sector: 25 NSE sector sub-indices (Auto, Bank, IT, Metal…)
  • Thematic: EV, Defence, Housing, Railways, Tourism…
  • Strategy / Factor: Alpha, Low Vol, Momentum, Quality, Value…
  • Size: Mid, Small, Micro-cap series and derivatives
  • Fixed Income: Bharat Bond ETF indices and G-Sec series
Columns: 5D · 1M · 3M · 6M return · RS vs Nifty 500 (1M)
Rotation Score · 52W High · 52W Low · Drawdown from 52W High
All columns sortable — click any header to rank
DD
Drawdown from 52W High

The DD% column shows how far the index is currently trading below its 52-week high. This is the most direct measure of whether an index has corrected or is still near peak levels.

  • 0% to −5%: Near all-time / 52W high — strong trend
  • −5% to −15%: Healthy pullback — possible buy zone
  • −15% to −30%: Correction — wait for base or reversal signal
  • > −30%: Deep decline — avoid unless very strong catalyst
Disclaimer

This report is not investment advice. It is a learning journey demonstrating how AI and rules-based agents can be applied to financial markets. Validate all data, prices, liquidity, corporate events, and risk independently before making any financial decision. This material must not be replicated or used with any intent of trading or recommendation. Narratives are AI-assisted analyses grounded in the displayed data and are subject to all limitations thereof.