Opening Setup: Early cues from GIFT Nifty (24,094, +0.54%) vs Nifty Current-Month Futures (24,000) indicate an implied opening gap of +93 pts (+0.39% โข GAP-UP ๐ข), projecting an implied spot open around 24,008 (Prev Spot: 23,914). Global cues point to a risk-on (bullish macro bias), with Brent and US yields setting the early macro tone. FII index futures positioning stands at extremely bearish (heavy short positioning) (Long: 10.0% | Ratio: 0.11 | Net OI: -2.29L, -7,131 1D; Options Net: -8.92L vs Client Retail: +9.85L), with FIIs netting +6,688.37 Cr against DII support of +2,812.98 Cr. Nifty derivative positioning shows key Call resistance at 24,200 and Put support at 23,000 with ATM PCR at 0.88.
Tactical Plan: Watch opening price action around Nifty Pivot P (23,871.90). Sustaining above 23,871.90 favors testing R1 (23,957.00), while rejection opens a retest of S1 (23,829.35). In sector rotation, Nifty Realty, Nifty India Internet maintain leading relative strength for long setups, while lagging sectors should be prioritized for short/hedging opportunities.
๐ GLOBAL MACRO PULSE & OVERNIGHT SETUP
RISK-ON (BULLISH MACRO BIAS)
Favorable global setup with steady equities, cooling yields, and stable crude supporting domestic risk appetite.
๐
GIFT NIFTY (LIVE OVERNIGHT)
24,093.50 (+128.50 (+0.54%))
NIFTY CURRENT FUTURES (PREV CLOSE)
24,000.30 (Exp: 2026-09-29)
IMPLIED GAP (FUT vs FUT)
+93.20 pts (+0.39%) โข GAP-UP ๐ข
IMPLIED SPOT OPENING
24,007.65 (Prev: 23,914.45)
GLOBAL EQUITIES
| Asset | Price | 1D % |
| S&P 500 | 7,666.60 | +0.46% |
| Nasdaq 100 | 26,217.83 | +0.45% |
| Nikkei 225 | 64,421.97 | +0.25% |
| Hang Seng | 25,478.00 | +0.66% |
| Nifty 50 (Prev Close) | 23,914.45 | -0.59% |
COMMODITIES & ENERGY
| Commodity | Price | 1D % |
| Brent Crude | $95.48 | +0.03% |
| WTI Crude | $91.01 | +0.35% |
| Gold (USD) | $4,455.50 | +2.45% |
| Silver (USD) | $66.31 | +3.21% |
YIELDS, FX & VIX
| Indicator | Level | Bias |
| US 10Y Yield | 4.796% | Neutral โช |
| Dollar Index (DXY) | 99.53 | Neutral โช |
| USD / INR | 94.96 | Neutral โช |
| India 10Y G-Sec | 6.975% | Neutral โช |
| India VIX | 11.59 | Calm ๐ข |
| US CBOE VIX | 15.20 | Neutral โช |
๐ NIFTY 50 TECHNICAL PIVOTS
Pattern: NR7 (Volatility Squeeze / Breakout Alert)
| Level | Price | Context |
| Resistance 3 (R3) | 24,084.65 | Extreme Expansion Target |
| Resistance 2 (R2) | 23,999.55 | Range Top / Breakdown Retest |
| Resistance 1 (R1) | 23,957.00 | Intraday Resistance |
| Pivot Point (P) | 23,871.90 | Day's Trend Decider |
| Support 1 (S1) | 23,829.35 | Intraday Support |
| Support 2 (S2) | 23,744.25 | Range Bottom / Demand Zone |
| Support 3 (S3) | 23,701.70 | Extreme Panic Target |
Moving Averages: 20 DMA: 24,299.61 (-1.59%) โข 50 DMA: 24,203.37 โข 200 DMA: 24,639.38
๐ BANK NIFTY TECHNICAL PIVOTS
Pattern: Double Top (M-Formation Rejection Setup)
| Level | Price | Context |
| Resistance 3 (R3) | 57,718.90 | Extreme Expansion Target |
| Resistance 2 (R2) | 57,470.00 | Range Top / Breakdown Retest |
| Resistance 1 (R1) | 57,321.00 | Intraday Resistance |
| Pivot Point (P) | 57,072.10 | Day's Trend Decider |
| Support 1 (S1) | 56,923.10 | Intraday Support |
| Support 2 (S2) | 56,674.20 | Range Bottom / Demand Zone |
| Support 3 (S3) | 56,525.20 | Extreme Panic Target |
Moving Averages: 20 DMA: 57,594.68 (-0.73%) โข 50 DMA: 57,609.51 โข 200 DMA: 57,444.81