Nifty 50 Weekly Wrap: Institutional Support Cushions a Narrow Range Week | Week of 2026-07-06 to 2026-07-10
Institutional net buying of over ₹4,600 crore failed to translate into price gains, signaling distribution or supply overhead near 24,500 that absorbed every rally attempt this week.
Nifty 50 Weekly Wrap: Narrow Range, Low Volatility, and the Complacency Puzzle | Week of 2026-06-29 to 2026-07-03
Nifty posted a 0.91% weekly gain within a compressed 548-point range; with VIX at 11.8, the primary risk is not direction but a volatility expansion that punishes complacent positioning on either side.
Nifty 50 Weekly Wrap: Market Treads Water as DIIs Counter FII Caution | Week of 2026-06-22 to 2026-06-26
Nifty held its ground across a 476-point weekly range with a near-zero net change, but the real story is DII buying absorbing FII pressure at critical support—a balance that looks stable until it isn't.
Nifty 50 Weekly Wrap: FII Firepower Returns as Index Climbs 1.74% on Strong Foreign Inflows | Week of 2026-06-15 to 2026-06-19
Nifty reclaimed 24,000 on FII-led buying after weeks of institutional absence, but the 371-point gap between the weekly high and low suggests conviction is returning selectively, not broadly.
Nifty 50 Weekly Wrap: DII Firepower Absorbs FII Selling as Nifty Closes Near Fresh Highs | Week of 2026-06-08 to 2026-06-12
Nifty gained 1.13% on the week despite net FII selling of ₹1,082 crore, closing within 14 points of its weekly high as DII absorption drove the advance, but the rally's dependence on domestic flows rather than foreign conviction keeps the move conditional.
Nifty 50 Weekly Wrap: DIIs Defend 23,200 as Global Tech Rout Triggers ₹8,776 Cr FII Exit | Week of June 1-5, 2026
DIIs absorbed ₹8,776 crore in FII selling to hold Nifty above 23,200 even as the Nasdaq shed 4.18%, but the 582-point weekly swing signals that domestic support alone cannot indefinitely suppress the index's downside risk.