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Nifty BankNifty Outlook for Tomorrow

Date:

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Market Insights

Market Sentiment

MILDLY CAUTIOUS

Sentiment Score

42/100

AI Summary: Nifty and Bank Nifty ended slightly lower, while India VIX stayed low. Broad cues remain mixed, with sector rotation visible across banking and auto, but IT and pharma looked softer.

Daily Analysis Video

Watch today’s in-depth Nifty BankNifty market analysis.

Market Snapshot (13 August 2026)

NIFTY 50
24,395.85
-40.10 (-0.16%)
BANKNIFTY
57,635.25
-250.60 (-0.43%)
INDIA VIX
11.42
-0.27 (-2.33%)
PCR TOTAL
0.78
Options data updated

FII DII Data (13-Aug-2026)

Institution Net Value ₹ Cr Signal
FII/FPI -510.69 Selling
DII +4,353.09 Buying

FII DII Interpretation

FIIs were net sellers and DIIs net buyers on 13-Aug-2026. This shows foreign outflow was offset by domestic support, which often helps limit downside.

Conclusion: Overall cash flow appears supportive but not strongly bullish because institutional participation is divided.

OI Data

PCR Total 0.78
Max Call OI 25000 CE
Max Put OI 24000 PE
Call Writing 24800 CE
Put Writing 24350 PE

OI Interpretation

Fresh OI data shows max call OI at 25000 CE and max put OI at 24000 PE. Call writing near 24800 CE and put writing near 24350 PE suggests a defined near-term range.

Conclusion: Open interest pattern reflects resistance overhead and support below current levels, without implying a guaranteed move.

VIX PCR Data

Indicator Value Change
India VIX 11.42 -0.27 (-2.33%)
PCR 0.78 Options data updated

VIX PCR Interpretation

India VIX at 11.42 suggests calm volatility conditions. PCR at 0.78 is below 1, indicating cautious sentiment with more call-side positioning than put-side.

Conclusion: Low volatility and sub-1 PCR point to a guarded but stable market mood.

Sector Strength View

Strong Sectors Banking, Auto, Financial Services
Weak Sectors IT, Pharma

AI Sector View: Banking, Auto, and Financial Services showed relative strength, while IT and Pharma were weak. Sector leadership is rotating rather than broad-based.

Tomorrow Market Outlook

Expected Bias Neutral to mildly cautious
Volatility Higher

Outlook Summary: Near-term market tone may stay range-bound with stock- and sector-specific action, given mixed institutional flows and moderate derivatives positioning.

Disclaimer: This report is for educational and informational purposes only. It should not be considered financial or investment advice.

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