The Nifty faced a volatile week, ending with a 0.64% loss as it reacted to the US election and encountered strong resistance levels between 24500-24750. While a technical rebound occurred, selling pressure kept gains in check. Support remains at 23800, with a breach potentially leading to further weakness. A cautious outlook is advised for the coming week, with a focus on protecting gains during intermittent rebounds. Sector rotation is also evident, with Financial Services, IT, and Pharma leading, while Consumption and FMCG weaken.
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