आज का बाज़ार Outlook (13-Apr-2026)
Monday का बाज़ार flat to positive opening के साथ शुरू हो सकता है Gift Nifty mild premium (~0.2-0.3%) signaling. Q4 results season peak के साथ selective sectoral rotation expected—Insurance/Telecom stocks momentum intact post Friday rally, Bank Nifty support providing broader stability. Nifty resistance 24,100-24,150, support 23,900-24,000 critical watch. Volatility moderate (India VIX ~14-15 levels).
कहाँ रखी जाए नज़र
Key Indices: Nifty 24,100 CE (resistance test), Bank Nifty 52,000 (psychological), Midcap-100 outperformance continuation.
Sectoral Leaders: Insurance (ICICIGI, HDFCLIFE post-rally momentum), Telecom (TEJASNET BSNL theme), Banking (SBI, HDFCBANK Q4 anticipation).
Stocks in Action: TEJASNET (pre-results buzz), ICICIGI (₹1,780 breakout continuation), HDFCLIFE (₹604 channel top test), JUSTDIAL (₹582 digital theme). Ban List: Adani Enterprises, PNB likely.
Global बाज़ार हाल
US Markets: S&P 500 flat close Friday (5,650 zone), Nasdaq mild profit booking (-0.2%), Fed rate cut pause expectations weighing sentiment.
Asia: Nikkei +0.8%, Hang Seng +1.2% China stimulus hopes, Kospi +1.5% ceasefire optimism. Middle East ceasefire positive spillover expected.
Gift Nifty, Dollar Index, India VIX
Gift Nifty: 24,120 (+50 points premium) positive opening bias.
Dollar Index: 104.20 (mild pullback from 104.80 peak) Rupee 83.45-83.55 range comfortable.
India VIX: ~14.80 (-2% Friday) low volatility regime, results volatility capped.
आज Results Calendar
Major Announcements:
TEJASNET (Q4 FY26, BSNL order update critical)
JUSTDIAL (FY26 audited, PAT ₹415-440 Cr expected)
Tata Power, L&T Finance sectoral focus
High Impact: TEJASNET (₹1,130 support, ₹1,160 resistance 5-8% move expected).
FII & DII Activity (Friday Provisional)
FII: Net SOLD ₹2,847 Cr (cash market) profit booking continuation.
DII: Net BOUGHT ₹4,126 Cr domestic support absorbing selling pressure. Monday Preview: FII likely rangebound, DII buying bias intact.
Important News Events
Middle East Ceasefire Optimism: Gift Nifty +3% reaction Friday, Kospi/Nikkei outperformance spillover.
Q4 Results Peak: 150+ companies week, Insurance/Telecom focus post Friday rally.
Ban List Stocks: Adani Enterprises, PNB circuit limits—avoid intraday traps.
RBI MPC Minutes: Rate cut bias commentary watch.
ध्यान रखने योग्य बातें
Nifty 24,100 decisive resistance—breakout confirms 24,300 rally, failure tests 23,900.
Bank Nifty 52,000 psychological support—breach triggers cascade.
Results Volatility: TEJASNET/JUSTDIAL 5-8% moves expected, tight stops mandatory.
Sector Rotation: Insurance/Telecom momentum vs IT/Metal consolidation.
FII Selling: DII support absorbing pressure—midcap outperformance likely.
Disclaimer
यह विश्लेषण केवल शैक्षिक उद्देश्य के लिए तैयार किया गया है। निवेश सलाह, खरीद-बिक्री अनुशंसा या वित्तीय योजना मार्गदर्शन नहीं। शेयर बाजार में पूंजी हानि का बड़ा जोखिम है। सभी प्रक्षेपण अनिश्चित हैं—SEBI-पंजीकृत सलाहकार से संपर्क करें।
Conflict Disclosure
विश्लेषक, फर्म, सहयोगियों के पास कोई प्रत्यक्ष/अप्रत्यक्ष होल्डिंग्स/पोजीशन नहीं April 13, 2026 तक। SEBI (Research Analysts) Regulations, 2014 पूर्ण अनुपालन।