Nifty & Sensex — 22 Jul 2026
Pre-Market
Section titled “Pre-Market”Markets Data
Section titled “Markets Data”Markets face downward pressure today with negative overnight cues from US indices and rising Treasury yields. The bias leans short as foreign investors remain net sellers while domestic institutions show modest buying. Brent crude's sharp spike adds inflationary concerns, though the rupee holds steady. With the previous close in the bottom third of its range and elevated volatility, caution prevails despite recent gains.
| Input | Value | Vote |
|---|---|---|
| GIFT Nifty | — unavailable | — |
| S&P 500 o/n | -0.46% | −1 |
| Nasdaq o/n | -1.03% | −1 |
| US 10Y yield | 4.6 ▲ | −1 |
| DXY | 101.137 | −1 |
| FII net (prev) | +1,650.16 cr | +1 |
| DII net (prev) | -656.88 cr | −1 |
| USD/INR | 96.4475 | 0 |
| Prev close in range | bottom third | −1 |
| India VIX | 13.04 ▲ | — |
| Brent | $92.39 ▲ | context |
| NET BIAS | Strongly Short | -5 |
1 of 9 inputs unavailable this morning.
- Markets give up intraday gains to close slightly higherShows resilience despite volatility, setting a cautious tone for today. — Moneycontrol
- Benchmark indices notch third straight gain as volatility easesSustained upward momentum could attract more buyers if volatility remains subdued. — Moneycontrol
- Midday surge as India VIX posts sharpest decline in four yearsPlummeting volatility signals reduced fear, potentially supporting further upside. — Moneycontrol
- Indices extend winning streak to third session ahead of earningsContinued gains amid earnings season highlights stock-specific opportunities. — Moneycontrol
- BlueStone Jewellery skyrockets on strong quarterly resultsExceptional performance in consumer discretionary sector may draw retail interest. — ET Markets
EOD · 16:20 IST
Markets closed lower today, with Nifty and Sensex both declining amid mixed sector performances. Oil price surges and geopolitical tensions weighed on sentiment, while strong earnings from banks like IndusInd provided some support. Key stocks reacted sharply to earnings reports and corporate actions, highlighting a day of selective investor focus amidst broader caution.
| Index | Close | Change |
|---|---|---|
| Nifty 50 | 23,996.25 | -0.32% |
| Sensex | 76,755.05 | -0.56% |
| Bank Nifty | 57,126.8 | -0.79% |
- Oil price surge impacts Indian bond market, though investor interest cushions the dropRising oil prices typically pressure bond yields, influencing broader market sentiment. — ET Markets
- IndusInd Bank reports significant profit growth in Q1, though net interest income remains unchangedStrong bank earnings can signal sector health, affecting investor confidence in financial stocks. — ET Markets
- Buffett and Munger's skepticism towards EBITDA highlights alternative valuation perspectivesTheir views can sway investor approaches to evaluating company performance. — ET Markets
- Questions arise over Blinkit's competitive edge as Eternal's shareholder letter sparks debateInvestor communications can reveal strategic challenges, impacting stock perceptions. — ET Markets
- Foreign institutional investors reduce stakes in Adani Enterprises, shifting ownership dynamicsFII movements often indicate changing confidence levels in major corporations. — ET Markets
- Airbus shares jump following announcement of a large share buyback and future profit goalsCorporate actions like buybacks can drive short-term stock performance and sector interest. — ET Markets
- Indo-MIM IPO anticipated with a high gray market premium, drawing investor attentionIPO performance can reflect market appetite for new listings and sector trends. — ET Markets
- HFCL turns profitable in Q1 with a dramatic revenue increase year-over-yearPositive earnings reversals can boost sector sentiment and individual stock trajectories. — ET Markets
- Bharat Coking Coal shares plummet after subsidiary reports a quarterly lossSubsidiary performance can directly impact parent company valuations and investor decisions. — ET Markets
- Brent crude prices climb sharply amid geopolitical tensions affecting supply routesOil price volatility can influence inflation expectations and energy sector stocks. — ET Markets