Nifty 50 Daily Analysis — 2026-08-10
Session: ClosingLatest
- Close
- 24,583.80
- Change
- 0.05%
- 1W Change
- -0.77%
- 20D Change
- 1.54%
- EMA20
- 24,339.27
- EMA50
- 24,149.12
- EMA200
- 24,462.25
- RSI (14)
- 60.2
- ATR (14)
- 207.84
- Volatility (20D)
- 10.39%
- Distance from 20D High
- -0.77%
- Advancers
- —
- Decliners
- —
- Volume
- 0
- VIX
- 15.30
- US10Y
- 4.70%
- DXY
- 99.75
The index closed slightly higher, showing mild resilience despite a weekly decline. Overall momentum remains moderately positive over the medium term.
Market Drivers
The move is driven by a mix of stabilizing global cues and selective buying in large caps, though market breadth remains mixed.
Trend Interpretation
Price is above key short- and medium-term averages, indicating a constructive trend, but momentum has cooled from recent highs.
Risk Factors
Key risks include elevated volatility and a potential pullback if global risk sentiment deteriorates or if the index fails to hold above its moving averages.
Bullish
In a bullish scenario, the index could resume its uptrend, supported by improving momentum and a stable global backdrop, leading to a test of recent highs.
Neutral
In a neutral scenario, the index may consolidate within a range, with buying on dips and selling on rallies as volatility remains moderate.
Risk
In a risk scenario, a break below key moving averages could trigger further downside, with volatility expanding and sentiment turning cautious.
