Nifty 50 Daily Analysis2026-08-17

Session: ClosingLatest

NY: 08/17/2026, 06:05 AM
Local: ...
Close
24,287.65
Change
-0.32%
1W Change
-1.21%
20D Change
0.20%
EMA20
24,356.34
EMA50
24,192.41
EMA200
24,446.06
RSI (14)
49.3
ATR (14)
188.34
Volatility (20D)
9.54%
Distance from 20D High
-1.96%
Advancers
Decliners
Volume
0
VIX
14.97
US10Y
4.70%
DXY
99.42

The index closed slightly lower, showing a mild pullback after recent gains. Market breadth appears mixed, with a cautious tone prevailing.

Market Drivers

The move is driven by a combination of profit-taking and a wait-and-see stance ahead of key events. Global cues remain mixed, with no clear directional catalyst.

Trend Interpretation

Price is hovering around its medium-term moving averages, indicating a consolidation phase. Momentum is neutral, with the index oscillating within a range.

Risk Factors

Key risks include a potential rise in volatility and a break below the recent consolidation range. A stronger dollar or higher yields could add pressure.

Bullish

In a bullish scenario, the index could regain upward momentum if it holds above key moving averages and sees improved market breadth. A breakout above recent highs would signal strength.

Neutral

In a neutral scenario, the index may continue to trade sideways, with limited upside and downside, as investors await fresh triggers.

Risk

In a risk scenario, a sustained move below the consolidation range could lead to further downside, with selling pressure intensifying.

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