| Market Pulse |
Thursday, 5 March, 2026 |
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Market Snapshot
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📊
Nifty 50
24,480.5
-1.55%
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📈
Sensex
79,116.19
-1.40%
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🏦
Bank Nifty
58,755.25
-1.81%
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The Indian stock market experienced a notable downturn, with Nifty 50 and Sensex declining by over 1.4%. The sell-off was primarily driven by escalating geopolitical tensions in the Middle East, specifically the US–Israel–Iran conflict, which led to a surge in crude oil prices. This rise in oil prices is expected to strain India's current account and fuel inflationary pressures. Additionally, the rupee's depreciation to a record low against the dollar further exacerbated market concerns, impacting sectors reliant on imports.
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The Big Story
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📰 FEATURED
India faces current account, inflation risks as global brokerages assess impact of US–Israel–Iran conflict
BankingEnergyFMCG
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Prepare for macroeconomic headwinds impacting multiple sectors.
WHY IT MATTERS
Rising oil prices and geopolitical tensions could exacerbate India's current account deficit and inflation.
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Quick Takes
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commodities • negative
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VIDEO: Iran attacks refineries; CMA CGM shuts down all cargo bookings to Middle East
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Watch for oil price spikes impacting energy sector and broader economy.
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Read full report →
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india macro • negative
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Rupee falls past 92/dollar to record low on Mideast war, central bank likely steps in
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Expect pressure on import-heavy sectors; monitor RBI intervention.
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Read full report →
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global macro • negative
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Stocks Tumble as Crude Oil Soars and Bond Yields Rise
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Expect volatility in energy and banking stocks; monitor crude and yield movements.
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Read full report →
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global macro • negative
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Iran War Live: US, Israel will have complete control of Iran skies in under a week, says Pete Hegseth
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High geopolitical risk; energy and metals sectors may face volatility.
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Read full report →
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global macro • negative
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Trump declares ‘Khamenei is dead,’ calls him ‘one of the most evil people in history’; vows bombing will continue
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Expect market volatility; closely watch developments in the Middle East.
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Read full report →
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global macro • negative
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Israel claims Khamenei killed in US-Israel strikes on Iran, Trump says he feels reports ‘correct’
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Geopolitical risks are high; investors should consider defensive strategies.
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Read full report →
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FII / DII Activity
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FII/FPI
Sold
₹8,752.65 Cr
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DII
Bought
₹12,068.17 Cr
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FIIs sold ₹8,752.65 Cr, DIIs bought ₹12,068.17 Cr. DIIs providing support against FII selling.
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Market Breadth
Advances: 458 ·
Declines: 1208 ·
A/D Ratio: 0.38
Broad-based selloff across market
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Sector Performance
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IT
+0.1%
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Pharma
-1.2%
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Bank
-1.8%
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FMCG
-1.9%
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Fin Services
-2.0%
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Infra
-2.2%
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Energy
-2.4%
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Auto
-2.4%
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Media
-3.0%
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Realty
-3.1%
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PSU Bank
-3.2%
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Metal
-4.0%
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IT, Pharma led gains while PSU Bank, Metal underperformed. Defensive sectors outperforming suggests risk-off sentiment.
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Technical Levels
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Nifty 50
| Support |
24,393 / 24,305 |
| Resistance |
24,779 / 25,077 |
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Bank Nifty
| Support |
58,543 |
| Resistance |
59,573 |
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Nifty is in bearish trend. Trading below 200 DMA suggests caution. Short-term momentum is weak.
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Global Cues
| S&P Futures: +0.51%
US futures positive (S&P +0.51%).
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Commodities & Forex
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Gold
₹1,61,550
+0.02%
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Silver
₹2,66,156
+0.22%
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USD/INR
Rs 92.12/USD
+0.05%
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Macro / Economic Events
| 📌 |
1 earnings results expected |
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| 📌 |
US Fed Interest Rate Decision |
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Looking Ahead
| 👀 |
US Fed Interest Rate Decision |
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Earnings Calendar
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DISCLAIMER
This newsletter is for informational and educational purposes only. It is not investment advice.
Markets are subject to risks, and past performance is not indicative of future results.
Consult a registered financial advisor before making investment decisions. We are not registered
investment advisors with SEBI or any other regulatory body.
AI DISCLOSURE: Some analysis is generated using AI technology and curated by our editorial team.
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