How will Markets React on 26 September 2025?
Indian-Share-Tips.com has been closely tracking the volatility in the Indian equity markets. With global cues remaining mixed, their daily market insights help investors understand sectoral rotation, institutional flows, and derivatives positioning. Such research notes are widely referred to by retail and institutional participants to gauge short-term momentum and broader sentiment shifts.
Market Recap
Sector Performance
Lagging Sectors: IT, Realty
Institutional Activity
• DIIs counterbalanced with inflows worth ₹5103.01 crore.
FII Index Futures Positioning
• Bank Nifty: -1811 contracts
• Fin Nifty: +114 contracts
• Midcap Nifty: -608 contracts
• Nifty Next 50: -53 contracts
Options Market Insights
• Highest Put OI: 25,000 strike
• Put-Call Ratio (PCR): 0.57
• Max Pain: 25,000
• VWAP Range: 24,845 – 25,070
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Investor Takeaway
The market’s close below key support with a weak PCR suggests heightened caution. Sector rotation favors Metals and Private Banks, while IT and Realty continue to drag. Investors should monitor institutional flows closely as DIIs are absorbing FII selling. Near-term outlook leans cautious until stability emerges around the 25,000 level.
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SEBI Disclaimer: The information provided in this post is for informational purposes only and should not be construed as investment advice. Readers must perform their own due diligence and consult a registered investment advisor before making any investment decisions. The views expressed are general in nature and may not suit individual investment objectives or financial situations.