Stock Market Technical Analysis | 25th to 31st Aug 2025 Weekly Wrap
01 Sep 2025
Stock Market Technical Analysis
Indian equity markets slipped into the red last week, with Nifty and Bank Nifty closing lower amid weak sectoral trends and heavy FII selling. Here’s a snapshot of key movers, sector performance, and derivatives cues shaping the outlook.
Expert recommendation by:
- Mr. Ketan Kaushik - Derivative Analyst
Equity
- Benchmark Index traded with negative bias in the previous week before closing with 1.78% cut at 24227 level. Banking Index underperformed the benchmark index as it closed with 2.71% cut at 53656 level.
- Among the Nifty constituents, MARUTI and EICHERMOT outperformed the benchmark index as they closed with 3.08% and 3.01% gains while M&M and SHRIRAMFIN underperformed as they closed with 5.98% and 5.78% cut respectively. Among the Bank Nifty constituents KOTAKBANK performed better than the benchmark index as it closed with 1.32% cut while PNB underperformed as it closed with 4.19% cut.
- Among sectors, NIFTYFMCG index outperformed the benchmark index during the previous week as it is closed with 0.73% gain while NIFTREALTY index underperformed as it closed with 4.28% cut. Broader market underperformed the benchmark index as both MIDCAP index and SMALLCAP index closed with 3.30% and 3.86% cut respectively.
- Volatility index (India VIX) closed with 0.60% cut at 11.63 level.
- FII were net sellers as they sold stocks worth Rs 21,152 Cr while DII were net buyers as they bought stocks worth Rs 28,645 Cr during the previous week in the cash segment.
- Globally, equity markets traded with negative bias as both US market (DJIA) and European markets (STOXX 600) closed with 0.19% and 1.99% cut respectively.
Derivatives
- Derivatives data for Nifty suggest max OI addition at 24500 call and 23500 put with max OI at 25000 call and 23500 put side (2nd Sep expiry). Nifty cumulative PCR closed at 0.71 for Aug 29.
- Derivatives data for Bank-nifty suggest max OI addition at 55000 call and 52500 put with max OI at 57000 call and 54000 put side (30th Sep expiry). Bank-nifty cumulative PCR closed at 0.89 for Aug 29.
Performance:
Indices
| INDEX | Close | Weekly % Change |
|---|---|---|
| NIFTY 50 | 24426.85 | -1.78 |
| BANK NIFTY | 53655.65 | -2.71 |
| FINNIFTY | 25567.7 | -2.85 |
| NIFTYNEXT50 | 65745.75 | -2.66 |
| MIDCAP SELECT | 12450.2 | -3.75 |
| SENSEX | 79871.24 | -1.77 |
| VIX | 11.63 | -0.60 |
Source: NSE
Sector Gainers/Losers
| INDEX | Close | Weekly % Change |
|---|---|---|
| NIFTY AUTO | 24960.85 | -1.46 |
| NIFTY FMCG | 56141.85 | 0.73 |
| NIFTY IT | 35181.25 | -0.73 |
| NFTY METAL | 9154.8 | -2.35 |
| NIFTYPHARM | 21804.05 | -2.07 |
| NIFTY PSE | 9202.45 | -2.84 |
| NIFTYPSUBA | 6756.05 | -3.46 |
| NIFTYPVTBA | 26058.2 | -2.37 |
| NIFTY REALTY | 870.75 | -4.28 |
| NIFTY MEDIA | 1612 | -2.54 |
| NIFTY IND DEFENCE | 7410.25 |
Source: NSE
FII / DII ACTIVITY (WEEKLY)
| INDEX | Rs IN CR |
|---|---|
| FII | -21,152 |
| DII | 28,645 |
Source: NSE
SUPPORT/RESISTANCE LEVEL FOR UPCOMING WEEK
| INDEX | BIAS | S2 | S1 | CLOSE | R1 | R2 |
|---|---|---|---|---|---|---|
| NIFTY | VOLATILE | 23800 | 24000 | 24426.85 | 24800 | 25000 |
| BANK NIFTY | VOLATILE | 52000 | 52500 | 53655.65 | 54500 | 55000 |
| FINNIFTY | VOLATILE | 24800 | 25100 | 25567.7 | 26000 | 26200 |
Source: NSE
DAILY EXPONENTIAL MOVING AVERAGE
| INDEX | CLOSE | 9 DAYS | 21 DAYS | 50 DAYS | 100 DAYS | 200 DAYS |
|---|---|---|---|---|---|---|
| NIFTY | 24426.85 | 24706 | 24770 | 24812 | 24628 | 24268 |
| BANK NIFTY | 53655.65 | 54701 | 55251 | 55584 | 54967 | 53572 |
| FINNIFTY | 25567.7 | 26063 | 26296 | 26420 | 26096 | 25277 |
Source: NSE
TECHNICAL OUTLOOK
NIFTY (WEEKLY)

- Benchmark index traded with negative bias in the previous week and closed with bearish marubozu candlestick formation on the weekly chart
- Benchmark index is likely to trade volatile in the coming week
- Benchmark Index has support at 24,000 – 23,800 level and resistance at 24,800 – 25,000 level
BANKNIFTY (WEEKLY)

- Banking index underperformed the benchmark index and closed with bearish marubozu candlestick formation on the weekly chart
- Banking index is likely to trade in line with the benchmark index
- Banking index has support at 52,500-52,000 and resistance at 54,500 -55,000 level
FINNIFTY (WEEKLY)

- FINNIFTY index underperformed the banking index and closed with bearish marubozu candlestick formation on the weekly chart
- FINNIFTY is likely to trade in line with the banking index in the coming week
- FINNIFTY has support at 25,100-24,800 level and resistance at 26,000-26,200 level.
Disclaimer - Investments in securities market are subject to market risk, read all the related document carefully before investing.
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