0% found this document useful (0 votes)
15 views14 pages

PMP Report

The document provides an overview of the current market conditions, including the Fear & Greed Index indicating a state of fear at 42.13. It highlights key market performances across various regions, with Asian markets showing positive trends and a mixed performance in the US markets. Additionally, it includes information on top gainers and losers in the Nifty 500, sectoral indices, and notable stocks in the news, along with insights into portfolio risk management.

Uploaded by

niftymanu
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
15 views14 pages

PMP Report

The document provides an overview of the current market conditions, including the Fear & Greed Index indicating a state of fear at 42.13. It highlights key market performances across various regions, with Asian markets showing positive trends and a mixed performance in the US markets. Additionally, it includes information on top gainers and losers in the Nifty 500, sectoral indices, and notable stocks in the news, along with insights into portfolio risk management.

Uploaded by

niftymanu
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
You are on page 1/ 14

premarketpulse.

com

Wed, 23 Jul 2025

Fear & Greed Index

50
30 70

0 100

42.13
Fear

Definition

Extreme Fear (<30): Good time to open positions


Weekly Change
Fear (30-50): Wait for market direction

Greed (50-70): Be cautious with new positions


44.02 42.13
Extreme Greed (>70): Avoid opening positions

"Don't always trust what you see. In a bull market, even


a duck looks like a swan."

@ Vijay Kedia
Overview As of Today at 7:22 am

GIFT Nifty 25,158.5 +74.5 +0.30%

Asian Market
Hang Seng Hong Kong 25294.92 +164.89 +0.66%
Nikkei 225 Japan 40813.5 +1038.58 +2.61%
KOSPI South Korea 3157.38 -12.56 -0.40%
ASX 200 Australia 8724.5 47.3 +0.55%

Europe Market
DAX Germ any 24041.9 -265.90 -1.09%
FTSE 100 United K ingdom 9023.81 +10.82 +0.12%
CAC 40 France 7744.41 -53.81 -0.69%

US Market
Dow Jones 44502.44 +179.37 +0.40%
Nasdaq 20892.69 -81.49 -0.39%
S&P 6309.62 +4.02 +0.06%

Indian Market
Sensex 82186.81 -13.53 -0.02%
Nifty 50 25060.9 -29.80 -0.12%
Bank Nifty 56756 -196.75 -0.35%
India VIX 10.75 -0.45 -4.02%
USD/ INR 86.30 -0.04 -0.05%

Pre-Market Pulse www.premarketpulse.com 02


Snapshot

up Top Gainers
up
Nifty 500 Top Losers Nifty 500

Eternal 10.34% 360 One Wam -6.31%

India Cements 8.01% Zee Entertainment -5.68%

RHI Magnesita 6.69% Aarti Industries -4.29%

Swiggy Ltd. 5.67% Raymond Lifestyle Ltd... -4.12%

Emcure Pharma 4.99% Zensar Technologies -4.04%

Volume Shockers chart-mixed 52 Week High


chart-simple-horizontal

Volume above 1.5 times weekly average and Day's high equal to or above yearly high for
minimum 5,000 for Nifty 500 stocks Nifty 500 stocks

Name CMP Name Change %


Eternal 299.8 Eternal 10.34

Swiggy Ltd. 417.15 Gujarat Mineral 4.97

Canara Bank 108.05 Aadhar Housing 0.63

360 One Wam 1144.1 EID Parry 0.47

Vishal Mega Mart Ltd. 142.04 UTI Asset Management 0.29

Long & Short Buildup (Stock Futures - Current Expiry)

Long build-up: Open interest and volumes rise, and the price goes up. Short build-up: Open
interest and volumes rise, but the price goes down.

Long Buildu p OI Change % Short Buildu p OI Change %


Eternal Ltd 10.49% Bharat Dynamics Ltd -6.8%

Delhivery Ltd 6.01% UltraTech Cement Ltd -6.61%

FSN E-Commerce Ventur... 4.51% PNB Housing Finance L... -5.53%

Fortis Healthcare Ltd 3.12% Biocon Ltd -5.03%

Syngene International... 3.01% Sona BLW Precision Fo... -4.83%

-
Pre Market Pulse p p
www. remarket ulse.com 03
Sectoral Indices
1 Day Change

7 Day Change

Pre-Market Pulse www.premarketpulse.com 04


Market Bulletin
Positive market open expected as Gift Nifty indicates a 68-point
premium
Sensex and Nifty likely to open higher, tracking upbeat global cues
Previous session ended flat with Sensex down 13 pts, Nifty down 30
pts
Asian markets rally after US-Japan trade deal; Nikkei up 2%, Kospi up
0.89%
Wall Street mixed; S&P 500 closed at a record high, Nasdaq dipped
0.39%
Tesla gained, while Nvidia, Meta, Microsoft, GM, Ford, and Lockheed
Martin saw declines
India-UK free trade agreement approved, to be signed during PM
Modi’s London visit
Gold prices climb to five-week high on weaker dollar and yields
Crude oil mixed; Brent up 0.54%, WTI down 1.47%
Dollar steady after recent slide; trades flat against yen and other
majors
Trump seals US‑Philippines trade deal: 19% import tariff for Manila,
zero tariffs for U.S. exports, bolstered security tie
Trump clinches “massive” U.S.–Japan trade deal — tariffs set at 15%,
Japan pledges $550 billion investmen
Trump says Fed's Powell will be out in 8 months, calls him a 'numbskull
Paytm Swings to ₹123 Cr Q1 FY26 Profit on Lending Surge, Cost Cuts &
Corporate Shake‑U
Paytm Ditches “Adjusted” EBITDA—Embraces Full ESOP Costs as It
Hits GAAP Profitability

Pre-Market Pulse www.premarketpulse.com 05


50 Nifty 50 25060.9 -0.12%

Bearish candle formed on daily chart; RSI below 50 with a negative


crossover, showing weakness

Selling pressure emerged after it failed to sustain above 25,200; upside


now capped near 25,255

Index is trading below short-term moving averages and within the lower
half of Bollinger Bands

Heavy Call writing at 25,200 and 25,100 levels indicates resistance


zones

Strongest Put support at 25,000 strike, followed by 25,100 and 24,500

Put-Call Ratio (PCR) dropped to 0.84, indicating a slight tilt toward


bearish sentiment

India VIX dropped 4.02% to 10.75, signaling market calm but hinting at a
possible breakout/breakdown.

Pivot Levels

Type R3 R2 R1 PP S1 S2 S3

Classic 25297 25239 25150 25093 25004 24946 24857

Fibonacci 25239 25183 25149 25093 25037 25002 24946

Advance/ Decline

18 32

Top 3 Best Performers Top 3 Worst Performers

HDFC Life Insurance +1.46% Shriram Finance -2.36%

Titan +1.15% Eicher Motors -2.13%

Hindalco Industries +1.08% Adani Ports & SEZ -2.05%

Pre-Market Pulse www.premarketpulse.com 06


50 Nifty 50 25060.9 -0.12%

Weekly Option Chain

High Call OI = potential resistance; High Put OI = potential support

Increasing Call OI = bearish; Decreasing Call OI = bullish

Increasing Put OI = bullish; Decreasing Put OI = bearish

Weekly PCR

A PCR above 1 indicates that the


put volume has exceeded the call
volume. It indicates an increase in
the bearish sentiment.



A PCR below 1 indicates that the


call volume exceeds the put
volume. It signifies a bullish
market ahead. 

It's important to look at the


overall trend of the PCR to see
how the market sentiment is
changing.

Pre-Market Pulse www.premarketpulse.com 07


Bank Nifty 56756 -0.35%

Formed long bearish candle and failed to hold above key technical levels
like mid-Bollinger Band and 20-day EMA
MACD shows positive signs, but RSI is weak with a negative crossover
Strongest Call resistance at 57,000 and 57,500 levels
Highest Put support seen at 56,000, though unwinding at this level
signals weakening sentiment.

Pivot Levels
Type R3 R2 R1 PP S1 S2 S3
Classic 57725 57506 57131 56911 56537 56317 55942

Fibonacci 57506 57279 57138 56911 56684 56544 56317

Advance/ Decline
02 10

Top 3 Best Performers Top 3 Worst Performers

ICICI Bank Ltd. +0.53% Au Small Finance B... -3.6%


Hdfc Bank Ltd +0.33% Canara Bank -3.55%
- - Punjab National Bank -2.9%

Pre-Market Pulse www.premarketpulse.com 08


newspaper Stocks in News
Dalmia Bharat: Subsidiary Dalmia Cement will significantly expand
operations by increasing clinker capacity by 3.6 MT and cement
capacity by 6 MT at its Kadapa plant, indicating strong growth
trajectory

Kirloskar Ferrous Industries: The company emerged as the preferred


bidder in an e-auction for an iron ore mine, securing valuable raw
material access for future operations

Shyam Metallics and Energy: The company plans to raise substantial


capital of up to Rs 4,500 crore through various equity instruments,
demonstrating strong expansion plans and investor confidence

Denta Water: The company secured significant new orders worth Rs 183
crore across seven projects, showing robust business momentum and
growth prospects

KNR Constructions: Delhi High Court ruled that the NHAI suspension
order against its subsidiary has expired, lifting disqualification from
bidding on new projects and restoring business opportunities

Exide Industries: The company made an additional Rs 100 crore


investment in its wholly owned subsidiary Exide Energy Solutions,
bringing total investment to Rs 3,702.23 crore, reflecting commitment to
the energy solutions business

DCW: The company commissioned the first phase of its CPVC capacity
expansion ahead of schedule, adding 20,000 MT capacity and doubling
total capacity to 40,000 MT, demonstrating operational efficiency

Veranda Learning: Successfully closed its QIP by allocating 1.58 crore


shares at Rs 225.2 per share, indicating successful capital raising

Alpex Solar: The company received a substantial work order worth Rs


230 crore for solar module supply from a leading industry player,
representing significant business growth.

Pre-Market Pulse www.premarketpulse.com 09


newspaper Stocks in News
BGR Energy: Tamil Nadu Power Corporation terminated BGR Energy's
massive Rs 2,600 crore contract due to non-fulfillment of project
obligations, incomplete critical systems, and insurance compliance
failures, representing a major business setback

Siemens Energy India: A Russian arbitration court ordered the company


to pay Rs 443.76 million plus 8% interest after invalidating a transferred
supply contract, creating significant financial liability

Hyundai Motor India: The company received a substantial GST


Compensation Cess demand of Rs 258.67 crore plus equal penalty,
totaling Rs 517.34 crore for alleged short payments on SUV models from
2017-2020, representing a major regulatory challenge

Oberoi Realty and Lodha Developers: Both companies face clean-up


trades by Invesco Developing Markets Fund worth $230 million and $165
million respectively, with shares being offered at 4% discounts to market
prices, indicating institutional selling pressure.

square-poll-vertical Results
Aditya Birla Real Estate, Bajaj Housing Finance, Bikaji Foods International,
Cigniti Technologies, CMS Info Systems, Coforge, Dr Reddy's Laboratories,
Force Motors, Infosys, Maharashtra Scooters, MAS Financial Services,
Mahindra Holidays & Resorts India, Oracle Financial Services Software,
PCBL Chemical, Persistent Systems, Sapphire Foods India, Sky Gold and
Diamonds, Supreme Petrochem, SRF, Syngene International, Syrma SGS
Technology, Tata Consumer Products, Thyrocare Technologies, Westlife
Foodworld.

Pre-Market Pulse www.premarketpulse.com 10


Others
indian-rupee-sign FII & DII (Cash)

Date FII Net Purchase/ Sales DII Net Purchase/ Sales

Last 30 Days -18593.9 46599.5

Last 2 Weeks -16707.8 23379.5

Last 1 Weeks -10407.9 14966.1

Fri, 18 Jul 2025 374.7 2103.5

Mon, 21 Jul 2025 -1681.2 3578.4

Tue, 22 Jul 2025 -3548.9 5239.8

flag-pennant Stocks in Ban List


Bandhan Bank, RBL bank, IEX

Pre-Market Pulse www.premarketpulse.com 11


Current IPO’s
Company Name Open Close ₹ Range Size (Cr.)

Swastika Castal Ltd 21 Jul 23 Jul 65-0 14.07


2025 2025

TSC India Ltd 23 Jul 25 Jul 68-70 25.89


2025 2025

Savy Infra and 21 Jul 23 Jul 114-120 69.98


Logistics Ltd 2025 2025

Indiqube Spaces Ltd 23 Jul 25 Jul 225-237 700


2025 2025

GNG Electronics Ltd 23 Jul 25 Jul 225-237 460.44


2025 2025

Monarch Surveyors 22 Jul 24 Jul 237-250 93.75


and Engineering 2025 2025
Consul...
Property Share 21 Jul 25 Jul 100000 473
Investment Trust- 2025 2025 0-1060
Propsha... 000
- - - - -

- - - - -

- - - - -

- - - - -

- - - - -

- - - - -

Pre-Market Pulse www.premarketpulse.com 12


book-open-reader Word of the Day

Portfolio Risk
Portfolio Risk refers to the overall risk associated with an
investment portfolio, considering the combined risks of all
individual assets within it. It includes both systematic risk (market-
wide risks such as economic downturns, inflation, and interest rate
changes) and unsystematic risk (company or industry-specific
risks). The level of portfolio risk depends on factors like asset
allocation, diversification, and correlation between securities.

For example, if an investor holds a portfolio of only technology


stocks, they are exposed to high portfolio risk because a downturn
in the tech sector could significantly impact their investments.
However, if the portfolio includes stocks from different industries,
bonds, and commodities, the overall risk is lower due to
diversification.

Managing portfolio risk involves strategies like diversification,


asset allocation, and hedging through derivatives. Investors
analyze metrics such as standard deviation, beta, and value-at-
risk (VaR) to assess and optimize risk exposure, ensuring their
portfolio aligns with their risk tolerance and investment objectives.

Pre-Market Pulse www.premarketpulse.com 13


Want our daily report?
Subscribe now by clicking the link below to receive our
report on WhatsApp every weekday at 8 AM.

https://premarketpulse.com/

Contact Us

Email WhatsApp

premarketpulse@gmail.com 8618318166
We send reports only from this number. If you
receive one from another number, it's not us.

Disclaimer:
By using "Pre-Market Pulse," you acknowledge that this service does not provide investment advice, strategies, or
specific buy/sell recommendations. All reports are for informational purposes only, and while we strive for accuracy,
they may contain inaccuracies or errors. You agree to conduct independent research and exercise due diligence before
making any investment decisions, and "Pre-Market Pulse" assumes no liability for outcomes resulting from your
choices. The information provided is generated using AI technology; we do not endorse investment strategies or
perform independent research. If at any point you decide that "Pre-Market Pulse" does not align with your
informational needs, you have the option to discontinue receiving our reports and exit our community.

Terms & Conditions:


By subscribing to "Pre-Market Pulse," you agree to use the reports exclusively for personal purposes and refrain from
sharing, redistributing, or reselling them. You acknowledge that service availability may vary and reports could
experience delays. All payments are final after a three-day grace period, and you are responsible for managing
subscription renewals. The service provides market news without offering financial advice, guarantees, or liability for
losses. You consent to our privacy policy and acknowledge that we reserve the right to revoke access for violations of
these terms. Updates to these terms may occur at any time, and continued use of the service constitutes acceptance
of revised terms.

Privacy:
We prioritize your privacy. Your personal information, including your phone number, is securely stored and protected.
This data will never be shared with third parties, directly or indirectly, without your explicit consent.

Pre-Market Pulse

You might also like