EOD Market Snapshot

← Prev 1 Oct 2026, 6:00 pm IST · auto-updated post-close Next →

Indian benchmark indices closed lower on October 1, 2026, with the Nifty falling 0.88% to 22,421.95 and the Sensex dropping 0.79% to 71,909.70 amid broad-based market weakness. Sectorally, Nifty IT was the primary gainer, rising 2.17%, while Nifty Auto lagged significantly with a sharp decline of 3.46%. Institutional activity showed a strong divergence, as Foreign Institutional Investors (FIIs) net sold ₹9,484.22 crore in the cash market, whereas Domestic Institutional Investors (DIIs) provided strong support with net purchases of ₹10,041.84 crore.

NIFTY 50 Swing Trend

Strong Bearish (0)
0 50 100

BANK NIFTY Swing Trend

Strong Bearish (0)
0 50 100
ℹ
Swing Trend Model: This gauge tracks short-term momentum using a weighted score of the 10-day SMA, 20-day SMA, SMA crossovers, 14-day RSI, daily close, and a smart modifier based on the FII Index Futures Long-Short Ratio:
  • Bullish Momentum: +10 points if the FII Long-Short Ratio is between 40% and 75% and rising (healthy accumulation).
  • Caution / Overbought: -10 points if the ratio climbs above 75% (warning of potential exhaustion).
  • Contrarian Bullish: +10 points if the ratio is below 20% but starting to turn upward (short-covering has begun).
Nifty 50
22,421.95 -0.88%
Sensex
71,909.70 -0.79%
Bank Nifty
54,450.75 -0.33%
India VIX
14.44

FII / DII Cash Activity

FII Net -9,484 Cr
DII Net 10,042 Cr

F&O Snapshot

Nifty PCR 0.69
Nifty Max Pain 22,550
Bank Nifty PCR 0.86
Bank Nifty Max Pain 56,000

Smart Money: FII Index Futures

Net Positioning
-310,174 ▼ 27,304
Longs: 29,605 ▲ 211
Shorts: 339,779 ▲ 27,515

Smart Money: FII Index Options

Net Calls
-431,465 ▲ 34,118
Net Puts
666,578 ▼ 1,547
*Net Calls/Puts = (Longs - Shorts)
Smart Money Sentiment: FIIs remain structurally bearish with massive short positioning, but today's minor uptick in longs suggests potential short-covering rather than a genuine bullish shift. Retail traders should remain cautious and trend-aware, as the broader downside bias is still heavily intact.

Sector Performance

IT+2.17%
MIDSMALL IT & TELECOM+1.51%
INDIA DIGITAL-0.07%
COMPOSITE G-SEC INDEX-0.16%
PHARMA-0.48%
MIDCAP150 QUALITY 50-0.56%
ENERGY-0.68%
QUALITY LOW-VOLATILITY 30-0.82%
MIDSMALLCAP400 MOMENTUM QUALITY 100-0.85%
TOTAL MARKET MOMENTUM QUALITY 50-0.88%
LOW VOLATILITY 50-0.9%
CAPITAL MARKETS-0.94%
DIVIDEND OPPORTUNITIES 50-0.96%
SMALLCAP250 MOMENTUM QUALITY 100-1%
SMALLCAP250 QUALITY 50-1.02%
ALPHA LOW-VOLATILITY 30-1.13%
ALPHA QUALITY LOW-VOLATILITY 30-1.22%
REITS & REALTY-1.33%
ALPHA QUALITY VALUE LOW-VOLATILITY 30-1.45%
REALTY-1.46%
FMCG-1.61%
COMMODITIES-1.93%
MEDIA-2.33%
METAL-2.35%
EV & NEW AGE AUTOMOTIVE-2.43%
MOBILITY-2.8%
AUTO-3.46%

Market Breadth

Advance : 570(21.6 %)Decline : 2068(78.4 %)
Advance
Decline

Top Movers (Nifty 500)

Gainers

SCHNEIDER 1,275.40 +5.98%
INOXINDIA 2,168.30 +5.64%
IDBI 86.57 +5.32%
WELSPUNLIV 239.17 +5.21%
MPHASIS 2,250.20 +4.45%
COFORGE 1,826.00 +4.4%
ENRIN 3,334.00 +4.19%
INFY 1,035.00 +4.11%
TARIL 280.80 +3.96%
CCL 1,056.60 +3.64%

Losers

POLICYBZR 980.00 -7.89%
BAJAJ-AUTO 10,045.00 -7.62%
CHENNPETRO 1,346.40 -6.26%
IRCON 110.25 -5.84%
KSB 806.45 -5.8%
SANSERA 4,276.60 -5.75%
LLOYDSME 1,776.80 -5.69%
ABDL 679.45 -5.49%
IFCI 65.14 -5.28%
UNOMINDA 1,111.00 -5.04%

Cumulative OI Buildup

Top 10 Long Buildups

Symbol Price Chg OI Chg
ANANDRATHI +4 +141.73%
ENRIN +115.4 +74.72%
HYUNDAI +5.4 +11.8%
PRESTIGE +11.3 +6.82%
MANKIND +12 +5.44%
INFY +35.6 +3.81%
TECHM +2.7 +2.36%
ANGELONE +0.2 +2.16%
TCS +21.2 +1.83%
PAGEIND +110 +1.8%

Top 10 Short Buildups

Symbol Price Chg OI Chg
UJJIVANSFB -1.65 +19.26%
FORCEMOT -405 +13.84%
HEROMOTOCO -73 +8.63%
APLAPOLLO -75.5 +6.81%
BSE -50.1 +6.51%
POLICYBZR -82.6 +6.33%
EICHERMOT -230 +6.23%
KAYNES -141.5 +5.07%
PREMIERENE -2.7 +4.83%
KFINTECH -10.7 +4.51%

Most Active Stocks (Nifty 500)

Most Active by Value

Symbol Price Turnover
KOTAKBANK 418.35 (+0.32%) 3,271.3 Cr
HDFCBANK 721.20 (+1.76%) 2,679.1 Cr
RELIANCE 1,167.70 (-1.63%) 1,967.5 Cr
BSE 3,046.00 (-1.49%) 1,918.1 Cr
ICICIBANK 1,310.60 (-0.84%) 1,735.2 Cr
TARIL 280.80 (+3.96%) 1,655.3 Cr
M&M 2,860.00 (-3.05%) 1,558.2 Cr
INFY 1,035.00 (+4.11%) 1,541.0 Cr
BAJAJ-AUTO 10,045.00 (-7.62%) 1,510.0 Cr
POLICYBZR 980.00 (-7.89%) 1,403.3 Cr

Most Active by Volume

Symbol Price Volume
IDEA 12.64 (-2.39%) 61.25 Cr
YESBANK 20.75 (-0.95%) 8.06 Cr
KOTAKBANK 418.35 (+0.32%) 7.66 Cr
TARIL 280.80 (+3.96%) 5.73 Cr
OLAELEC 37.08 (+0.43%) 5.49 Cr
SUZLON 38.91 (-1.47%) 5.32 Cr
TATASTEEL 178.00 (-3.42%) 4.77 Cr
IFCI 65.14 (-5.28%) 4.19 Cr
JPPOWER 14.80 (-2.18%) 4.14 Cr
HDFCBANK 721.20 (+1.76%) 3.74 Cr

Volume Shockers & Delivery %

Top Volume Shockers

Symbol Price Chg Volume Spike
TARIL +3.96% 65.1x vs 10d avg
LEMONTREE +3.28% 14.7x vs 10d avg
JKCEMENT -2.44% 7.3x vs 10d avg
BAJAJ-AUTO -7.62% 7.0x vs 10d avg
SCHNEIDER +5.98% 6.9x vs 10d avg
WELSPUNLIV +5.21% 5.0x vs 10d avg
KOTAKBANK +0.32% 4.8x vs 10d avg
ADANIGREEN -0.15% 4.8x vs 10d avg
ADANIENSOL +0.9% 4.4x vs 10d avg
ENRIN +4.19% 4.1x vs 10d avg

High Delivery Stocks

Symbol Price Chg Delivery %
JKCEMENT -2.44% 84.83%
BAJAJFINSV +0.09% 73.62%
AAVAS -1.73% 72.3%
SBFC -1.51% 71.37%
CREDITACC -2.59% 70.89%
MSUMI -1.58% 70.57%
TRITURBINE -1.74% 70.52%
ASIANPAINT +0.18% 70.4%
STARHEALTH +0.57% 69.52%
PETRONET +0.35% 69.08%

Hilega Milega Breakouts (Nifty 500)

Bullish Breakouts (BUY)

Symbol Price RSI(9) Signal Type
SCHNEIDER 1,275.40 (+5.98%) 64.85 Breakout
IDBI 86.57 (+5.32%) 61.31 Sweet Spot
HFCL 238.36 (+5%) 64.41 Sweet Spot
COFORGE 1,826.00 (+4.4%) 54.44 Breakout
ENRIN 3,334.00 (+4.19%) 63.01 Sweet Spot
LEMONTREE 107.67 (+3.28%) 59.68 Breakout
CUB 230.04 (+1.77%) 55.77 Breakout
COHANCE 451.30 (+1.64%) 50.76 Sweet Spot
MANKIND 2,535.00 (+1.25%) 65.57 Sweet Spot
PAGEIND 36,660.00 (+0.76%) 52.15 Sweet Spot
CYIENT 1,104.60 (+0.35%) 60.34 Breakout
KOTAKBANK 418.35 (+0.32%) 60.22 Sweet Spot
DMART 3,813.00 (+0.31%) 54.56 Sweet Spot
JSWINFRA 357.45 (+0.24%) 59.29 Sweet Spot
RITES 209.48 (+0.21%) 57.19 Sweet Spot

Bearish Breakouts (SELL)

Symbol Price RSI(9) Signal Type
CHENNPETRO 1,346.40 (-6.26%) 36.12 Breakout
LLOYDSME 1,776.80 (-5.69%) 39.16 Breakout
MARUTI 11,386.00 (-4.86%) 18.77 Breakout
NUVOCO 322.10 (-4.65%) 42.2 Breakout
PPLPHARMA 197.97 (-4.14%) 32.81 Sweet Spot
WELCORP 2,605.80 (-4.09%) 46.94 Sweet Spot
ELGIEQUIP 584.65 (-3.97%) 35.46 Sweet Spot
BLUESTARCO 1,459.60 (-3.85%) 36.81 Sweet Spot
SAIL 174.50 (-3.85%) 36.45 Breakout
SHRIRAMFIN 945.00 (-3.84%) 25.48 Breakout
ADANIPOWER 196.21 (-3.82%) 39.23 Sweet Spot
MOTHERSON 157.03 (-3.82%) 39.4 Breakout
ZYDUSWELL 493.25 (-3.81%) 30.41 Sweet Spot
ANANTRAJ 577.85 (-3.51%) 33.65 Sweet Spot
BOSCHLTD 45,480.00 (-3.44%) 37.33 Sweet Spot

Volatility Contraction Pattern (VCP) Candidates

Symbol Price Pattern Contractions (T1 → T2 → T3) Vol Ratio Dist 52w H
FINCABLES 1,458.80 (+0.59%) 2T 6.5% → 0% 0.47x 2.62%
LAURUSLABS 1,984.00 (+0.2%) 3T 7% → 6% → 5% 0.95x 3.47%
ACE 1,212.30 (-1.6%) 3T 10.2% → 8.7% → 6.9% 0.82x 4.39%
JSWINFRA 357.45 (+0.24%) 3T 12.8% → 8.1% → 8.6% 0.63x 4.81%
REDINGTON 397.95 (-2.22%) 2T 6.4% → 0% 0.61x 5.14%

Understanding the EOD Market Snapshot & Technical Summary

The EOD (End of Day) Market Snapshot provides a comprehensive, data-driven daily analysis of the Indian stock market, focusing on Nifty 50, Sensex, and Bank Nifty performance. By aggregating price action, institutional flows, derivatives positioning, and technical indicator scans, this dashboard serves as an essential tool for retail traders and investors to gauge overall market structure and directional bias.

Key Components of the EOD Analysis Suite:

  • Swing Trend Gauges: Track Nifty and Bank Nifty momentum over multi-day windows using a proprietary technical model that blends SMAs, RSI, and institutional derivatives positioning.
  • Smart Money Flows: Real-time tracking of FII (Foreign Institutional Investors) and DII (Domestic Institutional Investors) daily cash market net flows, plus index futures open interest data.
  • Market Breadth: Real-time advances-declines ratio across Nifty 500 stocks to assess whether price actions are supported by broad market participation.
  • Option Chain Data: Displays Putnam-Call Ratio (PCR), Option Pain levels, and open interest accumulations to identify key support and resistance zones.

Using EOD Snapshots to Qualify Trade Setups:

Traders utilize the EOD snapshot to understand whether the market is in an accumulation, distribution, or trending phase. Aligning individual breakout trades (such as VCP or Hilega Milega setups) with the broader market trend and FII derivatives positioning significantly increases win-rates while minimizing overall risk exposure.

Disclaimer: This snapshot is for educational and informational purposes only. The EOD indicators, options metrics, and institutional flow data are calculated mathematically based on historical data. These signals do not constitute financial advice, buy/sell recommendations, or investment calls. Backtest results do not guarantee future performance. Stock trading is subject to high market risks; please consult a SEBI-registered financial advisor before making any trading decisions.
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