Pre-Market Analysis: Nifty Outlook, Global Trends, Sector Insights (16 June 2025)
π Market Summary: Indian Indices Remain Volatile
As of June 16, 2025, Indian equity markets ended last week with mild bearish sentiment. While Nifty 50 closed at 24,718.60 (-0.68%), sector rotation and midcap resilience continue to dominate market flows.
Index | Closing Value | 1D Change | 1M Change | 1Y Return |
---|---|---|---|---|
NIFTY 50 | 24,718.60 | -0.68% | -1.20% | +5.34% |
NIFTY NEXT 50 | 66,979.05 | -0.83% | -0.15% | -6.83% |
NIFTY MIDCAP 100 | 58,227.45 | -0.37% | +2.05% | +5.43% |
NIFTY SMALLCAP 100 | 18,374.80 | -0.49% | +4.64% | +1.84% |
Key Insight: Broader markets outperform large caps. Midcaps and smallcaps offer more alpha, while Nifty remains in a consolidation zone.
π Global Market Cues for Indian Traders
Global sentiment remains subdued after U.S. markets tumbled on rate concerns and tech earnings disappointment.
Global Index | 1D Change |
---|---|
S&P 500 | -1.13% |
Dow Jones | -1.79% |
Nasdaq | -1.30% |
DAX (Germany) | -1.07% |
Nikkei 225 (Japan) | +0.97% |
Hang Seng | -0.12% |
Commodities & Currencies:
π’ Gold hit a record high at $3,463.90 (+0.95%) β a strong safe-haven signal.
π’οΈ Crude oil at $73.88 (+1.23%) on renewed demand hopes.
π± USD/INR at 86.06 β suggests rupee depreciation.
Β
π Sectoral Analysis: Whatβs Hot & Whatβs Not
Sector | 1D % | 1M % | Trend |
---|---|---|---|
FMCG | -1.05% | -4.44% | β Weak |
IT | +0.02% | +1.31% | β Stable |
Pharma | -0.23% | +1.63% | β Improving |
PSU Banks | -1.18% | +4.62% | β Bullish |
Realty | +0.06% | +10.36% | β Strong |
Auto | -0.36% | -2.61% | β Soft |
Infra | -0.71% | -0.90% | π Sideways |
Gainers:
β Realty: +10.36% (1M) β High demand, REIT optimism
β PSU Banks: +4.62% (1M) β Strong balance sheets, rate cut tailwind
β Pharma: +1.63% (1M) β Global demand revival
Losers:
β FMCG: -4.44% (1M) β Margin pressures
β Auto: -2.61% (1M) β Inventory build-up, weak rural demand
β Metals: -6.59% (YoY) β China slowdown concerns
Pro Tip: For short-term gains, focus on Realty, PSU Banks, and IT stocks.
π Nifty 50 Technical Outlook β 16 June 2025
Immediate Support: 24,400
Resistance Zone: 25,050β25,100
RSI: ~48 (Neutral zone)
India VIX: ~13.5 β mild volatility spikes expected
MACD: Bearish crossover developing
π Short-term Trend: Cautiously Bearish
π Medium-term Trend: Bullish above 25,100
ποΈ Market News Highlights That Matter
Key Headlines on 16th June 2025:
India represents Global South at G7 β boosts geopolitical clout
Paris Airshow opens amid Air India crash concerns
ECB declares Gold as second-most preferred global reserve
U.S. Uranium production up 12x YoY β bullish for energy/mining stocks
πΌ Bulk Deals & Institutional Highlights
Big Movers (from 15 June 2025):
Jubilant Ingrevia:
Kotak MF bought βΉ301.84 Cr
HDFC MF bought βΉ133.17 Cr
Heavy insider selling also seen
Nazara Technologies:
βΉ174.48 Cr sold by Late Rakesh Jhunjhunwalaβs estate
Shipping Corp:
Block deals suggest institutional churn and accumulation
π’ Key Observation: Mutual Funds continue to pick quality midcaps and largecap counters showing resilience.
π Stock Market Strategies for Today
π Stocks to Watch on 16 June 2025:
Stock | Rationale |
---|---|
Kotak Mahindra Bank | Heavy DII inflow |
Jubilant Ingrevia | Volatile but backed by institutions |
Nazara Technologies | Weakness post insider exit |
Shipping Corp | Re-rating candidate in PSU space |
Teerth Gopicon | High smallcap traction β momentum play |
π§ Pre-Market Trading Plan (16/06/2025)
β
BUY ZONE: Pharma, Realty, PSU Banks, Digital Index Stocks
β AVOID/SHORT: FMCG, Metals, Auto
π HOLD: Large cap IT, Infrastructure on dips
π‘ Currency Watch: USD/INR > 86 = FII pressure, caution advised
π
Macro Trigger: Repo cut to 5.50% β bullish for banks and housing
π Final Take: Market Poised for Stock-Specific Action
While headline indices remain under pressure, opportunities continue in pockets like PSU Banks, Realty, and select Pharma names. Traders should avoid over-leverage and ride stock-specific momentum backed by institutional inflows.
π Risk Level: Moderate to High
π Reward Zone: Select Midcaps & Defensive Large Caps
π Ideal Strategy: Buy-on-Dips with trailing SLs
π’ Share This Pre-Market Analysis If You Found It Helpful
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