Nifty Spot had a brutal March 2026, shedding over 10% amid relentless FII selling and global jitters—closing around 22,331 on the 30th after peaking near 25,000 earlier.
FIIs dumped ₹1.12 trillion, spooked by US rate hikes and Iran tensions that spiked crude oil, hammering import-heavy sectors like oil & gas.
Four straight weeks of losses built the downtrend, with mid-month dips like March 11's 1.63% plunge on geopolitical flares.
Financials tried a comeback early, up 9% on RBI rate cut hopes, but couldn't stem the tide as banking heavyweights buckled.
Auto led minor recoveries (e.g., +2.2% one week), buoyed by DII inflows of ₹30k Cr offsetting foreign exits temporarily.
VIX exploded 119%, fueling panic selling—range-bound forecasts of 25k-26k from reports turned into a freefall to 22.8k-23.5k lows.
March 30 alone saw -2.14% (-488 pts), erasing ₹10 lakh Cr market cap, as Sensex mirrored with -5.36% FY26 close.
Overall, Nifty's FY26 ended down 3.6%, worst decade fall, but DII resilience hints at a Q2 rebound if FIIs return.
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FIIs dumped ₹1.12 trillion, spooked by US rate hikes and Iran tensions that spiked crude oil, hammering import-heavy sectors like oil & gas.
Four straight weeks of losses built the downtrend, with mid-month dips like March 11's 1.63% plunge on geopolitical flares.
Financials tried a comeback early, up 9% on RBI rate cut hopes, but couldn't stem the tide as banking heavyweights buckled.
Auto led minor recoveries (e.g., +2.2% one week), buoyed by DII inflows of ₹30k Cr offsetting foreign exits temporarily.
VIX exploded 119%, fueling panic selling—range-bound forecasts of 25k-26k from reports turned into a freefall to 22.8k-23.5k lows.
March 30 alone saw -2.14% (-488 pts), erasing ₹10 lakh Cr market cap, as Sensex mirrored with -5.36% FY26 close.
Overall, Nifty's FY26 ended down 3.6%, worst decade fall, but DII resilience hints at a Q2 rebound if FIIs return.
Have marked imp levels...
Follow for more updates
like and share
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