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NASDAQ CLOSES SHARPLY HIGHER, DOW AND S&P 500 SNAP 4-DAY LOSING STREAKS AFTER CPI DATA
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US oil prices erase gains after President Trump concludes his address to the nation with no mention of Venezuela.
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ICICI Prudential AMC IPO Allotment Status
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🇺🇸 markets closed lower Wednesday:
📉 DowJones -0.47%
📉 S&P500 -1.16%
📉 Nasdaq -1.81%
The S&P 500 and Dow marked a 4th straight losing session as investors continued rotating out of key AI names.
MTD:🔻 Oracle: -11%+; 🔻 Broadcom: ~-19%
Once-hot AI stock Oracle -5.4%
-Financial Times reported that Blue Owl Capital’s plans to finance the cloud infrastructure company’s $10 billion Michigan data center fell through
-Oracle has since disputed the report & said the project is moving forward.
Stocks tied to the AI trade fell in sympathy
Chipmaker Broadcom -4%
Nvidia -4%
Advanced Micro Devices -5%
Google parent Alphabet -3%
Central Bank meets lined up
Thursday BoE and European Central Bank
Friday Bank of Japan
Other asset classes snapshot:
🪙 Bitcoin $86,200
🛢 Brent crude $60.5/bbl
🥇 Gold: $4,332/oz | 🥈 Silver: $66/oz
📈 U.S. 10Y yield: 4.15%
💵 Dollar Index: 98.35
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Nifty Outlook – December 18, 2025
The Nifty 50 is expected to open muted to mildly negative today, continuing the corrective phase amid persistent FII outflows, rupee weakness, and cautious global sentiment. After closing the previous session (Dec 17) at around 25,818–25,860 (down ~0.16–0.64%), pre-market indicators point to limited upside momentum.
Pre-Market Indicators
GIFT Nifty: Trading around 25,845–25,861 (down ~0.11–0.17%), signaling a flat-to-soft opening near 25,800–25,830 levels.
Technical View
The index formed a bearish candle on Dec 17, closing near the 50-day EMA (~25,765) and testing lower Bollinger Bands intraday.
Key Support Levels: 25,700–25,650 (critical make-or-break zone); further downside to 25,600 or 25,350 if breached.
Key Resistance Levels: 25,950–26,000 (immediate hurdle); sustained move above could target 26,059–26,100.
India VIX remains low (~9.84, all-time closing low), suggesting controlled volatility but potential for sharp moves.
RSI around 50–55 indicates neutral to weakening momentum; dips could find buying interest as long as supports hold.
Educational Purposes only
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What Sectors To Watch?
Brent Crude reclaims $60/bbl on rising tensions between Venezuela and USA
-ONGC, Oil India
SEBI cuts MF expense ratio
-HDFC AMC, Nippon India AMC, ABSL AMC
Amazon rolls out 10-minute delivery in Gurugram
-Eternal, Swiggy
Insider Trades
-Ola Electric, DB corp
Govt makes it easier for Indian firms to invite foreign manufacturing talent
-Hyundai, Maruti Suzuki, EMS Stocks
RBI approvals given
-Paytm, CAMS
SC removes exception on air quality ruling
-Auto stocks (Sentimentally negative)
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Post market Report December 17, 2025
The Indian stock market extended its losing streak for the third consecutive session on December 17, 2025, amid persistent foreign fund outflows, rupee volatility, and cautious global cues.
Indices Closing Values
NSE Nifty 50: Closed at 25,818.55
Down 41.55 points (-0.16%) from the previous close of 25,860.10.
Intraday high: ~25,929
Intraday low: ~25,770
BSE Sensex: Closed at 84,559.65
Down 120.21 points (-0.14%).
Market Highlights
Broader markets underperformed: Nifty Midcap 100 down ~0.54%, Nifty Smallcap 100 down ~0.73%.
Sectoral performance: PSU Banks outperformed (up ~1.2%), while Media (down ~2%), Realty, Consumer Durables, FMCG, and Healthcare declined 0.4–1%.
Top Nifty gainers: Shriram Finance, SBI, Eicher Motors, Hindalco, Tata Consumer.
Top Nifty losers: Max Healthcare, SBI Life, HDFC Life, Trent, Apollo Hospitals.
Market breadth: Negative, with more declines than advances.
The session was range-bound with low volatility, reflecting investor caution ahead of key global events and ongoing FII selling pressure.
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The Nasdaq 100 extends its decline to over -1.7% on the day amid growing concerns around Oracle’s debt.
The “AI is a bubble” crowd has returned.
But, we continue to view this as near-term volatility in a broader move higher.
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