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Understand the market

Data as of 11 Sep 2026

Market regime

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Whether market groups are moving together or apart, read as risk-on, range-bound or risk-off from breadth across the major indices.
Regime now Range-Bound
50/100
6 weeks agoLatest
Risk-off Range-bound Risk-on

Leadership is mixed, without a broad market trend.

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Fear and greed index

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Seven sentiment inputs, among them momentum, price strength, volatility and the put-call ratio, compressed into one reading for Indian markets.
-0.49 Neutral
Extreme fearNeutralExtreme greed
Last 40 readings
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Macro indicators

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Twenty-two Indian macro series with full history: inflation, policy rates, output, trade, debt and the government bond curve.
Repo ratePolicy5.25%
CPI inflationPrices4.45%
GDP growthGrowth7.80%
10Y G-SecRates6.97%
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Market indices

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Every major NSE index with constituents, weights, valuations and returns, from the broad benchmarks to the factor and thematic indices.
Last 60 sessions
Nifty 50
24,055.80
-0.10%1 day
Nifty Bank
57,409.60
-1.06%1 day
Nifty Midcap 100
63,334.50
-1.39%1 day
Nifty Smallcap 100
19,886.25
-0.23%1 day
View all indices

Follow market leadership

Sector rotation

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Sector and industry performance across time windows, with leaders and laggards separated so you can see where money is moving.
1 month
IT+14.26%
Realty+8.23%
Auto+7.98%
Pharma+7.09%
Metal+4.53%
Media+2.77%
Bank-1.27%
PSU Bank-1.42%
Private Bank-1.82%
Financials-2.74%
Energy-5.27%
FMCG-5.35%
Explore sectors

Factor rotation

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Which investing style is being paid right now, tracked across the factor indices we use to build portfolios: momentum, value, quality, growth, alpha, low volatility and more.
1 week
Alpha
+0.40%
Growth Sectors
+0.01%
Quality
-0.03%
Value
-0.08%
Dividend Opportunities
-0.16%
Low Volatility
-0.65%
Explore factors

Broad market dashboard

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How the market is participating across capitalisation buckets and asset groups, indexed so moves are comparable over a chosen period.
1 month
Gold
+6.62%
Smallcap
+5.33%
Midcap
+1.93%
50
+0.14%
G-Sec 10Y
+0.10%
Compare asset classes

Research stocks and funds

Market tracker

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Search any listed Indian stock and read its factor scores, valuation, momentum and recent price behaviour on one card.
Large cap movers
Leading large cap movers
StockPrice ₹Return
PWL 136.10 +7.39%
AIIL 544.35 +6.26%
YESBANK 23.48 +5.29%
SUNTV 476.00 +4.49%
Open stock tracker

Market dashboards

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Curated stock dashboards that pull several data sets into one view for a theme, a screen or a market event. The shapes below stand in for a dashboard layout.
Layout preview
Basket trend
Constituents
Browse dashboards

MF intelligence

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Mutual fund analytics across every part of the market: category returns, rolling performance, holdings and cost, with funds compared side by side.
Top 1Y returns
Nippon India Taiwan Equity Fund -…Thematic Fund
+131.1%
Nippon India Taiwan Equity Fund -…Thematic Fund
+131.1%
Nippon India Taiwan Equity Fund -…Thematic Fund
+128.0%
Explore mutual funds

Bring it back to your portfolio

Portfolio review

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Connect your broker or upload your holdings and the review returns a health score with the reasoning behind it: concentration, overlap, factor tilt and drawdown behaviour, for equity and mutual funds. The panel shows an example report.
Equity and mutual funds
Sector mix of the example portfolio
Financials 34% IT 23% Energy 18% Auto 14% Other 11%
Health scoreConcentrationFund overlap Factor exposureDrawdownCost
Portfolio diagnosticsExample
59/100
Concentrated10 holdings · 5 sectors
Diversification
66
Factor health
53
Your own report is built from your holdings.
Review my portfolio

Financial planner

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Assets, liabilities, income and goals turned into a plan, with your ratios checked against benchmarks. The bars show example ratios.
Example
Saving
3.1x
Leverage
44%
Liquidity
6 mo
Start planning

Financial calculators

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SIP, lumpsum, CAGR, retirement, loan and tax calculators. Move the sliders to see the compounding maths update.
₹5,000
10 years
Invested₹6.0 L
Gain₹5.6 L
Value₹11.6 L

Assumes 12% annual return, compounded monthly.

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About these figures. Market regime, sentiment, macro, indices, sector and factor rotation, asset groups, stock movers and fund returns are read from our market data and refresh through the day. The portfolio diagnostics and planner ratios are marked Example, and the dashboard panel shows a layout rather than data. Open a tool for its full, current numbers. Investments in securities markets are subject to market risk.