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Aug 8, 2025
4 min read
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Weekly Market Wrap: Saturday, August 9th 2025

Weekly Market Wrap: Saturday, August 9th 2025

Weekly Market Wrap: Saturday, August 9th 2025

# Nifty (-0.84%): Nifty bears were seen tightening their grip as the benchmark fell for the 6th straight week.

# The negative takeaway was that anxiety, nervousness, fear and panic ruled Dalal Street in a ‘turbulent Week’ with investors taking a cautious stand after India got the rough end of Trump’s trade war.

# Investors were also apprehensive amidst mindful of the risks, especially in a busy uninspiring Q1 earning week.

# Bank Nifty (-1.10%) mostly mirrored Nifty’s fall to end the week way below the dotted lines, and most importantly, ended on a jittery/slippery note for the 6th straight week.

# The broader markets too witnessed massive profit booking as the Nifty Mid-cap 50 index fell 1.11% while the Nifty Small-cap index plunged 1.362%.

# Nifty 200-DMA at 24043 mark.

# Week Ahead – August 11th

# Moving forward, the 8-key catalysts which will command investors’ attention:

1) The US CPI on Tuesday, August 12th.

2) All eyes will be on Fed Governor Christopher Waller who is a leading contender to head the US central bank, bolstering market bets on a September rate cut.

3) U.S. retail sales for July 2025 to be out on August 15.

4) Investor attention will remain squarely focused on President Trump’s trade war after he announced a nearly 50% tariff on Indian imports.

5) Corporate India’s Q1 earnings season enters its final leg.

6) India’s July CPI rate will be unveiled on August 12.

7) India’s WPI inflation figure for July 2025 will be made public on August 14.

8) Passenger vehicle sales data for July 2025 will be released on August 15.

# The Gyan Mantra: Hopefully, Nifty’s 200 DMA at 24043-mark acts as a very good support

 

 

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DISCLAIMER

Our clients may have positions in the stocks mentioned in this note. Kindly note that our clients may receive additional information in real time not available to the viewers of this note.

This does not construe to be an investment advice. Stock market investments are subject to market risks. All information is a point of view, and is for educational and informational use only. Returns mentioned herein are in no way a guarantee or promise of future returns. Stock market investments are subject to market risks.

 


RISK DISCLOSURES ON DERIVATIVES:

# 9 out of 10 individual traders in equity Futures and Options Segment, incurred net losses.

# On an average, loss makers registered net trading loss close to 50,000.

# Over and above the net trading losses incurred, loss makers expended an additional 28%of net trading losses as transaction costs.

# Those making net trading profits, incurred between 15% to 50% of such profits as transaction cost.

Registration granted by SEBI and certification from NISM in no way guarantee performance of the intermediary or provide any assurance of returns to investors.

This does not construe to be an investment advice. Stock market investments are subject to market risks. All information is a point of view, and is for educational and informational use only. The author accepts no liability for any interpretation of articles or comments on this platform being used for actual investments.


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