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Stock Market Today, Stock Market Live News Update | The HinduBusinessLine

GMDC shares surge 18% to 52-week high on heavy trading volumes HDBFS shares jump 12% post Q4 results, brokerages see steady growth Sensex, Nifty open higher on US-Iran peace deal hopes, lower oil Indian stocks heading for promising opening on Thursday 12 Stocks to watch: Tejas Networks, Rubicon, GHV Infra, Brigade, John Cockeril, Fino Payments Emerging markets investing legend Mark Mobius dies at 89 SEBI signs MoU with DoT to curb securities market fraud Goldman Sachs, Morgan Stanley buy Delhivery stake worth Rs 186 crore Gold surge lifts ETFs, jewellery stocks remain mixed Q4 Results Highlights Today: Elecon Engineering PAT declines, ICICI Lombard net profit rises 7%, HDB Financial shares gain ahead of Q4 results today, Reliance Industrial Infra, GTPL Hathway, Tejas Networks to announce Q4 results today, ICICI Prudential Life, Anand Rathi Share rise NSE active clients fall 7% to 4.57 crore in FY26 Murty takes charge as SEBI Whole-Time Member Datamatics powers Mumbai Metro Lines 2B & 9 with AFC, mobile ticketing Jewellery IPOs worth ₹3,840 crore delayed amid weak market sentiment India’s MTF book declines in March as market volatility hits leveraged trades 360 ONE Asset raises ₹2,000 crore for PIPE strategy targeting listed companies Asian stocks gain and oil falls on hopes of renewed US-Iran talks Stock markets shut for Ambedkar Jayanti; Sensex, Nifty 50 were down nearly 1% at close on Monday Just Dial Q4 profit falls 36% to ₹100 cr, revenue sees modest growth LIC board approves 1-for-1 bonus issue Jyoti CNC shares slump 15% after France probe into subsidiary MFs invest more as market crash, cash holdings hit 16-month low Global downgrades unwind India’s premium, cap market upside ICICI Prudential AMC Q4 profit rises 10% to ₹763 crore, AUM up 25% Om Power Transmission IPO subscribed 3.33 times on final day Broker’s call: Anand Rathi Wealth (Neutral) Broker’s call: Paytm (Outperform) Pakistan Stock Exchange plunges 5,000 points after US-Iran talks fail Citius TransNet Investment Trust's ₹1,105-cr IPO to open on Apr 17 Dalal Street midday: Sensex, Nifty down nearly 1%, Reliance, Eicher among top laggards, auto, oil Stocks weigh Sensex, Nifty pare early losses but stay in red at noon; Auto, Financials drag Zydus Wellness targets $500 million face wash market with tan removal launch RateGain launches AI-driven hotel marketing certification programme Coforge clears all regulatory approvals for Encora acquisition, merger expected by month-end IOC, BPCL, HPCL, Reliance & IndiGo shares drag amid windfall tax hike, rising crude prices Sensex, Nifty tumble 2% as US Naval blockade on Iran sends crude surging past $105 Gift Nifty trade indicates gap down opening of 300 points for Nifty50 Two dozen stocks including, L&T, NTPC, HUDCO, NBCC, Zaggle, AstraZeneca, Apollo Hospitals, Shalby, TGV Sraac will be in focus today How govt policy initiatives to impact shares of EV makers, oil exporters Stock Market Highlights: Sensex ends at 76,776; Nifty 50 down 226 pts (0.94%) at 23,823 FIIs pull ₹28,375 crore in five sessions; domestic buyers cushion fall as indices post best week in months Sun Pharma shares down 4 per cent on reports of overtures for US-based Organon Greenlight open market buybacks, but stay cautious TCS shares down 3.2% despite Q4 profit growth and deal wins SEBI uncovers ₹2,950-crore Ponzi-like network, fines Trdez ₹1 crore SIP inflows hit record high in March despite market turbulence Broker’s call: JM Financial (Buy) Markets snap six-week losing streak; all eyes on US-Iran talks BSE shares hit 52-week high, what is driving the surge? Stock Market Highlights: Closing bell: Sensex settles 918 points higher at 7,550, Nifty 50 up 275 points at 24,050 Q4 Results Highlights: TCS shares down after Q4 results, Anand Rathi & GM Breweries flat, Agri-Tech, Eco Hotels and Resorts, Vashu Bhagnani Industries to announce Q4 results MF equity inflows jump 56% as investors pump-in more money D-Street rebounds: Sensex, Nifty up 1%, auto stocks roar, Sun Pharma, Infosys, TCS top losers Ajmera Realty jumps 3% as record FY26 pre-sales lift sentiment MWL shares edge up after vendor empanelment Godrej Properties shares rise on record FY26 results; stock up 1.7% in afternoon trade Prestige Estates shares gain on ₹9,000 crore Versova project with ABIL Group Nifty crosses 24,000; IT stocks bleed as broader market rallies Om Power Transmission IPO subscribed 46% on day 2 morning Wipro shares steady amid IT selloff, buyback buzz lifts sentiment Gift Nifty points to gap up opening driven by global cues Crude surge, geopolitical tensions weigh on IT; financials, paints outperform 9 Stocks to Watch: Wipro, Poonawalla Fincorp, Prestige Estates and Amagi Media Lab Sensex tanks 1,200 pts, Nifty below 23,750: Hindalco, BEL lead Nifty 50 gainers Nifty snaps 5-day winning streak as ceasefire hopes fade, crude surges BSE gets SEBI nod to launch derivative contracts on BSE Focused IT Index Markets slide at midday; L&T, IndiGo drag as Hindalco, NTPC buck the trend Ashok Leyland shares ease after 3-day rally, still up over 12 weekly Milky Mist beats FY26 targets, IPO on track, says CEO Ola Electric hits upper circuit, closes 20% higher Broker’s Call: Aptus Value, Aadhar Housing Fin (Outperform) TCS Q4 Results Highlights: IT bellwether Q4 PAT up 12% y-o-y; FY26 profit sees marginal growth Markets open lower as profit-booking offsets ceasefire rally; Bajaj Auto, NTPC top gainers Broker’s Call: Amagi Media Labs (Buy) ABD Maestro launches ZOYA Pink Mix Berries Gin at ₹2,500 in Maharashtra BofA sees upside in bank stocks, cautious on IT sector outlook Anand Rathi Wealth Q4 profit jumps 41%; board announces bonus issue, dividend SpaceX targets $1.75 trillion valuation ahead of record IPO Stock Market Highlights: Sensex plunges 1.2%, Nifty 50 drops 0.93% as markets slide Aimtron Electronics bags ₹57.66 crore IIoT and AI surveillance orders Markets set for cautious start as Iran-US tensions cloud sentiment, TCS results in focus Stocks to watch: NHPC, NTPC, RITES, KEC International, Innovision, Suraj, Lupin and Zydus among 12 stocks in focus on Thursday Adani shares slide lower after rally on fresh SEC case developments MUFG Bank takes 20% stake in Shriram Finance for ₹39,618 cr Bank Nifty surges after RBI policy decision: Here's Why banks rally? Svatantra Microfin plans $250 million IPO; Kotak, Axis Capital hired as advisers Sensex jumps 2900 pts, Nifty at 24,000: Bank, auto & realty stocks lead as RBI hold rates Titan shares jump 6% on strong jewellery growth in Q4FY26 Tata Motors shares surge as CV, JLR sales data performance Hyperlink: nse, nifty, tata motors Adani Group Stocks: Adani Ent, Adani Ports, Adani Green, ATGL rally 13% Tata Steel shares up 4% as annual crude steel production rises in FY26 BPCL, HPCL, IOC, IndiGo shares rally as crude oil prices fall, ONGC & Oil India slip Sensex surges 2,550 points, Nifty crosses 23,800 as US-Iran ceasefire sparks risk-on rally Nifty seen rebounding 800 points on easing West Asia tensions LIC board meets today to consider maiden bonus issue 15 stocks to watch: Infosys, GAIL, Aurobindo Pharma, Lupin in focus Stock Market Highlights: Sensex, Nifty jump nearly 4% on US-Iran ceasefire, correction in crude prices FPIs pull out more from automobile, realty sectors Broker’s Call: Leela Palaces (Buy) Hindalco shares gain 4% after JP Morgan upgrade — Is this Start of big rally?
Nifty slides 208 points as US-Iran talks collapse, crude tops $100
2026-04-14 · via Stock Market Today, Stock Market Live News Update | The HinduBusinessLine

Equity benchmarks ended Monday’s session in the red, though a sharp intraday recovery from morning lows prevented a steeper fall.

The Sensex closed 702 points lower at 76,847, while Nifty settled at 23,842, down 208 points or 0.86 per cent. The Nifty had opened 460 points lower at 23,589 before buyers stepped in, clawing back nearly 300 points through the session to close near the day’s high.

US-Iran tensions and oil surge weigh on sentiment

The trigger was the collapse of US-Iran talks and President Trump’s order to blockade the Strait of Hormuz, which sent Brent crude surging past the $100 per barrel mark — a psychologically significant level with direct implications for India’s import bill, inflation trajectory, and fiscal math. Domestic crude futures jumped over 6.5 per cent, approaching the ₹10,000-per-barrel zone.

Technical view signals resilience despite fall

Sudeep Shah, Head of Technical and Derivatives Research at SBI Securities, noted that “...the index found support near its 20-day EMA, which acted as a crucial short-term support zone,” adding that Nifty’s bullish recovery candle on the daily chart signals “...resilience and a potential attempt to stabilise after the sharp opening decline.”

Broad-based sell-off across sectors

The damage was broad-based. Every sectoral index closed in the red. Nifty Auto bore the brunt, falling over 2 per cent, with Eicher Motors and Maruti Suzuki among the biggest drags. Higher crude directly pressures auto margins through fuel and logistics costs, while a weaker rupee compounds the pain on imported components. FMCG — typically a defensive — wasn’t spared either, as crude-linked input costs, palm oil prices, and slowing urban consumption squeezed the outlook for companies like HUL and Godrej Consumer. Oil & Gas and IT each declined by more than 1 per cent. Defence and select CPSE stocks were among the rare bright spots.

Selective buying supports recovery

HDFC Life, Adani Enterprises, and ICICI Bank were the top Nifty gainers, signalling selective institutional accumulation even as sentiment stayed fragile. Midcap 100 fell 0.57 per cent, and Smallcap 100 lost 0.46 per cent — broadly in line with the headline indices, though both recovered sharply from intraday lows, suggesting bargain hunting in pockets.

Rupee weakens, volatility spikes

The rupee extended its losing streak into a third straight session, depreciating 65 paise to 93.38 against the dollar — its sharpest single-day drop in a fortnight. The pressure came squarely from a surging crude import bill and safe-haven dollar demand. Technically, the USDINR pair is trading near support at 92.70 and resistance at 93.65. Gold, meanwhile, fell nearly 0.6 per cent, with silver down over 2 per cent on profit-booking.

India VIX surged nearly 9 per cent, breaking above the 20 mark — a signal that options markets are pricing in significantly more uncertainty. Aakash Shah of Choice Equity Broking noted that “...markets witnessed a volatile session with a gap-down opening followed by a strong intraday recovery, indicating buying interest at lower levels,” while cautioning that “...sustaining above immediate support levels and crossing key resistance zones will be crucial to confirm continuation of the bullish momentum.”

Macro concerns remain, but flows offer support

The macro backdrop from SBICAPS’ April EcoCapsule remains relevant: FPIs have withdrawn a record $16.6 billion from Indian markets in FY26, the rupee fell 11 per cent over the fiscal year, and India’s 10-year G-sec yields remain elevated, well above pre-war levels. The RBI held rates in its most recent policy, but SBICAPS believes the door for rate cuts is “now shutting.”

On the bright side, FIIs turned net buyers on April 10, recording inflows of approximately ₹600 crore — a potentially constructive shift if sustained. DIIs continued their steady buying, providing the cushion that prevented a deeper sell-off. Vinay Paharia, CIO at PGIM India Mutual Fund, offered measured optimism: “...the risk-reward is highly favorable for high growth and good quality business, wherein valuation as well as earnings growth both are in favor for long term investing,” noting that large-caps and small-caps are now trading near their longer-term valuation averages. His pointed observation: “...just like you don’t sell a farm because of one bad season, don’t sell great stocks only because of a war.”

Ajit Mishra of Religare Broking cautioned that “...sustaining above this level is critical for any further rebound; otherwise, the bias may turn negative to sideways,” recommending traders “...maintain a cautious stance, focus on stock selection based on relative strength for long opportunities, and prefer a hedged approach to manage risk.”

Key triggers ahead as markets reopen

Markets are closed on Tuesday for Ambedkar Jayanti. When trade resumes on Wednesday, the agenda is packed: India’s CPI print, Q4 earnings season commentary, and above all, any developments in the Strait of Hormuz. Options data shows heavy call writing at 23,900 and 24,000 — clear near-term resistance. On the downside, 23,500–23,600 remains the critical support band. A break there could open the door to 23,300 and 23,000.

Published on April 13, 2026