03/06/2026
Indian market update
Indian Market Key Factors (3 June 2026)
Iran–US/West Asia Tension – Market ka sabse bada trigger abhi bhi geopolitical risk hai. Agar tension badhta hai to crude oil aur volatility dono badh sakte hain.
Crude Oil Prices – India oil importer hai, isliye crude me tezi se inflation aur corporate margins par pressure aata hai.
FII Selling – Foreign investors ki selling market ke upside ko limit kar rahi hai, jabki DII buying support de rahi hai.
Global Markets – US markets strong rahe hain aur AI theme se tech sentiment positive hai, jo IT sector ko support de sakta hai.
IT Sector Strength – Recent sessions me IT stocks ne outperformance dikhaya hai aur Nifty ko support diya hai.
Nifty Important Levels
Support: 23,350 – 23,250
Resistance: 23,600 – 23,750
23,750 ke upar sustain hua to short covering rally dekhne ko mil sakti hai. Range-bound market ki sambhavana bani hui hai.
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