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Watchlist 10 stocks
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RELIANCE NSE
₹2,918.51 ▼ -1.30%
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Market News
Market Data
Top Gainers
Stock Price Chg% Vol
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Stock Price Chg% Vol
FII / DII FlowToday
FII
Buy₹12,847 Cr
Sell₹14,203 Cr
Net-₹1,356 Cr
DII
Buy₹8,921 Cr
Sell₹6,340 Cr
Net+₹2,581 Cr
Most Traded
Stock Price Volume Turnover
52W HighTrueData
Stock Price 52W High Chg%
Market BreadthNSE
Advances
Declines
Unchanged
A/D Ratio
AdvancesUnchangedDeclines ▼
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Derivatives — Futures & Options
NSE F&O · Live NSE F&O Data · Options Chain · PCR · Max Pain
UNDERLYING
Spot 24,312.50▲ +0.59%
Put Call Ratio
1.12
Neutral — balanced
Max Pain
24,300
Spot –12.5 from pain
Total Open Interest
2.34 Cr
↑ +4.2% today
OI Change
+9.8L
Net OI added today
Highest Call OI Strike
24,500
Resistance · 18.4L OI
Highest Put OI Strike
24,000
Support · 22.1L OI
NIFTY Futures ▲ Long Buildup
Spot Price
24,312.50
Futures Price
24,368.75
Premium
+56.25
Open Interest
1.24 Cr
Change in OI
+4.8L
Volume
8.34L
OI Interpretation GuidePrice + OI → Signal
Price ↑ + OI ↑Long Buildup — Bullish
Price ↓ + OI ↑Short Buildup — Bearish
Price ↑ + OI ↓Short Covering — Bullish
Price ↓ + OI ↓Long Unwinding — Bearish
NIFTY Options Chain — Loading…
ATM 24,300
CALLS STRIKE PUTS
OI (L) Chg OI Volume LTP Price LTP Volume Chg OI OI (L)
NIFTY Spot
24,312.50INDEX
24500 CE
185.50CALL
24000 PE
142.30PUT
Signal Engine — Live Chart
EMA9 EMA21 VWAP
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EMA21
VWAP
Market Pulse Updated just now
NIFTY — OI Distribution by Strike
Call OI = Resistance Put OI = Support
Call OI (L)
← Resistance
Strike
Support →
Put OI (L)
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Mutual Funds — India
NAV Data via MFAPI.in · AMFI Registered Funds · Updated Daily
Total AUM:₹54.2 Lakh Cr Folios:17.8 Cr
CATEGORY
Fund Details AMFI
Select a fund card above to view details
NAV Performance Chart
NAV
Benchmark
1Y Return
28.4%
Benchmark: 21.2%
+7.2% Alpha
3Y Return (CAGR)
21.3%
Benchmark: 16.8%
+4.5% Alpha
5Y Return (CAGR)
18.7%
Benchmark: 14.1%
+4.6% Alpha
Category Rank
#3 / 28
Small Cap Category
Top Quartile
SIP Return (10Y)
22.1%
₹10K/mo → ₹27.4L
vs ₹12L invested
Category Avg (1Y)
19.6%
Small Cap avg
Fund beats avg
Rolling 3Y Ret
19.8%
Min: 12.4% Max: 28.1%
Consistent outperformer
10Y Return (CAGR)
17.4%
Benchmark: 13.2%
+4.2% Alpha
Std Deviation
18.4%
Category avg: 19.1%
Sharpe Ratio
1.42
>1 = good risk-adj return
Alpha
+6.8
vs Nifty Smallcap 100
Beta
0.93
<1 = lower market sensitivity
Upside Capture
112%
Captures more upside
Downside Capture
87%
Limits downside well
Top Holdingsas of Nov 2024
Sector Allocation% of Portfolio
Asset Allocation% of AUM
SIP InputsNo API needed — formula based
₹500₹1L
1 yr30 yrs
1%30%
SIP Results10 years @ 14%
Total Invested₹12,00,000
Total Value₹26,58,000
Total Profit₹14,58,000
Wealth Ratio2.2×
Returns: 121.5% on total invested capital
Starting early matters — same ₹10K/mo for 20 years at 14% = ₹1.32 Cr
Compare: vs vs
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Commodities & Metals — MCX India
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MCX Session:OPEN DXY:103.52
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GOLD MCX MCX ₹72,845 ▲ +0.48%
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