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Sensex, Nifty Recover Early Losses

Posted By: Tarun Kumar Posted On: Aug 13, 2026Share Article
Sensex, Nifty Recover Early Losses

Market Update: Sensex, Nifty Recover Early Losses; Realty, IT and Auto Stocks Gain

Markets Today, August 13: The domestic equity market on Thursday staged a recovery from the day’s lows around noon, amid buying interest in select heavyweight stocks and strength in parts of the broader market. As of 12:20 pm, the BSE Sensex was trading at 77,958.21, down 8.14 points or 0.01 per cent, recovering nearly 292 points from the day’s low.

The Sensex had opened at 78,111.91 and touched an early high of 78,119.39 before falling to a low of 77,665.89. From the day’s low, the Sensex had recovered nearly 292 points.

The NSE Nifty was trading at 24,392.25, down 43.70 points or 0.18 per cent. It opened at 24,431.60 and touched a low of 24,311.40 before recovering around 81 points from the day’s low.

The recovery comes after the benchmark indices extended their weakness in early trade amid mixed global cues and concerns over elevated crude oil prices.

The market recovery was supported by buying in several large-cap stocks. Eternal was the top gainer among the major index constituents, rising 1.84 per cent. IndiGo gained 1.83 per cent, while BEL rose 1.53 per cent and L&T advanced 1.40 per cent.

Tech Mahindra, NTPC, Bajaj Finserv and Bharti Airtel were also trading higher. TCS gained 0.47 per cent after coming under pressure in the previous session.

However, the recovery remained uneven, with several heavyweight stocks still weighing on the benchmarks. Ultratech Cement declined 1.45 per cent, while Titan fell 1.42 per cent. Reliance Industries was down 0.99 per cent and ICICI Bank declined 0.96 per cent. Adani Ports, Power Grid and Axis Bank were among other major losers.

The broader market continued to show relative resilience compared with the benchmark indices. The Nifty Smallcap 100 gained 0.26 per cent, while the Nifty Smallcap 250 rose 0.20 per cent and the Nifty Smallcap 50 advanced 0.19 per cent.

The Nifty Microcap 250 was up 0.27 per cent, while the Nifty Smallcap 500 gained 0.24 per cent. Mid-cap indices, however, remained marginally weak. The Nifty Midcap 100 declined 0.12 per cent, while the Nifty Midcap 150 fell 0.09 per cent.

The India VIX fell 1.58 per cent to 11.51, suggesting that volatility expectations remained relatively subdued despite the weakness in the headline indices.

The sectoral picture improved from the morning session, with several sectors moving into positive territory. The Nifty Realty index rose 0.54 per cent, recovering sharply from the day’s low. The Nifty IT index also turned positive, gaining 0.14 per cent, while the Nifty Auto index rose 0.11 per cent.

The Nifty FMCG index gained 0.37 per cent, while the Nifty Media index advanced 0.35 per cent. The Nifty Chemicals index was up 0.65 per cent. The Nifty MidSmall IT & Telecom index gained 0.78 per cent, indicating buying interest in IT and telecom stocks beyond the large-cap space.

However, some sectors remained under pressure. The Nifty Cement index fell 1.04 per cent, while Nifty Private Bank declined 0.50 per cent and Nifty Metal fell 0.80 per cent. Nifty Oil & Gas declined 0.56 per cent, while Nifty Pharma and Nifty Healthcare also remained in the red.

The market’s recovery from the day’s lows is a positive sign for the session, although the benchmarks remain below their previous close.

Asian markets were mostly higher on Thursday, helped by optimism around artificial intelligence and semiconductor stocks. Japan’s Nikkei 225 and South Korea’s Kospi posted strong gains, while Hong Kong and Shanghai also traded higher. Australia’s benchmark was an exception, remaining under pressure.

Wall Street had also ended mostly higher in the previous session. The S&P 500 gained 0.3 per cent, while the Nasdaq Composite advanced 0.5 per cent, supported by gains in AI-related stocks.

A moderation in US inflation also improved sentiment around the Federal Reserve’s interest-rate outlook. However, crude oil prices remained elevated, keeping pressure on inflation-sensitive markets such as India.

Anand James, chief market strategist at Geojit Investments Ltd, said, “Yesterday’s swing higher from the 20 dma and the hammer formed thereof appears to have set up conditions to force a trend reversal aiming 24540-666 initially, followed by 24850- 25100. However, we expect a consolidation on approach to 24490. If this holds, upside prospects will reduce, but a collapse aiming 24240-24060, is less expected."

Source: News18
Related Posts: Indian Stock Market, BSE Sensex, NSE Nifty, Stock Market Today, IT Stocks, Financial Stocks, Crude Oil Prices, Asian Markets

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