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Ventura Wealth Clients
Stock Market Update Today - Mar 04, 2026
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Summary

Indian markets traded range-bound amid mixed global cues and cautious institutional flows. While FIIs remained sellers, DII support limited downside. Sector rotation and selective stock activity kept indices consolidating near key support and resistance levels.

Market Outlook:
 Indian markets continued to trade with a cautious undertone amid mixed global cues and limited domestic triggers. Benchmark indices remained range-bound with intermittent volatility, reflecting uncertainty around near-term direction. While key support levels are holding, resistance zones continue to cap upside momentum, keeping traders selective. Market breadth suggests stock-specific action rather than broad-based participation. Going forward, global developments, macroeconomic indicators, and earnings updates will be crucial in determining the next directional move.

FII and DII Activity:
 Institutional flows remained central to market sentiment. FIIs maintained a guarded stance with selective selling in the cash segment, exerting pressure on frontline indices. DIIs provided partial support through targeted accumulation, helping absorb supply at lower levels. The ongoing divergence between foreign and domestic flows indicates a consolidation phase, with markets awaiting stronger conviction from large participants before a decisive breakout.

Sector Activity:
 Sectoral performance reflected rotation rather than uniform strength. Defensive pockets such as FMCG and select Pharma stocks showed relative resilience, while Auto, IT, Realty, and PSU Banks witnessed intermittent profit booking. Metals and other high-beta counters remained sensitive to global commodity movements. Broader markets mirrored the cautious sentiment, with midcaps and smallcaps displaying selective momentum but lacking sustained follow-through.

Long, Short, Long Unwinding & Short Covering:
 Derivative positioning indicates a neutral-to-cautious bias. Fresh short buildup was observed in select index heavyweights near resistance levels, suggesting hedging activity. Long unwinding in previously outperforming stocks points toward profit booking and risk reduction. However, selective short covering at lower levels limited deeper downside, reinforcing expectations of range-bound movement in the near term. Overall, traders appear to be maintaining disciplined and tactical positioning.

Top 5 News Highlights:

  1. A major IT company announced a significant deal win, improving long-term revenue visibility.
  2. Select PSU banks reported improved asset quality metrics, strengthening investor confidence.
  3. An infrastructure company secured a large project order, enhancing its execution pipeline.
  4. Auto manufacturers released monthly sales data reflecting mixed demand trends across segments.
  5. Global commodity prices remained volatile, influencing metal and energy-related stocks.

Markets remain sensitive to institutional flows and global cues. Investors are advised to stay selective, focus on fundamentally strong companies, and monitor key technical levels for clearer directional signals.

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