India Market Brief · 22 Jul 2026

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India (NSE) Market Intelligence Brief

Report as-of (US/Eastern): 2026-07-21 23:45:09 EDT

Data sources: NSE pre-open F&O and NSE derivatives quotes


Executive summary

Report as-of (US/Eastern): 2026-07-21 23:45:09 EDT

NSE pre-open F&O data shows broad-based weakness across major banking and IT names, with declines ranging from -0.64% to -0.97%. SBIN leads losses at -0.97%, followed by INFY at -0.96%. Banking heavyweights ICICIBANK, KOTAKBANK, and HDFCBANK all show moderate declines despite mixed medium-term trends. No official NSE index data was retrieved for this session.

Data sources: NSE pre-open F&O page and NSE official derivatives quote pages.

Index & F&O pre-open regime

No NSE index data retrieved for NIFTY, BANKNIFTY, MIDCPNIFTY or other major indices during this pre-open session. Index-level sentiment must be inferred from individual F&O constituent performance.

Based on available F&O pre-open data:

  • Banking sector showing uniform weakness (SBIN -0.97%, ICICIBANK -0.69%, KOTAKBANK -0.67%, HDFCBANK -0.64%)
  • IT sector under pressure (INFY -0.96%)
  • Suggests potential broad market softness ahead of regular trading

Largest movers by percentage

Large cap

  • SBIN.NS: ₹1,034.3 (-0.97%)
  • INFY.NS: ₹1,063.2 (-0.96%)
  • ICICIBANK.NS: ₹1,453.0 (-0.69%)
  • KOTAKBANK.NS: ₹383.35 (-0.67%)
  • HDFCBANK.NS: ₹756.6 (-0.64%)

Mid cap

No NSE pre-open mid-cap movers found.

Small cap (high risk — proceed with caution)

No NSE pre-open small-cap movers found.

Important: Small-cap investments carry elevated liquidity and volatility risks. Investors should proceed with extreme caution and allocate only limited risk capital after securing core portfolio positions.

Related news drivers

Limited stock-specific catalysts visible in current headlines:

  1. HDFC Bank earnings date referenced (Jul 18, 2026) with general price/quote coverage
  2. ICICI Bank showing 52-week range context (high 07/25/25, low 03/23/26)
  3. Broader tech sector mentions of AI rivalry and semiconductor rebounds, potentially affecting INFY sentiment
  4. General banking sector comparison articles suggest ongoing sector evaluation/rotation phase

No major positive catalysts identified for current F&O leaders.

NSE options structure ideas (educational)

Primary bearish structures recommended

Given uniform weakness across major F&O names, put-side structures are primary across all analyzed securities.

SBIN.NS (Primary: PUT debit spread)

  • Put debit spread: 1030/1020 strikes targeting further banking weakness
  • Secondary: Covered calls at 1040-1050 if holding shares

INFY.NS (Primary: PUT debit spread)

  • Put debit spread: 1060/1040 strikes on IT sector pressure
  • Weekly -1.22% momentum overriding monthly +3.29% gains

Banking trio (ICICIBANK, KOTAKBANK, HDFCBANK):

  • All showing put debit spread opportunities despite mixed medium-term trends
  • HDFCBANK most compelling given -7.22% weekly decline

Critical limitation: NSE options chain data unavailable due to connection timeouts. All strike recommendations require real-time verification of liquidity and bid/ask spreads before execution.

Risks & watch-outs

Market structure risks

  • Options liquidity uncertainty: NSE chain data unavailable – verify bid/ask spreads before trading
  • Gap risk: Pre-open weakness may gap lower at regular session open
  • Sector rotation risk: Banking/IT weakness could reverse on policy news

Small-cap specific risks

  • Extreme liquidity constraints in small-cap options (none identified in current data)
  • Wide bid/ask spreads and limited market makers
  • High volatility and gap risk on earnings/news

Macro watch-outs

  • RBI policy announcements affecting banking sector
  • INR currency fluctuations impacting IT exporters
  • Global AI/tech sentiment shifts affecting INFY and sector peers

Risk management: Use defined-risk structures (spreads) given options data limitations and elevated pre-open volatility.

*This analysis is educational only and not investment advice. Verify all data independently before trading.*


Visual strategy maps

Payoff curves and entry/exit zones below are educational aids — not trade instructions. Confirm with your own chart, liquidity, and risk limits.

SBIN.NS: Bear Put Spread

SBIN.NS Bear Put Spread payoff and entry/exit map
SBIN.NS Bear Put Spread payoff and entry/exit map · Open full size

Structure: Buy higher-strike put + sell lower-strike put

Outlook: Moderately bearish

Entry zone: ~1034.3 · Target: ~980 · Stop: ~1093.44 · Breakeven: ~1034.49

Risk note: Defined risk equals net debit; reward is capped between the two put strikes.

Related news links:

Payoff chart (Mermaid):

Options strategy chart
Options strategy chart · Open full size

Entry / exit map (Mermaid):

Options strategy chart
Options strategy chart · Open full size

INFY.NS: Bear Put Spread

INFY.NS Bear Put Spread payoff and entry/exit map
INFY.NS Bear Put Spread payoff and entry/exit map · Open full size

Structure: Buy higher-strike put + sell lower-strike put

Outlook: Moderately bearish

Entry zone: ~1063.2 · Target: ~1000 · Stop: ~1144.65 · Breakeven: ~1084.05

Risk note: Defined risk equals net debit; reward is capped between the two put strikes.

Related news links:

Payoff chart (Mermaid):

Options strategy chart
Options strategy chart · Open full size

Entry / exit map (Mermaid):

Options strategy chart
Options strategy chart · Open full size

ICICIBANK.NS: Bear Put Spread

ICICIBANK.NS Bear Put Spread payoff and entry/exit map
ICICIBANK.NS Bear Put Spread payoff and entry/exit map · Open full size

Structure: Buy higher-strike put + sell lower-strike put

Outlook: Moderately bearish

Entry zone: ~1453 · Target: ~1400 · Stop: ~1561.03 · Breakeven: ~1478.2

Risk note: Defined risk equals net debit; reward is capped between the two put strikes.

Related news links:

Payoff chart (Mermaid):

Options strategy chart
Options strategy chart · Open full size

Entry / exit map (Mermaid):

Options strategy chart
Options strategy chart · Open full size

KOTAKBANK.NS: Bear Put Spread

KOTAKBANK.NS Bear Put Spread payoff and entry/exit map
KOTAKBANK.NS Bear Put Spread payoff and entry/exit map · Open full size

Structure: Buy higher-strike put + sell lower-strike put

Outlook: Moderately bearish

Entry zone: ~383.35 · Target: ~360 · Stop: ~406.1 · Breakeven: ~384.25

Risk note: Defined risk equals net debit; reward is capped between the two put strikes.

Related news links:

Payoff chart (Mermaid):

Options strategy chart
Options strategy chart · Open full size

Entry / exit map (Mermaid):

Options strategy chart
Options strategy chart · Open full size

Trading versus investing

Investing focuses on durable ownership, diversification, and compounding. Trading seeks faster tactical returns and carries higher risk. We treat options trading as limited-capital, educational analysis only after core investment capital and emergency liquidity are protected.

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