Weekly Digest
Weekly Market Wrap: 22 Sep 2025
Nifty weekly snapshot — global cues, FII flows, sector movers, and what long-term SIP investors should (and shouldn't) do.
Week in review
Indian equities tracked global risk sentiment as US rate expectations shifted and crude oscillated. Nifty traded in a band with banking and IT providing offsetting moves. Midcaps showed higher beta — typical late-cycle pattern.
FII/DII flows
Foreign institutional selling often pressures large caps short-term; domestic mutual fund SIP inflows provide structural bid. Weekly flow data is noise for 10-year investors — note it, don’t trade it.
Sector spotlight
Financials: linked to credit growth and NPA cycle. IT: USD revenue vs wage inflation. Autos: festive season inventory build. Rotate only if portfolio policy says so — not because one week led.
Events ahead
RBI commentary, US Fed decisions, and India earnings pre-announcements. Calendar volatility rises — SIP dates shouldn’t shift for headlines.
Investor action list
Continue SIP · Skip reaction trades · Rebalance if drift >5% from policy · Review only if fundamentals change, not weekly candle color.
Template post — updated weekly with date-stamped title for freshness signal.
Tools: SIP calculator, asset allocation, mutual fund guide, CAGR calculator.
Disclaimer: This article is for educational purposes only. Not SEBI-registered investment advice. Consult a qualified advisor before making financial decisions.