Weekly Market Update 24-28 Nov 2025: India’s Essential Weekly Market Recap

Weekly Market Update 24-28 Nov 2025 | HMA Wealth
Weekly Market Update 24-28 Nov 2025 | HMA Wealth

What Happened in the Weekly Market Update 24-28 Nov 2025?

This week for India was a confluence of expectations, volatility, and strong economic signals for the markets. Weekly Market Update 24–28 Nov 2025 shows that even though the week started with a slight weakness, the Nifty-Sensex touched new highs by mid-week and once again proved the strength of India’s long-term bull-run.

According to HMA Wealth, this week’s move made it clear that India’s market is no longer relying solely on global cues, but on the back of domestic growth, strong corporate balance sheets, and the digital revolution.

How Did the Key Indices Perform This Week?

The week began with a slight decline on November 24, when the Sensex slipped about 0.39%. But by Wednesday-Thursday, both major indices made record highs. On Friday, 28 November, mild profit-booking pressure was observed, which closed the session almost flat.

Below is the index’s weekly photo:

Weekly Index Performance (24-28 Nov 2025)

IndexWeekly CloseWeekly Change% ChangeHighLow
Nifty 5026,202.95+134.80+0.51%26,310.4525,842.95
Sensex85,706.67+474.75+0.55%85,720.3884,587.01
Nifty Bank59,752.70+15.40+0.03%59,900+59,500
Nifty Midcap 150~18,500 (est.)+1.2%+1.2%

This week’s message was clear—even a slow pace is a sign of a strong foundation. It was a SIP-friendly week for retail investors, while traders found range-bound movement.

Which Sectors Led the Weekly Market Update 24-28 Nov 2025?

Sectors showed a mixed performance this week. Defensive sectors such as pharma and auto showed strength, while IT remained sluggish due to global weakness. PSU banks once again showed a strong hold on the YTD chart.

Sectoral Performance Table

SectorWeekly % ChangeKey Driver
Pharma+0.6%Export recovery, festive demand
Auto+0.6%EV momentum, rural pickup
Media+0.6%Ad-spend rebound
PSU Banks+1.5% (est.)Loan growth, capex cycle
IT-0.4%US tech slowdown concerns
Financial Services-0.2%Credit demand moderation

In HMA Wealth’s view, this sectoral trend reflects the inclination of investors towards safer options, while there was selective buying in growth-sensitive sectors.

If you are understanding this Weekly Market Update 24–28 Nov 2025 but want to know the basic structure of the stock market in more depth, check out our opening article What is Stock Market? There’s a clear start for you.

Who Were the Top Gainers and Losers This Week?

Many mid- and small-cap stocks showed a spectacular rally this week. At the same time, some names were under pressure.

Top Weekly Gainers

  • Anant Raj (Realty): +8.2% –Real estate demand is fast.
  • Ather Energy (Auto/EV): +6.5% – EV push and state incentives
  • Patel Engineering (Infra): +5.1% – strong order pipeline

Top Weekly Losers

  • Tejas Networks: -7.2% – 5G rollout delays
  • Exide Industries: -5.8% – battery price competition
  • Shriram Finance: -2.7% – cautious lending cycle

This volatility shows that the festive demand play remained strong, while high-leverage and tech-linked stocks remained under pressure.

What Did FII and DII Activity Reveal This Week?

Foreign investors showed a lot of caution this week.

  • FIIs made weekly sales of around ₹10,000 crore.
  • DIIs made a massive purchase of around ₹12,000 crore.

This divergence shows that domestic investors are now becoming the real drivers of India’s growth story.

HMA Wealth Insight: “When FIIs are sold, India goes into discount mode for long-term investors. “

How Did the Derivatives & Market Breadth Behave?

Market breadth showed slight weakness.

  • Advance-Decline Ratio: ~0.82 (November low)
  • Breadth: 2,121 decliners vs 2,024 advancers (28 Nov, BSE)

Derivatives Activity Built:

  • Put OI: 26,000 largest support.
  • Call OI: 26,300. The biggest obstacle.
  • VIX: nearly 12.5, low volatility environment
  • Long-Short Ratio: 88% bulls regained control

The market appeared in a range-bound bullish zone in this setup.

Many new investors react emotionally to weekly movements, which often leads to avoidable errors. If you’re looking to avoid initial mistakes, our guide Common Investing Mistakes can further strengthen your investment journey.

What Global Cues Influenced the Weekly Market Update 24-28 Nov 2025?

Global cues created a supportive environment for the Indian market.

  • US Fed: 75% chance of a rate cut in December
  • S&P 500: +1.2%
  • Europe (Stoxx 600): +0.8%
  • Nikkei: +0.5%
  • Hang Seng: flat
  • Crude (WTI): $59–60/bbl (demand worries)
  • Gold: +1.2% from safe investment demand

All these signs were creating a calm but supportive environment for the Indian equity markets.

What Is the Market Outlook After the Weekly Market Update 24-28 Nov 2025?

After the November 28 close, the sentiment in the markets remained stable but optimistic. A strong GDP, cooling inflation, and domestic liquidity are big strengths for the market.

HMA Wealth Outlook

  • Nifty:
  • Support: 26,000, 25,800
  • Resistance: 26,300, 26,500
  • Sensex:
  • Support: 85,500
  • Resistance: 86,000

Festivals in December, the buying, GDP momentum, and a possible RBI softening could add to the excitement in the market.

Understanding market movements is important, but your real wealth is built on your personal finance habits. That’s why our article What Is Personal Finance? It can give a strong direction to your financial decisions.

Conclusion: What Does This Weekly Market Update 24-28 Nov 2025 Mean for You?

This week shows that the Indian market is offering a unique blend of stability and opportunities. The message to investors is simple:

  • Beginners: Continue SIP
  • Retail Investors: Understanding Sector Rotation
  • Traders: Range-trade within 26,000–26,300
  • Long-Term Wealth Builders: Selective allocation in PSUs, infra, and auto

In the eyes of HMA Wealth, India’s economic story is writing its most interesting chapters right now, and you’re part of it.

FAQs

What is the biggest signal to investors from the Weekly Market Update 24-28 Nov 2025?

Weekly Market Update 24-28 Nov 2025 indicates that the Indian market held on to strong support. Despite the modest profiteering, the index showed stability, signaling to long-term investors that India’s growth story is intact.

Which sectors held the market this week in the Weekly Market Recap?

According to the Weekly Market Recap, pharma, auto, and PSU banks performed positively. There was a slight weakness in the IT sector, but the domestic sectors gave a strong base to the Indian market.

How has the FII and DII movements fared according to Weekly Market Update India?

Weekly Market Update India shows that FIIs made big sell-offs this week, while DIIs continued to buy strongly. Due to this, domestic liquidity played an important role in keeping the market stable.

Weekly Market Update: What do future market trends look like after 24-28 Nov 2025?

As of the Weekly Market Update 24–28 Nov 2025, the market maintains strong support of 26,000. GDP momentum and soft inflation are expected to see a mild bullish trend in December.

What strategy should new investors adopt based on the Weekly Market Recap?

Weekly Market Recap suggests that new investors should continue to SIPs, diversify, and stay away from high-volatility stocks. Stable sectors such as auto, pharma and PSU banks were better options.

Hasanraza Ansari – Founder, HMA Wealth

Written by Hasanraza Ansari

Founder of HMA Wealth · Empowering India’s Next Generation of Investors

Finance & Operations Expert with 9+ years of experience, dedicated to simplifying wealth creation and helping Indians invest smarter through HMA Wealth.

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Educational content only. Investing in the stock market involves risks. Please do your own research or consult a SEBI-registered financial advisor before making any investment decisions.

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