Trade Setup for Today: Key Things to Know Before the Opening Bell on 21 Nov 2025

1 min read     Updated on 21 Nov 2025, 08:01 AM
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Overview

GIFT Nifty up 0.21%, indicating a positive opening for Indian indices. US markets closed mixed, with NASDAQ and S&P 500 E-Mini gaining while Dow Jones declined. Asian markets show weakness, with Nikkei and Hang Seng down over 2%. Oil prices dropped 1.29%, while gold slightly gained. USD/INR trading at 88.67. FIIs and DIIs were net buyers on Nov 20. Several companies announced interim dividends and bonus issues.

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*this image is generated using AI for illustrative purposes only.

Introduction

Global markets are showing mixed signals as we approach the opening bell. The GIFT Nifty indicates a positive start for domestic indices, while Asian markets display some weakness.

GIFT Nifty Update

GIFT Nifty is trading at 26,207.50, up 0.21% or 54 points from the previous close. This suggests a potentially positive opening for the NSE Nifty and BSE Sensex.

US Markets

U.S. markets closed with mixed results:

Index Close Change (%)
Dow Jones 45,773.25 -0.84
NASDAQ 22,109.00 +0.24
S&P 500 E-Mini 6,582.00 +0.37

Asian Markets

Asian markets are showing weakness:

Index Current Change (%)
Nikkei 225 48,714.05 -2.23
Hang Seng 25,270.50 -2.19

Commodity Trends

Oil prices have declined, while gold shows slight gains and silver declines:

Commodity Price (USD) Change (%)
Crude Oil 58.24 -1.29
Gold 4,066.10 +0.15
Silver 50.02 -0.57

Currency Updates

The USD/INR pair is trading at 88.67, down 0.02% from the previous close.

FII/DII Activity

Recent institutional activity shows:

Investor Type Action (₹ Crore) Date
FII +283.65 20 Nov 2025
DII +824.46 20 Nov 2025

Key Corporate Actions

Several companies have announced dividends and other corporate actions:

Company Action Details
MRF Interim Dividend ₹3 per share
IRCTC Interim Dividend ₹5 per share
Info Edge Interim Dividend ₹2.4 per share
Oil India Interim Dividend ₹3.5 per share
Sealmatic Bonus Issue 2:10 ratio

Conclusion

As markets open, investors will be closely watching global cues, particularly the mixed signals from US and Asian markets. Corporate actions and institutional activity may influence specific sectors and stocks.

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