Stock Market Prediction for Monday (Dec 01, 2025) | Nifty, Bank Nifty Levels & Market Insights
Get Nifty, Bank Nifty, and sector levels for Monday, Dec 01, 2025. Read expert market predictions, support/resistance & trading tips for the week ahead.
Hello friends! đź‘‹
What a resilient week it's been! Markets scaled fresh record highs mid-week before settling into familiar consolidation mode as November wraps up, with Nifty holding firm near 26,200, Bank Nifty touching all-time highs above 59,800, and steady DII buying countering patchy FII flows. India VIX eased sharply to around 11.1, signaling cooling volatility and steady risk appetite ahead of key GDP data. Let's break down the action, option chains, and your actionable plan for Monday (Dec 1, 2025) and the week ahead.
Weekly Stock Market Review: Nov 24 – 28, 2025

Nifty 50 : Closed at 26,202.95, up modestly ~0.52% on the week after hitting intraday peaks near 26,310. Strong support at 26,000 held firm amid profit-taking, with the index now consolidating in uncharted highs territory.​
Bank Nifty : Powered to a record high of 59,897.50 before closing at 59,752, up ~1.5% weekly on PSU bank momentum and breakout confirmation above 59,000. Buying interest absorbed pullbacks, keeping the higher-high structure intact.​
Sensex : Ended near 85,706, flat-to-up ~0.56% on the week after tagging 86,052 intraday, tracking Nifty's range-bound grind near records.​
Action this week was driven by:
- DIIs netting ₹72,935 Cr buys month-to-date, offsetting FII sales of ₹13,705 Cr.​
- Sector rotation into financials, pharma, IT, and autos; drags in oil & gas, metals, realty.​
- Global rate-cut hopes and benign inflation supporting defensives turning cyclical.​

Key Technical Levels & Market Bias for the Week Ahead​
| Index | Support Levels | Resistance Levels | Weekly Bias |
|---|---|---|---|
| Nifty 50 | 26,100 / 26,000 | 26,300 / 26,400 | Bullish Consolidation |
| Bank Nifty | 59,300 / 58,800 | 59,800 / 60,000 | Strong Bullish – Eyes 60k |
| Sensex | 85,500 / 85,000 | 86,000 / 86,500 | Positive with Pullback Room |
Sector & Stock Performance Snapshot​
Strong Sectors:
- Financials/Banks: Led by PSU strength and rate hopes; Bank Nifty breakout steals show.​
- Pharma/IT/Autos: Pharma and IT drew defensive inflows with resilient earnings visibility; autos gained on festive demand and brokerage upgrades like M&M.​
Weaker Sectors:
- Oil & Gas/Metals/Realty: Metals faced commodity headwinds and global sell-offs (e.g., JSW Steel, Hindalco drags); oil & gas, realty saw profit-booking amid yield pressures.​
Noteworthy Movers:
- Momentum autos like Hero MotoCorp , M&M.​
- Value plays near lows in chemicals/industrials for watch.​
Institutional Activity Overview​
- FIIs: Net sellers ₹1,255 Cr on Nov 27 (MTD -₹13,705 Cr), selective in futures.
- DIIs: Bought ₹3,941 Cr on Nov 27 (MTD +₹72,935 Cr), anchoring highs.
- VOLATILITY: India VIX plunged ~14.7% to 11.6, sharpest weekly drop in months—theta heaven for sellers.

Option Chain & Market Sentiment
Nifty 50 Option Chain (Dec expiry focus):

- Max Call OI: 26,300-26,400 (resistance walls)
- Max Put OI: 26,000-26,100 (support base)
- PCR: ~1.01 OI (neutral); ~1.04 volume (neutral)
- Max Pain: ~26,200—range favors writers.​
Bank Nifty Option Chain:

- Max Call OI: 60,000 / 61,000
- Max Put OI: 59,000 / 58,500
- PCR: ~1.19 (mildly bullish, calls catching up); spot-biased upside.
- Max Pain: ~59,500—breakout potential above 59,800.​
Sentiment: Balanced chains with put protection at lows; call unwinds cap tops. Short strangles/iron flies ideal in low-VIX grind.
IPOs, Corporate Actions & Upcoming Catalysts​
- IPO Radar: Post-listing volatility in recent names; watch GDP reaction.
- Key Events: Q2 GDP (exp >7%), US PCE/inflation, RBI cues—vol spike risk.
- Earnings: Sector midcaps in focus post-Q2.
Monday Market Prediction & Trading Strategy (Dec 1, 2025)​
Markets open steady post-consolidation, with GDP anticipation driving flows. Bias leans bullish if supports hold, but event risk caps aggression.
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Final Thoughts
Patience is your best friend. The tape is choppy, sector rotation is fierce, and option writers are leading the dance. Stick to your process, manage risk, and let price come to your levels.
Stay tuned with Replete Equities for precise updates and insights to help you navigate the markets skillfully!
Disclaimer
This is educational content only—not investment advice, solicitation, or offer to buy/sell. Markets involve risks; always assess your finances, risk tolerance, and goals. Past performance isn't a future guarantee; opinions and projections may change without notice. No responsibility or liability for losses or damages from using this information. Consult a qualified financial advisor for personalized recommendations.



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