NSE Market Pulse — Saturday, 3 October 2026: Gainers, losers, sectors
Saturday, 3 October 2026: top gainers SMLT, XELPMOC, RVTH. Sector rotation, FII/DII, commodities — live tape from QUANTSCASE.
Daily NSE tape — gainers, losers, sectors, FII/breadth, and screener lists — plus a short stack of guides. Informational only, not investment advice.
For informational and educational purposes only. Not investment advice. QUANTSCASE is a stock screener, not a SEBI-registered investment adviser, research analyst, or portfolio manager. Terms
Saturday, 3 October 2026: top gainers SMLT, XELPMOC, RVTH. Sector rotation, FII/DII, commodities — live tape from QUANTSCASE.
Evening scan identified 10 NSE fundamental stocks on 2 Oct 2026 — sorted by market cap. Today's lens: High ROE Value Picks. Top picks: BHARTIARTL, TCS, INFY, HCLTECH, SHRIRAMFIN.
Friday, 2 October 2026: top gainers SMLT, XELPMOC, RVTH. Sector rotation, FII/DII, commodities — live tape from QUANTSCASE.
Macro tape: indexes, gold/crude, and FX next to the NSE close.
Top industry groups: Grocery Stores, Grocery Stores, Grocery Stores.
Institutional flows · FII -9484 Cr and advance/decline.
mid cap 1-day tape: gainers OMNI, ATLANTAELE, MOREPENLAB; losers IRCON, KSB, IFCI.
Biggest 1-day losers: LEXUS, SUPREMEINF, ESSARSHPNG, DELTACORP, SSDL.
small cap 1-day tape: gainers SMLT, XELPMOC, RVTH; losers LEXUS, SUPREMEINF, ESSARSHPNG.
Biggest 1-day gainers: SMLT, XELPMOC, RVTH, KREBSBIO, THOMASCOTT.
all NSE 1-day tape: gainers SMLT, XELPMOC, RVTH; losers LEXUS, SUPREMEINF, ESSARSHPNG.
Weakest sectors this week: Utilities, Real Estate, Basic Materials.
Leading sectors this week: Real Estate, Real Estate, Real Estate.
large cap 1-day tape: gainers SCHNEIDER, IDBI, WELSPUNLIV; losers POLICYBZR, BAJAJ-AUTO, CHENNPETRO.
Midday scan identified 10 NSE trend stocks on 2 Oct 2026 — sorted by market cap. Today's lens: EMA Bull Stack. Top picks: ZYDUSLIFE, LODHA, MANKIND, JBCHEPHARM, CARBORUNIV.
Breakout scan identified 10 NSE breakout stocks on 2 Oct 2026 — sorted by market cap. Today's lens: Near 52-Week High. Top picks: ICDSLTD, CALSOFT, QUINT, SIGMAADV, SETCO.
Reversal scan identified 10 NSE reversal stocks on 2 Oct 2026 — sorted by market cap. Today's lens: Oversold Bounce. Top picks: GIPCL, CAMLINFINE, SARDAEN, RELIGARE, ARMANFIN.
Volume scan identified 10 NSE volume stocks on 2 Oct 2026 — sorted by market cap. Today's lens: Volume Surge. Top picks: LANDMARK, TVSELECT, REGENCERAM, KAUSHALYA, ESTER.
Morning scan identified 10 NSE momentum stocks on 2 Oct 2026 — sorted by market cap. Today's lens: RSI + ADX Momentum. Top picks: ZYDUSLIFE, MANKIND, DRREDDY, ICICIGI, JBCHEPHARM.
Evening scan identified 10 NSE fundamental stocks on 1 Oct 2026 — sorted by market cap. Today's lens: Undervalued Growth. Top picks: MAHLIFE, UYFINCORP, ANTELOPUS, SBILIFE, OFSS.
Thursday, 1 October 2026: top gainers ALICON, JHS, ESTER. Sector rotation, FII/DII, commodities — live tape from QUANTSCASE.
Institutional flows · FII -10148 Cr and advance/decline.
Top industry groups: Grocery Stores, Grocery Stores, Utilities - Regulated Water.
Macro tape: indexes, gold/crude, and FX next to the NSE close.
large cap 1-day tape: gainers SUNTV, SOLARINDS, JKCEMENT; losers FORTIS, APOLLOHOSP, MAXHEALTH.
Biggest 1-day losers: SSDL, WANBURY, FORTIS, XELPMOC, APOLLOHOSP.
mid cap 1-day tape: gainers THELEELA, JWL, ICIL; losers MANINDS, EMUDHRA, GRAPHITE.
Biggest 1-day gainers: ALICON, JHS, ESTER, LGHL, ESSARSHPNG.
small cap 1-day tape: gainers ALICON, JHS, ESTER; losers SSDL, WANBURY, XELPMOC.
all NSE 1-day tape: gainers ALICON, JHS, ESTER; losers SSDL, WANBURY, FORTIS.
Leading sectors this week: Real Estate, Real Estate, Real Estate.
Weakest sectors this week: Utilities, Real Estate, Basic Materials.
Midday scan identified 10 NSE trend stocks on 1 Oct 2026 — sorted by market cap. Today's lens: Multi-Signal Trend. Top picks: ZYDUSLIFE, LODHA, MANKIND, JBCHEPHARM, CARBORUNIV.
Breakout scan identified 10 NSE breakout stocks on 1 Oct 2026 — sorted by market cap. Today's lens: Donchian-style Strength. Top picks: ICDSLTD, CALSOFT, QUINT, SIGMAADV, SETCO.
Reversal scan identified 10 NSE reversal stocks on 1 Oct 2026 — sorted by market cap. Today's lens: RSI Reset. Top picks: GIPCL, CAMLINFINE, SARDAEN, RELIGARE, ARMANFIN.
Volume scan identified 10 NSE volume stocks on 1 Oct 2026 — sorted by market cap. Today's lens: Accumulation Volume. Top picks: LANDMARK, TVSELECT, REGENCERAM, KAUSHALYA, ESTER.
Morning scan identified 10 NSE momentum stocks on 1 Oct 2026 — sorted by market cap. Today's lens: Supertrend Momentum. Top picks: ZYDUSLIFE, MANKIND, DRREDDY, ICICIGI, JBCHEPHARM.
Evening scan identified 10 NSE fundamental stocks on 30 Sept 2026 — sorted by market cap. Today's lens: Cash Flow Champions. Top picks: ARDEE, CASTROLIND, DEEPA, SHEKHAWATI, OFSS.
Wednesday, 30 September 2026: top gainers PASHUPATI, RETAIL, TNTELE. Sector rotation, FII/DII, commodities — live tape from QUANTSCASE.
Top industry groups: Grocery Stores, Utilities - Regulated Water, Grocery Stores.
Learn how to screen NSE stocks using the Dividend Discount Model to estimate intrinsic value. Combine DDM fair value with dividend safety and quality filters to find undervalued income stocks.
High beta NSE stocks amplify index moves, making them ideal momentum vehicles when trend and volume confirm. This guide shows the exact beta, ADX, RSI and volume filters to build a repeatable high beta momentum screen.
A practical guide to building and using a tick chart scalping NSE screener. Learn the exact filters, indicator thresholds, and entry checklist for faster intraday decisions.
On-Balance Volume (OBV) tracks cumulative buying and selling pressure to confirm price trends and flag hidden accumulation. This guide shows how to screen NSE stocks for OBV breakouts, confirmations and bullish divergences.
A step-by-step guide to momentum screening for NSE-listed stocks. Learn how RSI, MACD, SuperTrend, and volume confirmation combine to surface high-conviction entries.
Read more →Use P/E, ROE, debt-to-equity and growth metrics to screen NSE stocks. Find undervalued growth, quality businesses and cash-flow champions.
Read more →A deep dive into value metrics: P/E, ROE, debt-to-equity and margins. How to combine them to find undervalued NSE stocks.
Read more →How to read the RRG (Relative Rotation Graph) for NSE sectors. Leading, improving, lagging and weakening quadrants explained.
Read more →OBV divergence, unusual volume spikes and volume dry-up — how to use volume to spot institutional buying in NSE stocks.
Read more →RSI oversold/overbought, MACD crossovers, SuperTrend direction and ADX — how to combine technical indicators for NSE stock screening.
Read more →Keltner squeeze, NR7 compression, BB historical squeeze — how to screen for low volatility before big moves in Indian stocks.
Read more →Value plus momentum, growth plus breakout, quality plus trend — how techno-fundamental screening finds the best stocks to buy in India.
Read more →Advance-decline ratios, percent of stocks above moving averages, and the ARMS index — how market breadth tells you if NSE participation is healthy or fragile.
Read more →How to read commodity futures technically on MCX: trend, momentum, and volatility signals for gold, crude, silver and agricultural contracts.
Read more →Global equities, commodities and currencies in one view. How macro tailwinds and headwinds should shape your NSE screening workflow.
Read more →Donchian breakouts, multi-timeframe highs, and volume surges — how to screen for NSE stocks breaking out of consolidation with conviction.
Read more →ADX ≥ 20, SuperTrend uptrends, EMA bull stacks — how trend-following screeners help you stay with NSE winners and avoid choppy ranges.
Read more →Stocks in confirmed multi-timeframe uptrend — EMA bull stack, SuperTrend uptrend, ADX ≥ 20, price above SMA200. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Price breaking Donchian 20-day high with volume confirmation — within 5% of 52W high, volume ≥ 1.5× average. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Fresh MACD bullish cross with MACD above zero — RSI 45–70 sweet spot and rising RSI slope. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →RSI 55–75 momentum zone with rising slope — ROC acceleration (ROC10 > ROC21) optional. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Volume ≥ 2× average, OBV slope positive, ROC10 ≥ 2% — optional MACD bullish and OBV at 20D high. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →RSI + Stochastic + Williams all oversold — triple oversold bounce setup. Typical: 10–35 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Price at or below lower Bollinger Band with CCI oversold — snap-back candidate. Typical: 15–50 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →RSI + CCI + Stochastic all overbought — potential exit or short setup. Typical: 8–25 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →MACD death cross (sell) or bullish recovery (buy) — trend change signal. Toggle direction for clean results. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Price at or above upper Bollinger Band with CCI overbought — statistically extended. Typical: 15–45 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →ADX ≥ 30 with DI+ > DI- and EMA bull stack — strongest trending stocks with bulls firmly in control. Typical: 20–60 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →SuperTrend uptrend with ADX confirmation and price above EMA20 — strong continuation hold with clear stop level. Typical: 40–100 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Aroon Up dominant (≥ 70), Aroon Down suppressed (≤ 30) — new uptrend establishing with RSI confirmation. Typical: 25–70 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →DI- overtaking DI+ with ADX still elevated — early warning for trend reversals and exits. Typical: 10–30 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →SuperTrend flipped bearish with DI- > DI+ and ADX confirmation — trend has changed, potential sustained downside. Typical: 5–20 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →BB inside Keltner Channel with historically tight bands — volatility coiled at extreme. Pre-breakout watchlist. Typical: 30–80 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Narrowest range in 7 days with low ATR% — high-probability explosive move setup. Pre-breakout watchlist. Typical: 20–60 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →BB width rank in bottom 10th percentile — statistically extreme compression over 50 bars. Typical: 15–40 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →ATR surging, daily range expanding, BB bands opening up — volatility breakout in motion. Typical: 15–45 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Low HV + low ATR in confirmed uptrend — smooth, controlled movers ideal for positional holds. Typical: 25–60 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Volume shrinking below 50% of average while price holds steady — silent accumulation before a move. Pre-breakout watchlist. Typical: 40–100 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →OBV rising while price is flat or down — smart money accumulating before the crowd notices. Typical: 20–55 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Volume ≥ 2.5× average with positive price ROC — institutional or event-driven buying confirmed. Typical: 10–30 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →OBV at 20-day high with positive slope and price momentum aligning — breakout imminent. Typical: 15–40 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →High volume on down days with OBV declining — institutional selling signal, exit or avoid. Typical: 10–25 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Low trailing P/E (2–15) + low P/B (< 2) — Graham-style undervaluation against both earnings and book value. Typical: 60–150 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →High ROE (≥ 15%) + low debt/equity (< 0.5) + healthy net margins (≥ 10%) — efficiently run, financially strong businesses. Typical: 40–100 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Revenue + net income growing YoY, confirmed by sequential quarterly trend (Q1 > Q3). Typical: 30–80 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Positive free cash flow with high FCF margin — companies that genuinely convert profit to cash. Typical: 25–60 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →PEG ratio < 1 — P/E low relative to earnings growth rate. Growth at a reasonable price. Typical: 20–50 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Founder research: annual revenue CAGR by sector and sub-sector over 1Y and 3Y (5Y when six annual statements exist). Split by large / mid / small cap with missing-data coverage. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Founder research: annual net-income CAGR by sector and sub-sector over 1Y and 3Y (5Y when six annual statements exist). Split by large / mid / small cap with missing-data coverage. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Cheap on P/E and P/B AND RSI momentum confirming + ADX trending — undervalued stock starting to move. Typical: 10–30 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Low P/E + Donchian 20-day high breakout + volume spike — cheap stock just being discovered by institutions. Typical: 5–15 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Accelerating revenue + earnings AND price at new highs with OBV confirmation — highest-conviction growth setup. Typical: 5–20 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Strong earnings growth + fresh MACD bullish crossover — early momentum entry on growth stock. Typical: 8–25 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →High ROE + clean balance sheet AND confirmed ADX uptrend with SuperTrend — quality business trending strongly. Typical: 15–40 stocks. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →CANSLIM-inspired: earnings growth + near 52W high + 2.5× volume + OBV peak — institutional growth accumulation. Typical: 3–12 stocks daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks breaking out across multiple timeframes (6M, 1Y, 3Y, 5Y). Price above historical high with optional volume and consolidation confirmation. Ranked by total breakout score. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks breaking DOWN across multiple timeframes (6M, 1Y, 3Y, 5Y). Price below historical low with optional volume and consolidation confirmation. Ranked by total breakdown score (severity). This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Top 30 gainers and top 30 losers from the last trading day, by market cap (large, mid, small). Shows sector, sub-sector, market cap, and 1-day return. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Relative Rotation Graph — visualize sector rotation across Leading, Improving, Lagging, and Weakening quadrants based on relative strength and momentum. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Market-cap weighted returns by sector and sub-sector over 1W, 1M, 3M, 6M, and 1Y. Best and worst performers. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Market-cap weighted revenue and net income growth quarter-on-quarter (QoQ) for the last 3–4 quarters by sector and sub-sector. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks with recent daily volume above prior period average. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks with recent weekly volume above prior period average. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →How many symbols have their latest EOD data on each date (e.g. 1000 on 19th, 400 on 23rd). This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Composite 4-pillar screener (100 pts): Trend Structure, Momentum Quality, Volume & Accumulation, Fundamental Quality. Combines EMA bull stack, ADX, higher highs/lows, RSI zone, MACD expanding histogram, relative strength vs Nifty, OBV, volume dry-up (VCP), ROE, earnings growth. Bonus for trendline breakout, NR7/inside bar, 52W high proximity. Min score 55, top 20. 85–100 Strong conviction, 70–84 High quality, 55–69 Watchlist. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks sitting near a horizontal support zone tested 2–3× in the last 120 days, with early reversal signals (bullish candle, RSI oversold, volume dry-up). Target: 8–15% move in 15–25 days as price reverts from support toward resistance. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Composite bear signal screener (100 pts): EMA bear stack, ADX trend strength, lower highs/lows, distribution volume, MACD negative expanding, relative weakness vs Nifty. Hard-filtered, top 25. 80–100 Strong exit / short, 67–79 Exit signal, 55–66 Watch. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Reversal-from-top exit screener (100 pts): near 52W high with overbought RSI (>70), bearish candle (shooting star / engulfing), distribution volume, MACD peaking. Only stocks with >8% 20-day gain. 80–100 Strong exit, 67–79 Exit signal, 55–66 Watch. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Composite AI entry screen: two models plus trend checks, scored out of 100. Only names scoring 50+ are listed. Higher score means a closer match to the entry rules. Informational only. Updated every trading day. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Daily ranked list of NSE stocks by model match (green / grey / red) and confidence. A screen of how closely each name fits the model, not a buy or sell call. Updated every trading day. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Small and mid-cap NSE names (₹500 Cr to ₹20,000 Cr) ranked by the model’s high-momentum match. A screen of recent setup strength, not a return forecast. Updated every trading day. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →ML model trained on NSE price history — predicts STRONG BUY / BUY / HOLD / SELL / STRONG SELL for each stock. Signals based on net_signal (buy% − sell%) across last 22 trading days. Updated daily. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →10-stock model portfolio built from Model V10 STRONG BUY names: large-cap tilt, reward/risk optimization, weights sum to 100%. Not investment advice. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →10-stock model portfolio from Classification STRONG BUY names: large-cap tilt, reward vs momentum volatility and liquidity risk, weights sum to 100%. Not investment advice. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Curated buy portfolio of 15–20 stocks where both AI models say BUY/STRONG BUY, SuperTrend is up, and composite score ≥ 62/100. Max 3 per sector for diversification. Algorithmically selected — not financial advice. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Live scoring dashboard for your personal holdings. Momentum score (0–25), Fundamental score (0–25), AI signal, and composite entry score (0–100) per holding. Final verdict: Strong Hold / Hold / Watch / Review. Updated every EOD. Filter by holder. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Bearish mirror of the ranked list. Class 2 (STRONG SELL) is a drop worse than 8.5% over the next 15 days; class 0 (BUY) is any gain. Ranked by strong-sell confidence. Updated when the bearish Colab notebook runs. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Bearish mirror of the small/mid screen (₹500 Cr to ₹20,000 Cr). STRONG SELL is a drop worse than 14% in 22 trading days; BUY is a gain above 5%. Ranked by strong-sell confidence. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Bearish mirror of Model V10. A forward day is labeled SELL when price drops more than 0.8% before any +1% rise. net_signal = sell% − buy% over 22 days, so the top of the list is the strongest bearish call. Updated when the bearish Colab notebook runs. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks ranked by promoter holding %. High promoter stake signals founder confidence. Low or declining promoter % warrants scrutiny. Data from Yahoo Finance (updated weekly). This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks ranked by total institutional holding % (FII + DII combined). High institutional interest indicates smart money conviction. Data from Yahoo Finance (updated weekly). This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Stocks ranked by DII holding % change QoQ. Rising DII signals domestic institutional conviction. Data from NSE quarterly filings. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Daily market-wide FII and DII net cash segment flows (₹ crore) from NSE. Track which side is net buyer/seller each day and spot cumulative institutional trend shifts. This guide explains what the screener does, how to use it, and what results to expect when screening Indian stocks.
Read more →Want to screen NSE stocks yourself? Try the live lists.
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