Nifty 50 — 3-Month Technical Outlook (Dec 2025 → Jan 2026 → Feb 2026)
Focus Keywords: Nifty 3 month outlook, Nifty technical analysis 2026, Nifty prediction Dec Jan Feb
Analysis-only — No investment recommendation
🔰 Baseline Reference
Nifty 50 Last Verified Close: 26,202.95 (28 Nov 2025)
यह पूरी रिपोर्ट multi-timeframe technical analysis पर आधारित है। इसका उद्देश्य केवल मार्केट ट्रेंड समझाना है — कोई buy/sell सलाह नहीं।
🔥 1) Multi-Timeframe Trend Analysis
📅 Daily Trend (Short-Term)
- Structure: Higher High – Higher Low
- Price above 20 DMA & 50 DMA → bullish momentum
- RSI: ~58–63 → bullish, slightly overbought
- MACD: Positive crossover
Short-term trend: Bullish with consolidation phases.
📅 Weekly Trend (Medium-Term)
- Trendline breakout intact
- Volume accumulation present
- Weekly RSI: 56–60
Medium-term trend: Stable uptrend.
📅 Monthly Trend (Long-Term)
- Multi-month breakout structure
- Monthly RSI: 60–65 (healthy)
- Long-term moving averages bullish
Long-term trend: Strong Bullish.
🔍 2) Key Levels — Next 3 Months
📌 December 2025 Levels
- Major Support: 25,700
- Primary Support: 25,950 – 26,050
- Resistance Zone: 26,350 – 26,520
- Breakout Level: 26,750
Expected: Range-bound to mildly bullish.
📌 January 2026 Levels
- Support: 26,050
- Deeper Support: 25,700
- Resistance: 26,750 → 27,050
Expected: Wider range, consolidation possible.
📌 February 2026 Levels
- Major Support: 26,300
- Intermediate Support: 25,950
- Resistance: 27,200 – 27,450
- Breakout Zone: 27,600+
Expected: Bullish bias with budget volatility.
📈 3) Indicators Outlook (Next 3 Months)
Momentum Indicators
- RSI range: 53–67
- MACD: Stays positive unless major global shock
- Stochastics: Likely to hit overbought frequently
Trend Indicators
- Price expected above 20 DMA (short-term)
- Price above 50 DMA (medium-term)
- Price well above 200 DMA (long-term)
Volatility Indicators
- India VIX expected: 10–14 (normal period)
- Budget period spike: 15–17 possible
🎯 4) Best Case vs Worst Case Projections
⭐ Best Case Scenario (Bullish Continuation)
- Stable global cues
- Crude below $85
- INR stable
Nifty Targets: 27,200 → 27,450 → 27,600
⚠ Worst Case Scenario (Correction)
- Weak global markets
- Crude spike
- Dollar strength / INR weakness
Downside Target Zones: 25,950 → 25,700 → 25,300 (major support)
25,300 के नीचे ही long-term trend कमजोर माना जाएगा (not expected unless global crisis).
📌 5) Summary – 3-Month Technical Map
| Month | Support Zone | Resistance Zone | Bias |
|---|---|---|---|
| Dec 2025 | 25,950 – 26,050 | 26,350 – 26,520 | Mild Bullish |
| Jan 2026 | 26,050 – 25,700 | 26,750 – 27,050 | Bullish with consolidation |
| Feb 2026 | 26,300 – 25,950 | 27,200 – 27,450 | Strong Bullish (Budget volatility) |
⚠️ Disclaimer
यह पूरी रिपोर्ट केवल technical analysis पर आधारित है। इसमें किसी भी प्रकार की buy/sell recommendation शामिल नहीं है। Markets unpredictable होते हैं — final decisions हमेशा advisor की सलाह से लें।