PODCAST
25-Nov-25
Persistent FII outflows and delays around the India–US trade deal kept the market cautious.
Sanket decodes the global signals to watch, the macro pieces influencing sentiment, and why the Dilip Buildcon contract stood out on an otherwise quiet day.
Caution ruled… but opportunities still surfaced.
PODCAST
25-Nov-25
निफ़्टी नीचे आया… लेकिन असली कहानी इंडेक्स में नहीं — FII में थी।
FIIs की भारी बिक्री और ग्लोबल संकेतों की अनिश्चितता ने बाज़ार को बार-बार रोक दिया।
संकेत बेंद्रे जोड़ते हैं ये सारे टुकड़े — US डेटा, Dollar Index, fund flow patterns — साथ ही Dilip Buildcon के बड़े प्रोजेक्ट की खास बात।
PODCAST
24-Nov-25
बाज़ार सतर्क रहा, ग्लोबल संकेत कमजोर रहे, और रुपये की तेज़ गिरावट ने सेंटिमेंट को हिला दिया।
संकेत बेंद्रे बताएंगे यु.एस. डेटा की उलझन, रूपये में ८९ के स्तर का महत्व, और इस करंसी शॉक का मार्केट पर असर।
साथ ही — कल के लिए नज़र अदानी एंटरप्राइज पर।
PODCAST
24-Nov-25
A cautious session for equities, a jittery global setup, and a rupee breakdown that rattled sentiment.
Sanket explains what the mixed U.S. data means, why the 89 mark was crucial for forex markets, and how this macro tension spilled into stocks.
Plus—Adani Enterprise enters the spotlight for tomorrow’s trade.
BLOG
22-Nov-25
Discover how Arbitrage Funds turn market price gaps into low-risk, tax-efficient returns. Learn how they work, top 2025 picks, and contact us for guidance at 022 31019911.
PODCAST
20-Nov-25
निफ़्टी ०.५४% ऊपर बंद हुआ, लेकिन आज की असली कहानी सिर्फ़ हरे रंग में नहीं थी।
यु.एस. में एनविडीया की तेज़ गाइडेंस से टेक उछला और ग्लोबल टोन बेहतर रहा — मगर घरेलू बाज़ार में एक स्टॉक ने अलग ही संकेत दिए।
संकेत बेंद्रे बताएंगे रिलायंस की १.५% की चाल, यु.बि.एस. की रेटिंग, और ओटूसी (O2C) रिकवरी की उम्मीदों ने आज के सेंटिमेंट को कैसे प्रभावित किया।
ऊपर–ऊपर सब स्थिर दिखा… असली संकेत भीतर छिपे थे।
PODCAST
20-Nov-25
Nifty ended 0.54% higher, but the real story wasn’t just in the headline numbers.
Global tech bounced after Nvidia’s upbeat outlook, setting the tone — yet one Indian heavyweight quietly shaped sentiment.
Sanket breaks down why Reliance’s move mattered, what UBS’ re-rating signals, and where the market may be hinting next.
A lot was steady today… but not everything was predictable.
PODCAST
20-Nov-25
निफ़्टी ने 0.55% की मज़बूत बढ़त दिखाई, लेकिन आज का असली क्लू कहीं और छिपा था।
IT सेक्टर 2% से ज़्यादा उछला—क्योंकि ग्लोबल इनवेस्टर्स चुपचाप इंडिया की ओर शिफ्ट हो रहे हैं।Sanket Bendre बताएंगे भारत–अमेरिका ट्रेड डील के प्रभाव, Sammaan Capital की बढ़ती हलचल, और L&T के Defence अपडेट का बाज़ार पर क्या मतलब है।आख़िर तक सुनिए — सबसे महत्वपूर्ण संकेत वहीं है।
PODCAST
20-Nov-25
The Nifty reclaimed momentum with a 0.55% jump, but today’s real money clue wasn’t in the headline.
IT stocks surged as global investors quietly shifted capital toward India — but why now?
Sanket breaks down the under-the-surface cues, the India–US trade deal buzz, and the volatility brewing around Sammaan Capital.
Stay with him till the end — the most important signal comes last.
PODCAST
18-Nov-25
It's been a bit of a rollercoaster evening, folks!
The Nifty's taking a slight dip, closing at 25,910 - down 0.4% as profit booking and derivatives expiry have traders on their toes. But here's the big question: is this just a minor setback, or are we in for a bigger trend shift?
Tune in as we break down the action, and spotlight key stocks like Solar Industries that could be game-changers tomorrow. Sanket Bendre is here to guide you through the market maze.
Don't miss today's episode - your money's future is hanging in the balance!
NEWS
18-Nov-25
The positive trend is expected to continue given the healthy momentum and supportive technical indicators. Below are some short-term trading ideas to consider.
PODCAST
17-Nov-25
The Nifty closed at 26,013, rising 0.4%, extending its positive momentum and holding firmly above the 26,000 mark. Today’s sentiment was driven by two major catalysts — the RBI’s special window for export-oriented sectors and renewed speculation around a fresh wave of government-led bank mergers.
These triggers revived risk appetite, with traders now watching whether this strength can build into a sustained breakout.
In this episode, Sanket Bendre explains how these policy moves could impact market direction, which sectors may benefit the most, and why KEC International stands out as the stock to track in the coming sessions.
🎧 Tune in — new triggers often create the best opportunities before the crowd reacts.
PODCAST
15-Nov-25
The Nifty closed at 25,910, up 0.12%, as early leads for the NDA in the Bihar elections provided a mild boost to investor confidence. The index held steady through the session, but the lack of strong follow-through buying suggests that traders are waiting to see if today’s positivity can translate into a decisive move.
Election-driven sentiment often triggers short bursts of momentum — the real question now is whether this optimism can power the index closer to the 26,000 mark.
In this episode, Sanket Bendre breaks down the day’s muted yet meaningful uptick, the levels that matter for tomorrow, and why KPI Green Energy could be an interesting stock to watch as sector rotations pick up.
🎧 Tune in — sometimes the smallest market moves signal the biggest setups.
WEBTV
14-Nov-25
Stay informed with our latest Market Outlook, where our Fundamental Research Analyst, Mr. Sanket Bendre shares his expert views on the market trends, key updates from the past week, and important factors to watch in the coming days. This video is an investor education initiative by GEPL Capital. In of case any queries or for your immediate investment requirements please feel free to Contact Us.
BLOG
14-Nov-25
Get the latest update on SEBI’s Peak Margin Rule 2025. Understand margin requirements, penalties, intraday impact, and smart strategies to trade safely & confidently.
Have questions, please feel free to contact us.
PODCAST
13-Nov-25
The Nifty ended the day flat at 25,879, as traders chose caution ahead of the Bihar state election results, a key political event that could sway short-term sentiment. Early optimism faded quickly, with profit booking erasing intraday gains, signaling a market waiting for direction.
Despite the muted close, the undercurrent suggests that a decisive move could emerge once the election overhang clears — making the coming sessions critical for traders positioning ahead of volatility.
In this episode, Sanket Bendre breaks down the market’s wait-and-watch mood, what a post-result reaction might look like, and why Shilpa Medicare stands out as the stock to track amid this uncertainty.
🎧 Tune in — when markets go quiet, they usually don’t stay quiet for long.
PODCAST
12-Nov-25
The bulls took charge as Nifty climbed to 25,876 — a solid 0.7% gain! Positive cues from the US-India trade deal and reopening of the US government lifted investor confidence.
But is this the start of a sustained uptrend or just a short-term spike?
Sanket Bendre breaks it down — plus, a spotlight on Advanced Enzyme that could stir the next market move.
Tune in before tomorrow’s bell!
PODCAST
11-Nov-25
The Nifty closed higher at 25,694.9, up 0.47%, supported by positive global cues and improving sentiment. Optimism grew as India and the U.S. finalized a trade deal, the U.S. government shutdown ended, and markets began pricing in a possible Federal Reserve rate cut.
While global tailwinds lifted confidence, traders remain watchful for confirmation of strength near key resistance zones.
In this episode, Sanket Bendre breaks down the day’s relief-driven rally, what the India–U.S. trade breakthrough could mean for sectors like exports and manufacturing, and why momentum traders should keep a close eye on rotational plays in the coming sessions.
🎧 Tune in — today’s relief may just be the first sign of a renewed rally.
NEWS
11-Nov-25
The market is expected to remain within the previous week’s range. Below are some short-term trading ideas to consider.
PODCAST
10-Nov-25
The Nifty closed higher at 25,574, up 0.32%, rebounding after recent weakness as optimism grew around a potential resolution to the U.S. government shutdown. The tone turned constructive, with investors cautiously stepping back in.
Back home, sugar companies were in focus, following the government’s decision to allow sugar exports and remove export duties on molasses, triggering fresh buying in the sector.
In this episode, Sanket Bendre decodes whether this rebound signals a short-term reversal or just a relief rally, identifies sectors attracting renewed momentum, and spotlights Carysil as the key stock to watch in the sessions ahead.
🎧 Tune in — every rebound tells a story, and this one might just hint at where the next money move begins.