
India–US Trade Deal Impact | Nifty Gap-Up 1200 Pts, Bank Nifty at Record High | Gold Silver Outlook
By: Amit Chauhan | Date : Mar 30, 26
Market Analysis for Feb 04th, 2026 By Naresh Sharma | #live #rmoney
Welcome to Market Analysis by Naresh Sharma, a daily live show where Naresh Sharma(Head of Research) provides expert insights on the Indian stock market, commodities, and global cues.
Indian markets witnessed a historic move following the India–US trade deal, as Nifty opened with a massive 1,200-point gap-up after news that Donald Trump cut India tariffs, linking the decision to Russian oil dynamics. While Nifty saw some intraday correction, it closed strong at over 2.5% gains, comfortably above 25,700.
The rally was even more pronounced in banking stocks, with Bank Nifty hitting a fresh all-time high and closing around 60,041, reflecting strong risk-on sentiment.
The momentum spilled over into commodities as well:
Gold surged 5.5%, reclaiming levels above $4,900/oz on COMEX, signaling renewed safe-haven interest.
Silver outperformed, jumping 9.5% to trade above $85/oz, showing strong recovery and volatility.
Meanwhile, WTI crude oil slipped 0.78%, continuing to trade below the $62 mark, indicating muted energy market response.
In this live market analysis, we cover:
📊 Today’s Market Update:
• Complete breakdown of Nifty 50, and Bank Nifty performance
• Analysis of India VIX, sectoral trends, and market breadth
📈 Key Support & Resistance Levels for Next Trading Day:
• Nifty 50 key levels
• Bank Nifty key levels
• Gold and Silver technical levels
• Crude Oil outlook and trading zones
🔮 Market Outlook:
• Short-term and positional market outlook
📰 Important Market News:
• Key domestic and global stock market news
• Economic data, and geopolitical developments affecting markets
🥇 Commodities Focus:
• Gold price outlook
• Silver price outlook
• Crude oil price analysis
💬 Live Viewer Q&A:
• Viewer queries answered live on stocks, indices, and commodities
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