Live — Overwatch is running

Intelligence infrastructure for Indian markets.

We build precision tools for the serious market professional —
real-time news intelligence, options flow, and market breadth,
all in one place.

50+ News sources
Nifty 50 Constituent breadth
Real-time SSE event stream

Tools built for
the edge.

Each product is a focused, deeply integrated instrument — not a dashboard with everything, but the right information at the right time.

Live

Overwatch

Market intelligence dashboard for Indian equity & options traders.

  • Real-time news from 50+ curated sources
  • Nifty 50 constituent breadth heatmap
  • FII/DII daily flow tracking
  • Pre-market brief with event calendar
  • Keyword alert engine with push notifications
  • Options chain monitoring
Open dashboard
Soon

FlowScan

Institutional options flow and unusual activity detection across NSE.

  • Block deal & bulk deal tracker
  • Unusual OI build-up detection
  • Cross-expiry flow aggregation
  • Sector rotation signals
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Soon

Positional

Swing and positional trade setup screener with multi-timeframe context.

  • Breakout & breakdown screener
  • Volume profile & delivery data
  • Sector correlation overlays
  • Trade journal integration
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The edge is in
what you see
before others do.

Indian markets move fast. News breaks, institutions accumulate, options unwind — and by the time the next morning's brief lands, the move is already done.

watsinfo builds tools that compress this latency. Not alerts and noise, but curated signal — classified by impact, deduplicated across sources, and surfaced the moment it matters.

Every product we ship is designed with one question in mind: does this help you think faster and act with more conviction?

01
Signal over noise Curated sources, AI classification, deduplication.
02
Speed as a feature Real-time streams, not scheduled polling.
03
Built for India NSE/BSE native. FII/DII. Pre-market. Options chain.

Start watching the market
as it happens.

Overwatch is live. No sign-up required to explore.

Open Overwatch

Analysis for the
Indian market professional.

In-depth guides on options data, FII flows, volatility, sector strategy, and F&O analysis — written for active traders and analysts who need more than surface-level commentary.

Global Markets

Global Cues and Indian Markets: How US, Europe and Asia Move Nifty

S&P 500, US yields, DXY, crude oil — which global variables actually move Nifty, by how much, and when to ignore them entirely.

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Volume Analysis

Delivery Volume vs Intraday Volume: Tracking Institutional Intent

Why delivery percentage is the most underused institutional proxy in Indian markets — and how to read it correctly using the DDDM ratio.

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Trading Process

Pre-Market Analysis Checklist: Preparing for Every Trading Day

A 10-point structured morning framework — GIFT Nifty gap analysis, FII data, India VIX, options chain key levels, and a bias scoring system.

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Sector Strategy

Sector Rotation in Indian Markets: Following the Money

The rotation clock mapped to Indian realities — RBI cycle, Budget, monsoon, relative strength ratio, and weekly sector screening framework.

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F&O Analysis

Open Interest Analysis: Tracking Smart Money in Indian F&O Markets

The OI-Price matrix, participant-wise OI, cost of carry formula, rollover analysis — all the tools needed to read institutional intent from derivatives data.

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Sentiment Analysis

Put-Call Ratio (PCR) Explained: Sentiment Signals for Nifty Traders

OI-based vs volume-based PCR, extreme reading zones, divergence patterns, and how to combine PCR with India VIX and FII flow data for higher-conviction setups.

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Volatility

India VIX Explained: How to Use the Fear Index in Your Trading

VIX formula derivation, zone regime logic, expected daily move calculation, volatility crush, mean reversion, and seasonal patterns — the complete VIX framework.

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Institutional Flows

Understanding FII and DII Flows in Indian Markets

How to read daily FII/DII cash and derivatives data, what sustained flows signal about market direction, and how institutional positioning drives Nifty trends.

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Options Analysis

How to Read the Nifty Options Chain: OI, PCR, Max Pain and the Greeks

Open interest, OI change, PCR, max pain theory, and the Greeks — a complete framework for reading the Nifty options chain during live market hours.

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Market Breadth

Market Breadth in the Indian Context: Beyond the Index

Advance-decline ratio, breadth oscillators, and how to use market breadth indicators to confirm or question the strength of Nifty moves at NSE and BSE.

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Index Trading

Nifty 50 vs BankNifty: Which Index Should You Trade?

Volatility profiles, lot sizes, margin, and RBI sensitivity — a structured comparison for choosing the right index for your trading style.

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Technical Analysis

Support and Resistance on Nifty: How to Identify Key Levels

Price-based, options-derived (max OI strikes), and volume profile levels — reliability ranking and how to combine them for high-confluence setups.

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Technical Analysis

Moving Averages in Indian Markets: Which Ones Work on Nifty

EMA vs SMA, the 5 key periods used by institutions, the 200 SMA as India's most important moving average, and combining with FII data.

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Technical Analysis

RSI for Nifty Traders: Beyond Overbought and Oversold

RSI divergence, failure swings, and how to adjust interpretation for trending vs range-bound Indian market regimes — the signals that actually add edge.

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Macro Analysis

RBI Monetary Policy and Stock Markets: How Rate Decisions Move Nifty

Rate cut/hike sector impact matrix, why stance matters more than the decision, and how India VIX behaves around MPC announcements.

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Risk Management

Stop-Loss Strategies for Indian Equity and F&O Traders

Fixed %, ATR-based, support-based, and options-derived stops — where NOT to place them, trailing mechanics, and the psychology of holding stops under pressure.

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Risk Management

Position Sizing and Risk Management for Indian Equity Traders

The 1% rule, VIX-adjusted sizing, portfolio heat management, Kelly Criterion, and the most common sizing errors in Indian F&O markets.

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Options Strategy

Expiry Day Trading Strategy for Nifty Weekly Options

Theta acceleration, max pain dynamics, the opening 30-minute trap, and specific strategies for range-bound vs directional expiry day regimes.

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Options Analysis

Options Greeks: A Practical Field Guide for Indian Traders

Delta, Gamma, Theta, Vega with Indian market examples — theta acceleration schedule, and a four-question position review framework for any options trade.

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Macro Analysis

Crude Oil and Indian Markets: How Oil Prices Move Sectors

Four-channel oil transmission through India's macro — sector impact matrix covering upstream energy, aviation, chemicals, paint, and FMCG.

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Technical Analysis

Bollinger Bands for Nifty: Squeeze, Breakout, and Mean Reversion

The BandWidth squeeze signal, volume-confirmed breakouts, and mean reversion setups — a complete Bollinger Band framework calibrated for Indian index and swing traders.

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Market Mechanics

Short Selling in India: SEBI Rules, SLB, and F&O Alternatives

How bearish positions actually work in Indian markets — intraday cash shorts, the SLB mechanism, futures vs put options, and short squeeze risk signals to watch.

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Technical Analysis

Fibonacci Retracement on Nifty: Drawing It Correctly and Finding Confluence

How to pick the right swing points, which levels matter most on Nifty, and why confluence with OI strikes and moving averages is what makes Fibonacci setups work.

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Macro Analysis

Gold and Indian Markets: SGB vs ETF vs MCX Futures

Gold's role as a portfolio hedge, how the three financial gold vehicles compare on returns, liquidity, and tax treatment — and when gold outperforms Indian equities.

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Market Regulations

SEBI Regulations Every Trader Must Know: Insider Trading, PFUTP, and Circuit Rules

The PIT regulations, market manipulation rules, index circuit breakers, and F&O position limits — regulatory knowledge that gives operational edge and prevents costly violations.

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F&O Strategy

Nifty Futures vs Options: A Decision Framework for Every Market Condition

Linear vs non-linear payoffs, margin vs premium capital requirements, break-even math, and the five conditions where each instrument outperforms the other.

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Stock Analysis

Corporate Governance Red Flags in Indian Stocks

Promoter pledging thresholds, auditor resignation signals, RPT analysis, and shareholding deterioration — how to screen for governance risk before it becomes a stock price event.

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Investing Framework

Portfolio Rebalancing for Indian Investors: When and How

Calendar vs threshold rebalancing, LTCG tax harvesting, and a complete worked example for a ₹10 lakh equity-debt-gold portfolio — including when the tax cost makes rebalancing counterproductive.

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Trading Process

Technical Stock Screening for Swing Trades in India

A seven-layer filter stack using RSI, delivery %, volume surge, trend alignment, and sector strength to narrow NSE's 5,000 stocks to a 10–20 name daily shortlist.

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Market Mechanics

Bonus Shares and Stock Splits: Price Mechanics, Tax, and Trading Patterns

How ex-date price adjustments work, the pre-announcement accumulation pattern, F&O contract adjustments, and why bonus shares have zero cost of acquisition under Indian tax law.

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