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Nifty Set to Start May F&O Series: Key Events to Watch in May 2025

Written by: Sachin GuptaUpdated on: Apr 25, 2025, 9:15 AM IST
Nifty is set to commence the May Futures & Options (F&O) series on a cautious note due to mixed signals from Gift Nifty.
Nifty Set to Start May F&O Series: Key Events to Watch in May 2025
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On April 25, 2025, the May Futures & Options (F&O) series is poised to open on a cautious note. While the GIFT Nifty initially indicated a gap-up opening, it failed to hold onto early gains. As of 8:55 AM, the index had slipped 0.15% to 24,489.50, reflecting a mixed market sentiment.

The Nifty closed out the April series with its second straight monthly gain, posting an impressive rise of 655 points. Yet, the bigger headline is the market’s strong recovery, rebounding over 2,500 points from the lows seen earlier in the series. This sharp turnaround underscores a resilient bullish undertone despite intermittent volatility.

Nifty rollovers into the May series came in at 79%—just below the three-month average of 80.1%, yet marking an uptick from April’s 76.1%, signaling a modest pickup in trader confidence heading into the new series.

Series Rollovers (%)
May 79.10%
April 76.10%
March 83.60%
February 80.80%

Open Interest Snapshot

At the onset of the May series, Nifty’s open interest stands at 1.15 crore shares—its lowest level since January—reflecting a noticeable decline from the past three months and indicating a more cautious buildup in positions.

Month Nifty Open Interest
May 1.15 crore
April 1.24 crore
March 1.68 crore
February 1.73 crore
January 1.12 crore

Key Events to Watch in May 2025

The trajectory of the markets in May 2025 is expected to be shaped by a mix of domestic cues and global developments. Here are the key factors that could drive sentiment:

  • Q4 Earnings Season: Corporate results for the March quarter will be in sharp focus. Investors will look for strong performance and forward-looking guidance to validate the recent market rebound and sustain momentum.
  • FOMC Policy Decision (May 7): The U.S. Federal Reserve’s upcoming interest rate decision could act as a major global catalyst. Any shift in tone regarding inflation, rates, or economic growth may ripple across emerging markets, including India.
  • Global & Geopolitical Developments: Broader macroeconomic signals and geopolitical headlines—particularly comments or actions from U.S. President Donald Trump—could inject volatility and influence risk appetite.

Also Read: NSE Revises F&O Expiry Days: Monthly, Quarterly, and Weekly Contracts Shift to Monday

 

 

Disclaimer: This blog has been written exclusively for educational purposes. The securities mentioned are only examples and not recommendations. This does not constitute a personal recommendation/investment advice. It does not aim to influence any individual or entity to make investment decisions. Recipients should conduct their own research and assessments to form an independent opinion about investment decisions.

Investments in the securities market are subject to market risks, read all the related documents carefully before investing.

Published on: Apr 25, 2025, 9:12 AM IST

Sachin Gupta

Sachin Gupta is a Content Writer with 6+ years of experience in the stock market, including global markets like the US, Canada, and Australia. At Angel One, Sachin specialises in creating financial content that simplifies complex market trends. Sachin holds a Master's in Commerce, specialising in Economics.

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