This dashboard brings together reported FII and DII cash-market activity and FII positioning across index futures,
index options, stock futures and stock options. The summary cards and analytics panels show the latest available session;
the historical table lists up to the 15 most recent sessions returned by the data feed.
What the dashboard metrics show
Net cash inflow: FII cash buy amount minus sell amount, combined with the DII cash net amount.
Index futures long ratio: FII long index-futures contracts as a share of total long and short contracts.
F&O net flow: The sum of the net amounts shown for index futures, index options, stock futures and stock options.
Recent-session log: Daily combined cash flow, FII cash amounts, index-futures flow and long ratio, stock-futures flow and the score label.
How the five-factor score is formed
The screening score adds 20 points for each of these conditions: combined FII and DII cash net amount above zero;
FII index-futures net amount above zero; index-futures long ratio at least 50%; daily change in net call contracts
greater than the daily change in net put contracts; and FII stock-futures net amount above zero. The resulting score
is a count of conditions met, not a probability or a forecast. The dashboard's bullish, bearish and neutral labels are
rule-based descriptions and are not trading recommendations.