QuantsappFaster in the app: live data, alerts, tradingOpen
Log inStart free

FII DII Data · 21 Jul 2025

What foreign (FII) and domestic (DII) institutions bought and sold in the cash market, and how FIIs, DIIs, pros and clients are positioned in futures and options, from NSE’s end-of-day data.

← Previous sessionLatest →
FII net · cash market₹−1,681 Crnet sellers · bought 10,824, sold 12,505
DII net · cash market₹+3,578 Crnet buyers · bought 13,794, sold 10,215
FII index futures−1.45 Lnet short · change +2,820
FII index options1.50 Lnet long · change −49,219
Last 5 sessions₹−6,739 CrFII net · DII +11,281 Cr
NIFTY close25,127.60+0.38% on the day

On 21 Jul 2025, FIIs were net sellers of ₹1,681 crore in the cash market and DIIs net buyers of ₹3,578 crore. In index futures FIIs are net short 1.45 L contracts, adding 2,820 on the day. NIFTY closed at 25,127.60 (+0.38%). DIIs have been net buyers for 11 sessions.

FII vs DII net flows, last 30 sessions

FII DII · ₹ crore
+12,5940−12,59410 Jun 2025: FII +2,302 Cr, DII +1,113 Cr11 Jun 2025: FII −446 Cr, DII +1,585 Cr12 Jun 2025: FII −3,831 Cr, DII +9,394 Cr13 Jun 2025: FII −1,264 Cr, DII +3,041 Cr16 Jun 2025: FII −2,539 Cr, DII +5,781 Cr17 Jun 2025: FII +1,483 Cr, DII +8,207 Cr18 Jun 2025: FII +891 Cr, DII +1,091 Cr19 Jun 2025: FII +935 Cr, DII +606 Cr20 Jun 2025: FII +7,941 Cr, DII −3,050 Cr23 Jun 2025: FII −1,874 Cr, DII +5,592 Cr24 Jun 2025: FII −5,266 Cr, DII +5,210 Cr25 Jun 2025: FII −2,428 Cr, DII +2,373 Cr26 Jun 2025: FII +12,594 Cr, DII −195 Cr27 Jun 2025: FII +1,397 Cr, DII −589 Cr30 Jun 2025: FII −832 Cr, DII +3,497 Cr1 Jul 2025: FII −1,970 Cr, DII +771 Cr2 Jul 2025: FII −1,562 Cr, DII +3,037 Cr3 Jul 2025: FII −1,481 Cr, DII +1,333 Cr4 Jul 2025: FII −760 Cr, DII −1,029 Cr7 Jul 2025: FII +321 Cr, DII +1,853 Cr8 Jul 2025: FII −26.1 Cr, DII +1,367 Cr9 Jul 2025: FII +77 Cr, DII +921 Cr10 Jul 2025: FII +221 Cr, DII +591 Cr11 Jul 2025: FII −5,104 Cr, DII +3,559 Cr14 Jul 2025: FII −1,614 Cr, DII +1,788 Cr15 Jul 2025: FII +121 Cr, DII +1,555 Cr16 Jul 2025: FII −1,858 Cr, DII +1,224 Cr17 Jul 2025: FII −3,694 Cr, DII +2,821 Cr18 Jul 2025: FII +375 Cr, DII +2,104 Cr21 Jul 2025: FII −1,681 Cr, DII +3,578 Cr10 Jun21 Jul

FII & DII cash market activity

Gross purchase, gross sales and net value in ₹ crore, provisional, by trading day. NIFTY close and change for context.
FII / FPIDII
DateBuySellNetBuySellNetNIFTY
21 Jul 202510,82412,505−1,68113,79410,215+3,57825,127.60 +0.38%
18 Jul 202515,43115,056+37514,45112,348+2,10425,032.30 −0.57%
17 Jul 202511,63315,327−3,69413,52310,703+2,82125,174.60 −0.28%
16 Jul 202511,00312,861−1,85812,78611,563+1,22425,245.80 −0.08%
15 Jul 202511,55311,433+12113,71112,156+1,55525,265.60 +0.39%
14 Jul 202517,05518,669−1,61414,56212,774+1,78825,167.50 −0.22%
11 Jul 202511,99917,103−5,10415,72912,170+3,55925,223.40 −0.78%
10 Jul 202511,82911,608+22112,46911,878+59125,421.90 −0.54%
9 Jul 202512,93112,854+7713,35012,429+92125,558.80 −0.21%
8 Jul 202512,16712,193−26.113,27611,909+1,36725,611.90 +0.29%
7 Jul 20258,9638,641+32111,1299,276+1,85325,538.90 0.00%
4 Jul 20257,5188,278−76010,30611,334−1,02925,540.10 +0.12%
3 Jul 202511,67313,154−1,48112,69011,357+1,33325,508.60 −0.15%
2 Jul 202513,95415,516−1,56216,69513,658+3,03725,546.10 −0.38%
1 Jul 202511,55713,527−1,97012,92212,151+77125,643.30 +0.11%
30 Jun 202512,96813,799−83215,91512,417+3,49725,614.20 −0.53%
27 Jun 202519,74118,344+1,39741,20241,791−58925,750.20 +0.78%
26 Jun 202532,02019,426+12,59414,03014,225−19525,551.00 +1.18%
25 Jun 202513,26015,688−2,42812,81010,437+2,37325,252.20 +0.72%
24 Jun 202513,62818,894−5,26614,9319,722+5,21025,071.70 +0.31%
23 Jun 20258,57010,444−1,87413,4997,908+5,59224,993.30 −0.47%
20 Jun 202552,41244,471+7,94124,20927,259−3,05025,111.70 +1.24%
19 Jun 202512,01111,077+93511,13310,527+60624,803.10 −0.10%
18 Jun 202512,11811,227+89111,43410,343+1,09124,826.90 −0.17%
17 Jun 202513,58112,098+1,48319,42711,220+8,20724,868.80 −0.51%
16 Jun 202510,03012,569−2,53914,1488,367+5,78124,996.20 +1.09%
13 Jun 202514,16315,426−1,26413,48810,446+3,04124,727.40 −0.84%
12 Jun 202511,65715,488−3,83121,38611,992+9,39424,937.40 −1.09%
11 Jun 202514,53114,977−44614,76513,180+1,58525,211.70 +0.20%
10 Jun 202516,54814,246+2,30213,78812,675+1,11325,160.60 −0.08%
9 Jun 202512,77810,786+1,99315,30611,802+3,50425,181.80 +0.34%
6 Jun 202515,20814,199+1,01022,52313,180+9,34325,096.30 +0.94%

Participant-wise open interest (F&O)

Net long-short contracts, total open interest and the change on the day, by participant and segment. Net value is the FII’s net traded value in ₹ crore. Tap a row with an arrow for the index-wise split.

ParticipantSegmentLong − shortChangeTotal OIChangeNet value (Cr)
FII−1.45 L+2,8202.08 L−3,302₹+570
NIFTY–−6931.53 L−209₹−130
BANKNIFTY–+3,62634,103−2,720₹+722
MIDCPNIFTY–−12719,682−373₹−23
FINNIFTY–+41605−21₹+7
NIFTYNXT50–−27572+21₹−5
NIFTYFPI–––––
Stock Futures13.37 L−9,93255.41 L−54,000₹−282
1.50 L−49,21915.00 L+67,537₹−9,480
Call Options−1,386−1,5057.02 L−8,483–
Put Options1.52 L−47,7147.97 L+76,020–
NIFTY–−53,37412.18 L+58,830₹−10,315
BANKNIFTY–+4,7972.26 L+11,671₹+917
MIDCPNIFTY–−19742,165−1,361₹−14
FINNIFTY–−44912,467−1,559₹−69
NIFTYNXT50–+4218−44₹+1
NIFTYFPI–––––
−86,880−3,4138.18 L+6,053₹−236
Call Options−83,326−2,3214.37 L+5,697–
Put Options−3,554−1,0923.80 L+356–
Cash Market––––₹−1,681
ProIndex Futures12,224−5,90871,466−8,676–
Stock Futures4.48 L+21,30211.48 L+11,812–
4.16 L+1.62 L37.55 L+2.23 L–
Call Options1.91 L+1.64 L18.75 L−52,062–
Put Options2.25 L−1,22218.80 L+2.75 L–
−2.47 L−49,59142.79 L+1.09 L–
Call Options−5.64 L−20,69324.98 L+68,243–
Put Options3.17 L−28,89817.81 L+41,114–
ClientIndex Futures95,821+1,8313.17 L−833–
Stock Futures22.02 L+95529.17 L+10,967–
−5.87 L−1.11 L90.08 L+9.72 L–
Call Options−1.96 L−1.60 L47.76 L+1.10 L–
Put Options−3.91 L+48,93742.32 L+8.62 L–
7.41 L+62,87258.28 L+1.64 L–
Call Options10.55 L+32,88239.09 L+1.06 L–
Put Options−3.14 L+29,99019.19 L+58,828–
DIIIndex Futures37,199+1,25795,919−3,675–
Stock Futures−39.88 L−12,32543.83 L+19,807–
20,194−1,65920,194−1,659–
Call Options5,911−1,6595,911−1,659–
Put Options14,283014,2830–
−4.07 L−9,8684.12 L+5,868–
Call Options−4.08 L−9,8684.12 L+5,868–
Put Options41504150–
Cash Market––––₹+3,578

Source: NSE participant-wise open interest and FII statistics, end of day 21 Jul 2025. Contracts in lakh (L).

Monthly FII & DII flows

MonthFII netDII netNIFTY
Oct 2026−39,779+40,355−0.42%
Sep 2026−44,013+76,030−6.37%
Aug 2026−7,533+58,269−0.82%
Jul 2026−5,780+35,099+2.48%
Jun 2026−49,028+85,798+0.48%
May 2026−55,963+82,668−1.45%
Apr 2026−70,135+51,064+7.97%
Mar 2026−1,22,540+1,42,960−11.92%
Feb 2026−6,641+38,423−0.31%
Jan 2026−41,435+69,221−3.35%
Dec 2025−34,350+79,620−0.35%
Nov 2025−17,500+77,084+1.86%
Oct 2025−2,347+52,794+5.26%
Sep 2025−35,301+65,344+0.18%
Aug 2025−46,903+94,829−0.82%
Jul 2025−47,667+60,939−3.29%
Jun 2025+7,489+72,674+2.99%
May 2025+11,773+67,642+1.85%
Apr 2025+2,735+28,228+2.75%
Mar 2025+2,014+37,586+6.67%
Feb 2025−58,988+64,853−5.67%
Jan 2025−87,375+86,592−0.78%
Dec 2024−16,983+34,195−2.05%
Nov 2024−45,974+44,484+0.42%

Yearly FII & DII flows since 2007

YearFII netDII netNIFTY
2026−4,42,846+6,79,887−14.01%
2025 (so far)−3,06,419+7,88,184+10.46%
2024−3,02,435+5,26,545+8.77%
2023−21,692+1,85,610+20.21%
2022−2,77,868+2,76,555+4.58%
2021−91,626+94,846+24.47%
2020+65,246−35,663+14.21%
2019+39,881+42,257+12.18%
2018−73,212+1,09,662+3.41%
2017−44,109+90,738+28.94%
2016−10,582+35,363+3.10%
2015−20,374+67,587−4.75%
2014+67,423−28,557+31.21%
2013+73,040−62,181+6.77%
2012+96,303−53,092+28.43%
2011−34,580+29,802−24.80%
2010+44,053−16,282+18.46%
2009+24,820+26,106+75.43%
2008−1,01,215+72,570−51.88%
2007−351+24,327+55.32%

Unlock 30+ free options tools

Long and short positions of FII, DII, Pro and Client over time, index-wise FII activity, net value and volume - next to open interest, the option chain, max pain and the strategy builder. One free account, no payment.

Used by 17 lakh+ traders · Real-time NSE & BSE · No payment required

Create free account
  • Max pain / option pain
  • Option chain + Greeks
  • Open interest analysis
  • Multi-strike OI chart
  • PCR & Modified PCR
  • Strategy builder
  • FII / DII data
  • IV analysis
  • Futures OI
  • OI buildup
  • Trade with 16 brokers
  • Alerts & triggers
See the Quantsapp terminal in action · free to watch, no sign-up needed

How to read FII DII data

Cash market. Each day FIIs (foreign portfolio investors) and DIIs (mutual funds, insurers, banks and pension funds) report what they bought and sold on the exchanges. The net value is purchases minus sales. Persistent FII selling tends to pressure large caps and the rupee; DII buying, fed by SIP flows, has often absorbed it - which is why the two lines above frequently mirror each other.

Futures and options. NSE also publishes every participant’s long and short open interest. The FII net position in index futures is the most watched number: a large net short signals a bearish or hedged stance, and a sharp change in it shows new bets being placed or old ones covered. Because Pro and Client are the other side of the same contracts, retail clients are often positioned opposite to FIIs.

Learn it on video

Browse the video library →

Frequently asked questions

What is FII DII data?

It is the daily record of what foreign institutional investors (FIIs, also called FPIs) and domestic institutional investors (DIIs: mutual funds, insurers, banks) bought and sold. In the cash market it is published as gross purchase, gross sales and the net value in ₹ crore; in futures and options, NSE publishes each participant’s long and short open interest.

What does FII net buy or net sell mean?

Net value is purchases minus sales. A positive number means FIIs bought more than they sold that day (net buyers); a negative number means they sold more (net sellers). Heavy, sustained FII selling often weighs on the index, while DII buying frequently absorbs it.

What was the FII DII data on 21 Jul 2025?

FIIs bought ₹10,824 crore and sold ₹12,505 crore, a net −1,681 crore. DIIs bought ₹13,794 crore and sold ₹10,215 crore, a net +3,578 crore. NIFTY closed at 25,127.60.

What is long-short open interest in participant data?

For each participant, NSE reports how many futures and options contracts they hold long and short. Long minus short is the net position: a negative index-futures number means FIIs hold more short contracts than long, which traders read as a bearish stance. The change shows what was added or cut that day.

Who are Pro and Client in participant-wise OI?

Pro is proprietary trading: brokers and members trading with their own money. Client is everyone trading through a broker, mostly retail. Together with FII and DII they add up to the whole market, so one side’s long is another side’s short.

When is FII DII data updated?

Once a day after the close. Provisional cash-market figures come out in the evening, and NSE’s participant-wise open interest follows after the F&O session. This page shows the latest trading day as soon as it is published, and any earlier day from the date picker.

Cash-market figures are provisional as published after the close. Data is for information only and is not investment advice. Derivatives trading carries substantial risk. Disclaimer

Log in or sign up

Enter your mobile number. New to Quantsapp? The same OTP creates your free account.

+91

By continuing you agree to the Terms of Use and Privacy Policy.