The weekly market report summarizes the performance of the markets from December 22 to December 26, 2014. Key points include: - Markets started bearish due to weak Chinese data and Russian rate hikes but gained momentum after the US Fed kept rates unchanged and strong global cues, ending the week flat. - Nifty futures took strong support at the 100 day simple moving average and saw a pullback in the last three sessions. - The report provides analysis of support and resistance levels, top gainers and losers for the week, and calls to buy or sell specific stocks.