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Learning @ PlutusAdvisors, SEBI Registered Research Analyst

Learning @ PlutusAdvisors, SEBI Registered Research Analyst

الذهاب إلى القناة على Telegram

PLUTUS ADVISORS SEBI Registered Research Analyst SEBI Registration Number INH000010229 BSE enlistment No :5611 https://www.plutusadvisors.com/disclosure-ra Only for educational purposes. Do your own research /consult your financial advisor.

إظهار المزيد

📈 نظرة تحليلية على قناة تيليجرام Learning @ PlutusAdvisors, SEBI Registered Research Analyst

تُعد قناة Learning @ PlutusAdvisors, SEBI Registered Research Analyst (@plutusadvisors) في القطاع اللغوي الإنكليزية لاعباً نشطاً. يضم المجتمع حالياً 22 484 مشتركاً، محتلاً المرتبة 5 464 في فئة الاقتصاد والمالية والمرتبة 18 310 في منطقة الهند.

📊 مؤشرات الجمهور والحراك

منذ تأسيسه في невідомо، حقق المشروع نمواً سريعاً وجمع 22 484 مشتركاً.

بحسب آخر البيانات بتاريخ 01 سبتمبر, 2026، تحافظ القناة على نشاط مستقر. خلال آخر 30 يوماً تغيّر عدد الأعضاء بمقدار -308، وفي آخر 24 ساعة بمقدار -6، مع بقاء الوصول العام مرتفعاً.

  • حالة التحقق: غير موثّقة
  • معدل التفاعل (ER): يبلغ متوسط تفاعل الجمهور 17.04‎%. وخلال أول 24 ساعة من النشر يحصد المحتوى عادةً 12.17‎% من ردود الفعل نسبةً إلى إجمالي المشتركين.
  • وصول المنشورات: يحصل كل منشور على متوسط 3 834 مشاهدة. وخلال اليوم الأول يجمع عادةً 2 738 مشاهدة.
  • التفاعلات والاستجابة: يتفاعل الجمهور بانتظام؛ متوسط التفاعلات لكل منشور يبلغ 41.
  • الاهتمامات الموضوعية: يركز المحتوى على مواضيع رئيسية مثل iran, dow, hormuz, s&p, ceasefire.

📝 الوصف وسياسة المحتوى

يصف المؤلف القناة بأنها مساحة للتعبير عن الآراء الذاتية:
PLUTUS ADVISORS SEBI Registered Research Analyst SEBI Registration Number INH000010229 BSE enlistment No :5611 https://www.plutusadvisors.com/disclosure-ra Only for educational purposes. Do your own research /consult your financial advisor.

بفضل وتيرة التحديث المرتفعة (أحدث البيانات بتاريخ 02 سبتمبر, 2026) تحافظ القناة على حداثتها ومستوى وصول مرتفع. وتُظهر التحليلات تفاعلاً نشطاً من الجمهور، ما يجعلها نقطة تأثير مهمة ضمن فئة الاقتصاد والمالية.

22 484
المشتركون
-624 ساعات
-627 أيام
-30830 أيام
أرشيف المشاركات
📊 Participant-wise Derivatives Data 🔹 Index Futures Added + 3,819 Long Added + 10,950 Short Long: Short Ratio – 10:90 🔹 St
📊 Participant-wise Derivatives Data 🔹 Index Futures Added + 3,819 Long Added + 10,950 Short Long: Short Ratio – 10:90 🔹 Stock Futures Added + 16,965 Long Reduced - 24,714 Short Long: Short Ratio - 55:45 FII in index futures added longs & shorts & Stock futures added longs and reduced shorts. 💰 Cash Market Update – 02 September 2026 (Includes Block Deals – Provisional Data) DII Net : + 2,813 Cr FII Net : + 6,688 Cr 🔗 Refer to the disclaimer https://www.plutusadvisors.com/disclosure-ra

FORWARD THIS , HOPE FM SEE AND ACT

Enhance Your Research Edge & Unlock 20% 🎯 Use Code: P20 to subscribe now Subscription Link : 🔗 Plutus FTDB: https://services.plutusadvisors.com/telegram/6a7f3f19e0988301ad8e2104 📄 Read the Disclaimer: plutusadvisors.com/disclosure-ra ⚠️ Note: Not for short term traders. 💼 Plutus Advisors SEBI-Registered Research Analyst (Reg. No. INH000010229) BSE Enlistment (No. 5611)

🌍 Global Morning Macros Snapshot | PDC 08:00 IST | Wed, 2 Sep 2026 🚨 RED ALERT — Oil at $95, bond yields surge, rate hike odds 57.5%, fresh Hormuz tanker attacks Futures Data 🏛️ Dow: 52,782.6 🔻 -59.5 (-0.11%) ⚠️ SHORT TERM NEGATIVE 💻 Nasdaq: 29,029.6 🔻 -141.8 (-0.49%) 🔴 SHORT & MEDIUM TERM NEGATIVE 📉 S&P 500: 7,629 🔻 -15.4 (-0.20%) ⚠️ SHORT TERM NEGATIVE 📉 Russell 2000: 2,920.1 🔻 -36.3 (-1.23%) 🔴 SHORT & MEDIUM TERM NEGATIVE 🛢️ Crude: $95.26 🟢 +2.98 (+3.23%) ⚠️ Highest since late July 🥇 Gold: 4,296.9 🔻 -73.4 (-1.68%) 💵 DXY: 99.72 🟢 +0.20% 💱 USD/INR: 94.94 (flat) 📈 US 10Y: 4.804% ⚠️ Highest since Jan 2025 📈 US 30Y: 5.28% 🇮🇳 Gift Nifty: 24,004.5 🔻 -46.5 (-0.19%) 🔴 SHORT & MEDIUM TERM NEGATIVE 📊 India VIX: 11.19 (flat) 🌙 US Markets – Previous Close (Sep 1, Tue) 📉 Dow: -0.79% (52,767) | 📉 Nasdaq: -1.03% | 📉 S&P 500: -0.71% | 📉 Russell: -1.23% • Broad risk-off selloff — tech hit hardest; September seasonality kicks in • Oil surged 5% to ~$90 after US-Iran resumed strikes in Hormuz • 10Y yield spiked to 4.8% — highest since Jan 2025; global bond selloff triggered • CME Fedwatch: 57.5% probability of 25bps RATE HIKE in September to 3.75-4% • ISM Manufacturing: 54.6 (below 55.3 est) | JOLTS: 7.27M (in line) • VIX surged 7.8% to 16.08 — fear gauge spiking 🔥 Geopolitics & War — ESCALATION • 🚨 Two supertankers struck in Hormuz corridor (Aug 31) — Saudi-operated Sidr + South Korean Senegal Prosperity hit by projectiles minutes apart; first attacks in US-guarded corridor since lanes declared cleared • US launched fresh strikes on IRGC targets — first in a month • Trump: "a relatively little war" | Iran warns response will be "many times greater" • Iran tells UN it will respond "decisively and proportionately" to any new attack • 🇺🇦 Ukraine drone attack on Russia's Ust-Luga oil terminal in Baltic Sea — fire reported • US SPR plunged below 290M barrels — lowest since 1982 • Crude approaching $95 — oil market now pricing in prolonged conflict 📈 Bond Market — Rate Hike Incoming? • Warsh Jackson Hole (Aug 28): "Inflation well above 2% target — Fed's focus must be on prices" • Market now pricing 57.5% chance of September rate HIKE • 10Y yield at 4.8%, 30Y at 5.28% — bond selloff accelerating • Oil → inflation → hawkish Fed → higher yields → equity pressure loop intensifying 🤖 AI Headlines • Dell CRUSHES earnings: EPS $7.04 vs est; AI server revenue $16.4B; record $95B AI server backlog; raised FY guidance to $192B — AI capex cycle intact • Palo Alto Networks beat estimates but margin concerns sent shares lower post-market • Broadcom earnings due TODAY (Sep 2) — market watching AI semi revenue vs $16B guidance; critical test for AI chip breadth • SoftBank's SB Energy AI infra unit filed to go public • CrowdStrike launches Falcon Guardian to police AI agents at endpoints 🌍 India Market Context • Nifty (Sep 1): Mixed session — Nifty 50 slipped marginally, Sensex eked out minor gains • India VIX up 1.08% — volatility creeping higher • FII/DII data awaited | FII positioning remains heavily short (2L+ net short contracts) 📉 Gift Nifty: negative opening indicated 👉 -46.5 pts ⚠️ KEY RISK: Oil at $95 + rate hike fears + FII bearish positioning + Broadcom earnings tonight = extreme caution warranted. September has historically been the worst month for equities. 📌 Key Events Today: • 🏭 Broadcom (AVGO) Q3 earnings — after market close • 📊 ADP Employment data 📌 Disclaimer: 🔗 https://plutusadvisors.com/disclosure-ra.html

📊 Participant-wise Derivatives Data 🔹 Index Futures Added + 523 Long Added + 13,240 Short Long: Short Ratio – 9:91 🔹 Stock
📊 Participant-wise Derivatives Data 🔹 Index Futures Added + 523 Long Added + 13,240 Short Long: Short Ratio – 9:91 🔹 Stock Futures Reduced - 10,900 Long Added + 1,657 Short Long: Short Ratio - 54:46 FII in index futures added longs & shorts & Stock futures reduced longs and added shorts. 💰 Cash Market Update – 01 September 2026 (Includes Block Deals – Provisional Data) DII Net : + 1,847 Cr FII Net : + 1,143 Cr 🔗 Refer to the disclaimer https://www.plutusadvisors.com/disclosure-ra

Not a great news for oil importing countries ..
Not a great news for oil importing countries ..

🌍 Global Morning Macros Snapshot | PDC 3.25 pm IST ⚠️ RISK-OFF SESSION — US futures deep red, Gold crashes, Crude spikes on fresh Hormuz strikes Futures Data 🏛️ Dow: 53,406.6 🔻 -220.7 (-0.41%) 💻 Nasdaq: 29,295.7 🔻 -263.1 (-0.89%) ⚠️ SHORT TERM NEGATIVE 📉 S&P 500: 7,681.7 🔻 -47.2 (-0.61%) 📉 Russell 2000: 2,972.4 🔻 -41.97 (-1.39%) ⚠️ SHORT TERM NEGATIVE 🛢️ Crude: $90.06 🟢 +2.06 (+2.34%) 🥇 Gold: 4,428.9 🔻 -178.3 (-3.87%) ⚠️ CRASH 💵 DXY: 99.545 🟢 +0.38% 💱 USD/INR: 95.36 🟢 (-0.18%) 📈 US 10Y: 4.708% 📈 US 30Y: 5.199% 🇮🇳 Gift Nifty: 24,223 🔻 -89 (-0.37%) ⚠️ SHORT TERM NEGATIVE 📉 India VIX: 10.585 🟢 -4.36% 🌙 US Markets – Previous Close (Aug 28, Fri) 📉 Dow: -0.02% | 📉 S&P 500: -0.25% | 📉 Nasdaq: -0.52% | 📉 Russell: -1.39% • Fed Chair Kevin Warsh's Jackson Hole speech turned hawkish — inflation "well above 2% target", focus squarely on prices • Rate hike bets jumped sharply; bond market swung as investors priced in potential tightening • Tech sold off — Marvell -7.6%, Rubrik -8.3% post-earnings; NVIDIA gave back -4.6% 🔥 Geopolitics & War • 🚨 US STRIKES IRAN — First strikes in a month; hit IRGC rocket launchers preparing to mine Strait of Hormuz (Aug 30) • IRGC claims "decisive control" over Strait — tensions re-escalating after weeks of relative calm • 6,000+ sailors remain stranded aboard hundreds of ships in Persian Gulf (UN maritime agency) • 70+ attacks on international shipping since Feb 28; 19 seafarers killed • Crude surges 2.3% to $90 on renewed Hormuz disruption fears • Qatar PM visited Tehran for diplomacy; Iran-Oman temporary shipping route talks ongoing 🥇 Gold Crash: -3.87% • Warsh hawkish speech → stronger dollar + rate hike bets → real yields surge → gold crushed • Paradox: geopolitical risk rising BUT hawkish Fed > safe-haven demand • Gold now ~20% below Jan ATH of $5,595; trading near $4,300-$4,600 consolidation range 🤖 AI Headlines • 117 AI companies (OpenAI, Anthropic, Google, Microsoft, AWS) issue joint statement on defense against AI cyberattacks • Google launches Gemini Omni 1.1 Flash — video generation model with per-second pricing ($0.03-$0.30/sec) • Meta testing "Project Hatch" — AI superapp with persistent agents, memory, voice & scheduling • Federal judge rules Trump admin's designation of Anthropic as national security risk was "illegal and baseless" • EU authorities reviewing NVIDIA's acquisition of distribution hub 🌍 World Market Headlines • India FII/DII (Aug 28): FII net sold ₹5,040 Cr cash | FII net short 2,02,633 contracts in index futures • Wheat +10% this week, +51% YTD; Corn +6% WoW — Black Sea grain shipments disrupted by Russia-Ukraine attacks • Fed officials regularly debating AI's impact on economy — WaPo • Warsh speech fallout: Markets now pricing ~50% odds of a rate HIKE by year-end 📉 Gift Nifty: Negative opening indicated 👉 -89 pts ⚠️ Caution: Hawkish Fed + fresh Hormuz strikes + = volatile session ahead 📌 Disclaimer: 🔗 https://plutusadvisors.com/disclosure-ra.html

📊 Participant-wise Derivatives Data 🔹 Index Futures Reduced - 33 Long Added + 4,808 Short Long: Short Ratio – 10:90 🔹 Stoc
📊 Participant-wise Derivatives Data 🔹 Index Futures Reduced - 33 Long Added + 4,808 Short Long: Short Ratio – 10:90 🔹 Stock Futures Added + 12,839 Long Added + 4,983 Short Long: Short Ratio - 54:46 FII in index futures reduced longs & added shorts & Stock futures added longs and shorts. 💰 Cash Market Update – 28 August 2026 (Includes Block Deals – Provisional Data) DII Net : + 5,184 Cr FII Net : - 5,040 Cr 🔗 Refer to the disclaimer https://www.plutusadvisors.com/disclosure-ra