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Intraday Trading Solution👍

Intraday Trading Solution👍

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This channel is truly for educational purposes. And If you earn profits from our levels . NSE REGISTERED AP . Contact Your Financial Advisor Before Taking Trades. #NIFTY #BANKNIFTY #CRUDEOIL #INTRADAY #STOCKS # SHARE MARKET

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221 to 235🔥TG1 done ✅ enjoy guys keep booking profit on target 🎯 enjoy guys
221 to 235🔥TG1 done ✅ enjoy guys keep booking profit on target 🎯 enjoy guys

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BUY NIFTY 26 MAY 23650 CE ABOVE 221 TRG 230/250/280 Wait for breakout above level cmp

🔥 Intraday Market Analysis (Live Trading View) ✅ Overall Market Mood 📌 Market structure is currently: Range-bound with bullish undertone FIIs showing selective buying 💰 Banking sector still leading the market 🚀 IT sector relatively weak 💻📉 Volatility moderate ⚡ 📊 NIFTY 50 Intraday Analysis 🟢 Bullish Scenario If NIFTY sustains above: ➡️ Expect fast move toward: 24,050 24,120 24,250 🎯 🔴 Bearish Scenario If NIFTY breaks: 23,500 decisively ➡️ Downside targets: 23,420 23,300 📌 Best Intraday Strategy ✅ Buy on dips near support ❌ Avoid chasing breakout candles blindly 📈 Strong Sectors Today Banking 🏦 Capital Goods 🏗️ PSU Stocks ⚡ ⚠️ Weak Sectors IT 💻 FMCG 🍪 🏦 BANK NIFTY Intraday Analysis 💪 Bank Nifty Still Showing Relative Strength Major support from: HDFC Bank ICICI Bank SBI 🚀 Bullish Trigger If BANK NIFTY crosses: ➡️ Possible rally toward: 56,800 57,200 🎯 🛑 Weakness Signal If it falls below: 53,200 ➡️ Sharp profit booking possible. 🔥 Best Intraday Setup Prefer CALL trades only on dips Momentum still banking-heavy 🟣 SENSEX Analysis 📌 Current Structure Sensex is mirroring Nifty but slightly stronger due to heavyweight stocks. 📈 Bullish Above Targets: 76,300 76,700 🚀 📉 Bearish Below 74,800 Targets: 74,300 73,900 ⚡ Options Traders View 🟢 PCR Sentiment Neutral to Bullish 📌 Highest OI Zones NIFTY CE Writing: 24,000 PE Writing: 23,500 BANK NIFTY CE Writing: 56,000 PE Writing: 53,000 👉 Indicates market likely to remain in broad range unless breakout happens. 🧠 Smart Intraday Trading Plan Market ConditionActionGap Up Opening 🚀Wait for first 15 minFlat Opening ⚖️Trade breakoutGap Down 📉Watch banking supportVolatile Market ⚡Reduce position size 🎯 Probability Outlook IndexBiasNIFTY🟢 Mild BullishBANK NIFTY🟢 Strong BullishSENSEX🟢 Positive Consolidation 🚨 Important Today RBI intervention & rupee movement impacting sentiment 💱 Banking stocks remain key market drivers 🏦 Watch global crude oil volatility carefully 🛢️ 🏁 Final Refined Conclusion ✅ Bulls still have slight control ✅ BANK NIFTY stronger than NIFTY ⚠️ Breakout confirmation only above resistance zones 📌 Best approach today: Buy on dips, avoid overtrading 🔥 Intraday traders should focus more on BANK NIFTY momentum setups. Happy Trading 📈🚀

आज किन शेयरों पर नजर रखें (22 मई 2026) आज शेयर बाजार में कुछ बड़ी कंपनियों के नतीजे और खबरें आई हैं। इन शेयरों में हलचल देखने को मिल सकती है। 1. ITC कंपनी की आय (Revenue) में 7% की गिरावट आई। लेकिन मुनाफा 4.9% बढ़कर ₹5,113 करोड़ हो गया। निवेशकों की नजर कंपनी के FMCG और सिगरेट बिजनेस पर रहेगी। 2. Maruti Suzuki कंपनी जून 2026 से कारों की कीमत ₹30,000 तक बढ़ाएगी। वजह: कच्चे माल और उत्पादन लागत में बढ़ोतरी। इससे शेयर में हलचल हो सकती है। 3. Nykaa कंपनी का मुनाफा 286% बढ़ा। बिक्री भी 28% बढ़कर ₹2,648 करोड़ पहुंची। मजबूत नतीजों से शेयर में तेजी आ सकती है। 4. Tata Steel सुप्रीम कोर्ट ने GST विवाद मामले में राहत दी है। ₹890 करोड़ के टैक्स मामले पर आगे की कार्रवाई फिलहाल रुकी। 5. Max Healthcare कंपनी का मुनाफा 3% बढ़ा। अस्पताल कारोबार में लगातार अच्छी ग्रोथ दिख रही है। 6. Honasa Consumer कंपनी का मुनाफा लगभग 178% बढ़ा। ₹3 प्रति शेयर का डिविडेंड भी घोषित किया गया। 7. Life Insurance Corporation of India LIC का मुनाफा 23% बढ़कर ₹23,420 करोड़ पहुंचा। कंपनी ने ₹10 प्रति शेयर डिविडेंड घोषित किया। 8. Welspun Corp कंपनी की आय बढ़ी लेकिन मुनाफा 47% गिर गया। कमजोर नतीजों का असर शेयर पर पड़ सकता है। 9. LG Electronics बिक्री बढ़ी लेकिन मुनाफा थोड़ा घटा। निवेशक कंपनी के आगे के आउटलुक पर नजर रखेंगे। 10. Aurobindo Pharma कंपनी की आय और मुनाफे में हल्की बढ़ोतरी हुई। फार्मा सेक्टर में यह शेयर चर्चा में रह सकता है। बाजार का माहौल एशियाई बाजारों में तेजी देखी गई। अमेरिका के बाजार भी बढ़त के साथ बंद हुए। GIFT Nifty हल्की मजबूती दिखा रहा था, इसलिए भारतीय बाजार सकारात्मक शुरुआत कर सकते हैं।

good morning guys 😊

♥️BEAR SIDE 23700 BELOW Breakdown 🎯 23607 low made🔥🔥

📊 NIFTY 50 Option Chain Deep Analysis 🗓️ Expiry: 26 May 📍 Spot Price: 23,765 🟢 MARKET STRUCTURE Current structure is:
📦 Bullish but range-bound
Why? ✅ PCR above 1 ✅ Strong Put writing below market ✅ Put OI stronger than Call OI near ATM But… ❌ Strong resistance at 24,000 ❌ No aggressive short covering yet So market is NOT in breakout mode yet 🚫🚀 🛡️ SUPPORT ANALYSIS 🔹 23,800 = KING LEVEL 👑 This is the most important strike currently. Why? ✅ Max Pain at 23,800 🎯 ✅ Huge Put writing there ✅ Writers defending aggressively Meaning: 👉 Smart money wants market near 23,800 into expiry. As long as NIFTY stays above this level: Bulls stay comfortable 😌 Dips may get bought 🔹 23,700 = Immediate Support 💪 Strong PE OI buildup visible. Meaning: 👉 Traders believe market should not fall below 23,700 easily. If market comes near 23,700: Expect buying attempts Expect put writers defending 🔴 IMPORTANT: If 23,700 breaks with momentum ⚠️ Then: Put writers may exit Selling pressure can increase fast Possible targets: 📉 23,600 📉 23,500 🚧 RESISTANCE ANALYSIS 🔴 24,000 = BIG WALL This is where call writers are strongest. Meaning: 👉 Bears are betting market stays below 24k. So whenever NIFTY moves upward: Selling pressure may come near 23,950–24,000 📌 WHAT OPTION WRITERS ARE THINKING Current positioning suggests: 🟢 Put writers:
“Market should stay above 23,700.”
🔴 Call writers
: “Market may struggle above 24,000.
” So overall expected expiry range looks like: 📦 23,700 → 24,000 ⚡ IV ANALYSIS (VERY IMPORTANT) 📈 IV Percentile = 76 This is HIGH 🔥 Meaning: Premiums are expensive Fear/uncertainty elevated Theta decay very strong 🧠 WHAT THIS MEANS FOR TRADERS ❌ Option Buyers Problem Even if direction is correct: Premium may not rise much Time decay can eat profits ⏳ Especially if market moves slowly. ✅ Option Sellers Advantage High IV benefits: Premium sellers Range traders Hedged strategies Best setups: ✔️ Credit spread ✔️ Iron condor ✔️ Hedged short strangle 📈 POSSIBLE SCENARIOS 🟢 Bullish Case If market opens above 23,800 and sustains: Targets: 🎯 23,850 🎯 23,900 🎯 24,000 But 24k may act as profit-booking zone. 🔴 Bearish Case If market breaks 23,700 decisively: Targets: 📉 23,650 📉 23,600 📉 23,500 This can become fast because put unwinding accelerates moves. 🔥 SIMPLE CONCLUSION 📌 Smart money currently expec
ts: “Market to remain above 23,700 but below 24,00
0.” So current setup favors: ✅ Controlled bullish movement ✅ Sideways-to-up expiry ✅ Premium selling strategies Not ideal for reckless option buying 🎰