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Chart Commando

Chart Commando

前往频道在 Telegram

Disclaimer: All information & Charts are given only for educational purpose.You can paper trade only.I am not a SEBI Registered analyst. For queries- https://bit.ly/3PKOCZ3 Registration Details bit.ly/4uM3iK1

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📈 Telegram 频道 Chart Commando 的分析概览

频道 Chart Commando (@chartcommando) 英语 语言赛道中的 是活跃参与者。目前社区聚集了 27 188 名订阅者,在 经济与金融 类别中位列第 4 442,并在 印度 地区排名第 14 831

📊 受众指标与增长动态

невідомо 创建以来,项目保持高速增长,吸引了 27 188 名订阅者。

根据 14 九月, 2026 的最新数据,频道保持稳定运转。过去 30 天订阅人数变化为 -415,过去 24 小时变化为 -9,整体触达仍然可观。

  • 认证状态: 未认证
  • 互动率 (ER): 平均受众互动率为 6.72%。内容发布后 24 小时内通常能获得 3.73% 的反应,占订阅者总量。
  • 帖子覆盖: 每篇帖子平均可获得 1 829 次浏览,首日通常累积 1 015 次浏览。
  • 互动与反馈: 受众积极参与,单帖平均反应数为 10
  • 主题关注点: 内容集中在 nifty, weak, resistance, near, markets 等核心主题上。

📝 描述与内容策略

作者将该频道定位为表达主观观点的平台:
Disclaimer: All information & Charts are given only for educational purpose.You can paper trade only.I am not a SEBI Registered analyst. For queries- https://bit.ly/3PKOCZ3 Registration Details bit.ly/4uM3iK1

凭借高频更新(最新数据采集于 15 九月, 2026),频道始终保持新鲜度与高覆盖。分析显示受众积极互动,使其成为 经济与金融 类别中的关键影响点。

27 188
订阅者
-924 小时
-947 天
-41530 天
帖子存档
बड़े fund की entry से market ऊपर जाता है… लेकिन exit होते ही क्या होता है? 🤔 आप flow follow करते हो या news? 👇🏻 http://youtube.com/post/UgkxJ6udIJlIGynFBUQ0DSZRCV9XKRaKvujt?si=L0ZWs6Yudu_d755x

तुम्ही कोणत्या बाजूला आहात… सुरक्षित वाटणारी भीती की वाढ देणारी जोखीम? 👇🏻 https://www.youtube.com/@ChartCommandoMarathi/posts Start Your Investment Journey Now - 8830434824, 8208247170

आपके हिसाब से ये correction short-term panic है, या बड़ा trend shift शुरू हो रहा है 🤔👇 http://youtube.com/post/UgkxQ9ALDackC0SAQ0k0f4q7sfXVsR0bFCmG?si=1sIMsQ-1fe88WUai

📈 DAILY MARKET UPDATE 📅 Date – 13 April 2026 1️⃣ VERY IMPORTANT NEWS • US–Iran peace talks failed → geopolitical tension increased sharply • Donald Trump announced naval blockade near Strait of Hormuz • Crude oil surged 8–9% above $100 → major negative for global markets 🌍 GLOBAL MARKET ✔️ US Markets: • Previously mixed, but US futures now down 1–2% due to geopolitical tension ✔️ Asia Market Update: • Weak opening; Nikkei down ~0.7%, ASX 200 down ~0.3% ✔️ Gift Nifty Signal: • Down ~150+ points → Gapdown opening expected ✔️ Crude Oil: • Above $100/barrel (Brent ~102, WTI ~105) → sharp spike ✔️ Dollar Index: • Strong bias due to riskoff sentiment ✔️ Volatility Index (VIX US): • Jumped to ~22.5 (up ~4%) → high volatility 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • IT weak, Oilsensitive sectors under pressure, Auto & metals mixed ✔️ Market Sentiment / Trend: • Negative (shift from bullish to cautious/bearish due to global tension) ✔️ Volatility (India VIX): • Around 18–19; volatility increasing 💰 FII & DII DATA ✔️ FIIs: • Net Buyers ₹670 Cr (after 27 sessions selling) ✔️ DIIs: • Net Buyers ~₹410 Cr 📊 COMMODITIES UPDATE ✔️ Crude: • Strong bullish (8–9% spike) ✔️ Gold: • Slight dip Friday but overall supported (safe haven demand) ✔️ Silver: • Stable 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • Highest at 24,500 & 24,700 ✔️ Put OI: • Strong at 24,000 & 23,900 ✔️ PCR: • Around 1.09 → Bullish bias 📈 NIFTY LEVELS ✔️ Trend: • Shortterm bullish but now risk of correction • Immediate Support: 23,800 • Major Support: 23,500 • Immediate Resistance: 24,300 • Strong Resistance: 24,500 📉 BANK NIFTY LEVELS ✔️ Trend: • Bullish but facing resistance • Immediate Support: 55,300 • Major Support: 55,000 • Immediate Resistance: 56,400 • Strong Resistance: 56,500 📊 STOCKS / SECTORS IN NEWS • Adani Energy Solutions – Strong move (+7%) • Coal India – Weakness due to commodity pressure • Banking & Oilrelated stocks in focus 📊 STOCK SETUPS TO WATCH • Oillinked stocks – High volatility • Banking – Key support levels watch • IT – Weakness continuation possible 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 23,750 – 24,350 ✔️ Bank Nifty Range: 55,000 – 56,500 📅 IMPORTANT DATA / EVENTS TODAY • India CPI Inflation data (after market) • US Fed member speech & bond auction 🎯 INTRADAY TRADING VIEW 👉 Gapdown opening → Avoid aggressive longs, prefer sell on rise strategy 📌 QUICK SUMMARY • Geopolitical tension → Market negative • Crude above $100 → biggest risk factor • Volatility high → trade cautiously

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तुमचा पैसा काम करतोय की अजूनही तुम्हीच काम करता? कॉमेंटमध्ये नक्की लिहा 👇🏻 http://youtube.com/post/UgkxANHaSBqIuD5n1ZPHubaSNHLYRXSkz38i?si=nUxzH33AqvDemCMz

तुम्ही घरासाठी सगळं करता… पण उद्या तुम्ही नसाल तर त्यांचं काय? तुमच्याकडे insurance आहे का… की अजूनही risk घेताय? 🤔 http://youtube.com/post/Ugkxv0eMb3Q0QZQfzPFNQ9KtLHDcqxWvPMSD?si=vtNEWJoG_jN46ZM_

📈 DAILY MARKET UPDATE 📅 Date – 10 April 2026 1️⃣ VERY IMPORTANT NEWS • TCS Q4 Results Mixed – Profit & revenue beat estimates, but growth weak in dollar terms • Strong deal wins ($12B quarterly TCV), but dividend disappointed (₹31 vs ₹40 expected) • Saudi Arabia cuts oil production → crude rising near $100 (risk for markets) • Middle East tensions still fragile despite ceasefire talks 🌍 GLOBAL MARKET ✔️ US Markets: • Closed positive – Dow +0.58%, S&P +0.62%, Nasdaq +0.83% (on peace talks optimism) ✔️ Asia Market Update: • Mixed to positive – Nikkei strong (+1.5%), others flat to slightly negative ✔️ Gift Nifty Signal: • Around 23,985 → Gap up opening (~+80 points) ✔️ Crude Oil: • Brent ~ $96.5, WTI ~ $99 • Rising due to Saudi supply cut (very important level: $100) ✔️ Dollar Index: • Slight weakness (supportive for commodities) ✔️ Volatility Index (VIX US): • Fell below 20 → ~19.5 (shortterm relief) 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • IT weak (due to TCS + AI concerns) • Metal strong • Banking under pressure ✔️ Market Sentiment / Trend: • Sideways to slightly negative (profit booking + global uncertainty) ✔️ Volatility (India VIX): • Around 20+ zone (eventdriven volatility) 💰 FII & DII DATA ✔️ FIIs: • Sold ~ ₹1,700 Cr (continuous selling ~25 sessions) ✔️ DIIs: • Bought ~ ₹950 Cr 📊 COMMODITIES UPDATE ✔️ Crude: • Rising sharply → Near $100 (key risk) ✔️ Gold: • Strong (+1%) → Safe haven demand ✔️ Silver: • Up ~2% (tracking gold strength) 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • Highest at 24,500, then 24,000 & 24,200 • Heavy call writing at 24,000 (strong resistance) ✔️ Put OI: • Highest at 23,000, then 23,500 & 23,800 ✔️ PCR: • 0.94 (fell from 1.07 → slightly bearish) 📈 NIFTY LEVELS ✔️ Trend: • Consolidation after rally (slightly bearish bias) • Immediate Support: 23,500 • Major Support: 23,450 • Immediate Resistance: 24,000 • Strong Resistance: 24,200 – 24,300 📉 BANK NIFTY LEVELS ✔️ Trend: • Consolidation with profit booking • Immediate Support: 54,400 • Major Support: 54,300 • Immediate Resistance: 55,300 • Strong Resistance: 55,400 📊 STOCKS / SECTORS IN NEWS • TCS – Mixed results (key IT trigger) • IT Sector – Weak globally • Oilrelated stocks – In focus (due to crude rise) 📊 STOCK SETUPS TO WATCH • IT stocks (possible downside or volatility) • Metal stocks (relative strength) • Oilsensitive sectors (paint, aviation pressure) 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 23,500 – 24,000 ✔️ Bank Nifty Range: 54,300 – 55,400 📅 IMPORTANT DATA / EVENTS TODAY • US CPI Data (inflation – major trigger) • Ongoing Middle East developments 🎯 INTRADAY TRADING VIEW 👉 Mixed to volatile market expected 👉 Gap up opening possible, but selling at higher levels likely 👉 Watch 24,000 resistance & crude oil movement closely 📌 QUICK SUMMARY • Market getting mixed signals (earnings + geopolitics) • Crude near $100 = big risk for upside • Expect rangebound & volatile trading today 🚨

आपको क्या लगता है — Market अभी range में रहेगा या volatility बढ़ने वाली है? http://youtube.com/post/UgkxcfspYHF0T2SpdEzGYhAFsEwyOrWSneDC?si=Du5Xc0wrMV_FN5v0

📈 DAILY MARKET UPDATE 📅 Date – 9 April 2026 1️⃣ VERY IMPORTANT NEWS • US–Iran temporary 2week ceasefire, but confusion continues (Israel not part of deal) • Iran again closed Strait of Hormuz after Israel attacks Lebanon • RBI kept interest rates unchanged at 5.25%, inflation outlook slightly negative • TCS results today – key trigger for IT sector 🌍 GLOBAL MARKET ✔️ US Markets: • Strong rally after ceasefire news • Dow Jones +2.85% • S&P 500 +2.5% • Nasdaq +2.8% ✔️ Asia Market Update: • Mixed to negative due to fresh tensions • Japan & other Asian markets slightly कमजोर ✔️ Gift Nifty Signal: • Trading around 23,995 • Indicates gap down opening (60 to 70 points) ✔️ Crude Oil: • Corrected 10–15% • Trading near $96–97/barrel (positive for market) ✔️ Dollar Index: • Slightly stable, no major volatility ✔️ Volatility Index (VIX US): • Fell sharply from 26 → 21 • Fear reduced 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • Banking strong (short covering) • IT in focus (TCS results) • Oil sensitive stocks volatile ✔️ Market Sentiment / Trend: • Positive but fragile (newsdriven volatility) ✔️ Volatility (India VIX): • Down ~20% → around 19–20 • Market shifting from panic → normal 💰 FII & DII DATA ✔️ FIIs: • Net Sellers ≈ ₹2,800 Cr ✔️ DIIs: • Net Buyers ≈ ₹4,200 Cr 📊 COMMODITIES UPDATE ✔️ Crude: • ~$96–97 (key support for market if below $100) ✔️ Gold: • Up ~1.3% (safe haven demand) ✔️ Silver: • Slight positive bias 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • Highest at 24,500 (strong resistance) ✔️ Put OI: • Highest at 24,000 (strong support) ✔️ PCR: • Around 1.07 (neutral to slightly bullish) 📈 NIFTY LEVELS ✔️ Trend: • Shortterm Bullish with consolidation • Immediate Support: 23,900 • Major Support: 23,800 • Immediate Resistance: 24,200 • Strong Resistance: 24,500 📉 BANK NIFTY LEVELS ✔️ Trend: • Bullish (after strong short covering) • Immediate Support: 55,200 • Major Support: 55,000 • Immediate Resistance: 56,200 • Strong Resistance: 56,300 📊 STOCKS / SECTORS IN NEWS • TCS – Q4 results today (high impact on IT) • Banking stocks – strong momentum continues • Oil stocks – volatile due to crude movement 📊 STOCK SETUPS TO WATCH • IT Stocks – volatility due to results • Bank Nifty stocks – buying on dips • Oillinked stocks – based on crude trend 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 23,800 – 24,400 ✔️ Bank Nifty Range: 55,000 – 56,300 📅 IMPORTANT DATA / EVENTS TODAY • TCS Q4 Results • Global updates on US–Iran ceasefire talks 🎯 INTRADAY TRADING VIEW 👉 Market likely gap down but buyondips opportunity if support holds 👉 Watch 23,800 (Nifty) – breakdown can turn sentiment weak 👉 Keep strict SL due to newsbased volatility 📌 QUICK SUMMARY • Market positive but geopolitical risk still high • Crude below $100 = big support • Today’s focus = TCS + global news flow

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आपको क्या लगता है — ये situation market के लिए short-term shock है या बड़ा trend change? http://youtube.com/post/UgkxciMud_7uwIfDN1kL9_cWyDCNIPEPLBOd?si=Yb7WvXiudssfGg6r

📈 DAILY MARKET UPDATE 📅 Date – 8 April 2026 1️⃣ VERY IMPORTANT NEWS 🌍 Global Affairs 🇺🇸 US – Iran Tensions (Major Highlight) Donald Trump issued strong warning to Iran, hinting possible military action. In the same statement, he also suggested possibility of positive outcome / regime change → mixed signals. Iran rejected negotiations and warned of counterattacks on oil infrastructure. Pakistan acting as mediator, requested: 2week deadline extension Temporary ceasefire Situation remains highly uncertain and volatile. 🌍 GLOBAL MARKET ✔️ US Markets: • S&P 500 +0.08%, Nasdaq Composite +0.10% • Dow Jones Industrial Average −0.18% (slightly weak) • Markets mostly flat despite geopolitical tension ✔️ Asia Market Update: • Nikkei 225 +4.5% (strong rally) • TOPIX +2.8% • ASX 200 +2.7% ✔️ Gift Nifty Signal: • Indicating strong gapup (~600–700 points) → highly bullish start ✔️ Crude Oil: • Sharp fall (~10–12%) → below $100 (big positive for India) ✔️ Dollar Index: • Slight weakness (supports equities & commodities) ✔️ Volatility Index (VIX US): • Near 26 (elevated → caution remains) 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • IT strong (+2.5%) • PSU Banks weak ✔️ Market Sentiment / Trend: • Bullish with volatility (eventdriven) ✔️ Volatility (India VIX): • ~24.69 (cooling slightly but still high) 💰 FII & DII DATA ✔️ FIIs: • Sold ₹8,692 Cr (continuous selling pressure) ✔️ DIIs: • Bought ~₹8,000 Cr (market support) 📊 COMMODITIES UPDATE ✔️ Crude: • Big crash → positive for market ✔️ Gold: • Above $4,800 (+2%) → safehaven buying ✔️ Silver: • Above $76 (+4%) → strong momentum 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • Highest at 24,000 & 23,500 ✔️ Put OI: • Highest at 22,500 & 23,000 ✔️ PCR: • ~1.08 – 1.13 → slightly bullish bias 📈 NIFTY LEVELS ✔️ Trend: • Bullish (Gapup + Momentum continuation) • Immediate Support: 23,800 • Major Support: 23,500 / 23,000 • Immediate Resistance: 24,000 • Strong Resistance: 24,200 📉 BANK NIFTY LEVELS ✔️ Trend: • Neutral to Slight Bullish • Immediate Support: 52,300 • Major Support: 52,000 • Immediate Resistance: 53,000 • Strong Resistance: 53,200 📊 STOCKS / SECTORS IN NEWS • IT stocks (Infosys, TCS type momentum continues) • Oilsensitive sectors (Paints, Aviation) positive due to crude fall • Banking stocks in focus due to RBI policy 📊 STOCK SETUPS TO WATCH • IT stocks – continuation breakout • Oilsensitive stocks – shortterm momentum • Indexbased trades (expiry + event volatility) 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 23,800 – 24,200 ✔️ Bank Nifty Range: 52,300 – 53,200 📅 IMPORTANT DATA / EVENTS TODAY • RBI Monetary Policy (10:30 AM) • Global updates on US–Iran situation 🎯 INTRADAY TRADING VIEW 👉 Buy on dips above 23,800 👉 If breaks 24,000 → momentum long trade possible 👉 Below 23,800 → expect profit booking / volatility 📌 QUICK SUMMARY • Market strong bullish opening expected • Crude crash = big positive tailwind • RBI policy = main volatility trigger today

📅 Date – 2 April 2026 1️⃣ VERY IMPORTANT NEWS 🌍 Global Affairs 🇺🇸 Donald Trump said: Iran has requested a ceasefire US will accept only if Strait of Hormuz is fully open US may still continue targeted (spot) strikes 🇮🇷 Iran President: Denied aggressive intentions Accused US of attacking civilians Warned about global instability 🤝 JD Vance: Working with Pakistan for peace talks 👉 Conclusion: Situation is mixed (peace + conflict signals) Market sentiment = uncertain but slightly positive 🌍 GLOBAL MARKET ✔️ US Markets: • Dow Jones +0.48% • S&P 500 +0.72% • Nasdaq +1.16% (outperformance) • Positive but not strong confidence rally ✔️ Asia Market Update: • Mixed to negative • Japan weak, Australia slightly positive ✔️ Gift Nifty Signal: • Around 22,800 • Indicates flat to slightly positive opening ✔️ Crude Oil: • Volatile due to Middle East tensions • Key indicator today → watch closely ✔️ Dollar Index: • Stable, slight weakness ✔️ Volatility Index (VIX US): • Fell ~3% → around 24.5 • Still elevated → uncertainty remains 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • Banks under pressure (RBI rules impact) • PSU Banks previously strong • IT weak (ADR negative signals) ✔️ Market Sentiment / Trend: • Short covering rally seen • Overall trend still cautious & bearish bias ✔️ Volatility (India VIX): • Around 25 → high volatility zone 💰 FII & DII DATA ✔️ FIIs: • Sold ₹8,300 Cr (heavy selling continues) ✔️ DIIs: • Bought ₹7,200 Cr (supporting market) 📊 COMMODITIES UPDATE ✔️ Crude: • Highly volatile (geopolitical driven) ✔️ Gold: • Up (safe haven demand) ✔️ Silver: • Slightly positive 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • 23,500 (max) • 23,000 & 23,200 strong resistance ✔️ Put OI: • 22,500 (max) • 22,000 strong support ✔️ PCR: • ~0.92 → neutral to slightly bearish 📈 NIFTY LEVELS ✔️ Trend: 👉 Weak / Bearish (below moving averages) • Immediate Support: 22,500 • Major Support: 22,300 • Immediate Resistance: 22,800 – 22,850 • Strong Resistance: 23,000 – 23,200 📉 BANK NIFTY LEVELS ✔️ Trend: 👉 Weak (below key averages, bearish structure) • Immediate Support: 50,500 • Major Support: 50,000 • Immediate Resistance: 51,800 • Strong Resistance: 52,000 📊 STOCKS / SECTORS IN NEWS • Banking stocks → RBI restrictions impact • IT stocks → Weak ADR signals • Oilrelated stocks → Crude movement focus 📊 STOCK SETUPS TO WATCH • PSU Banks (volatility play) • IT stocks (possible weakness) • Oil & Gas stocks (newsbased moves) 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 22,500 – 23,000 ✔️ Bank Nifty Range: 50,500 – 52,000 📅 IMPORTANT DATA / EVENTS TODAY • Trump speech (very important) • Crude oil movement (live tracking needed) 🎯 INTRADAY TRADING VIEW 👉 Market is eventdriven today 👉 Trade light & avoid aggressive positions before clarity 👉 Focus on levels + news reaction (especially crude & geopolitics) 📌 QUICK SUMMARY • Global cues positive but uncertain • RBI action → pressure on banks • FIIs still bearish • Market rangebound with high volatility • Key trigger: Trump speech + crude oil reaction

आपको क्या लगता है, ये peace talks टिकेंगी या फिर uncertainty वापस आएगी?👇 http://youtube.com/post/UgkxJnAnlKmaFNAzJhswehiMk5O-fUKZEEyl?si=gQ_pP2nsS50QxNUl

📅 Date – 1 April 2026 1️⃣ VERY IMPORTANT NEWS 🌍 International Affairs 🇮🇷 Iran–US–Israel Conflict Iran has shown willingness to end the war Condition: need guarantee of no future attacks Europe (EU) has entered as a peace mediator → big positive signal 🌐 Geopolitical Shift Europe now actively involved in negotiations US President Donald Trump संकेत → war may not last long 🌍 GLOBAL MARKET ✔️ US Markets: • Dow Jones +2.5% • S&P 500 +2.9% • Nasdaq +3.8% (Strong rally – relief buying) ✔️ Asia Market Update: • Japan Nikkei +3.8% • Asia broadly strong following US rally ✔️ Gift Nifty Signal: • Trading near 22,900 • Indicating Gap Up Opening (+350 to +400 pts) ✔️ Crude Oil: • Fell ~4% (from ~$110 → ~$101) • Still above $100 → Slight negative but cooling ✔️ Dollar Index: • Slightly stable / mild weakness ✔️ Volatility Index (VIX US): • Down ~17% (31 → 25) → BIG relief signal 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • Positive: Banking, IT, Reliance, Oil Marketing • Focus: Export & Refining stocks ✔️ Market Sentiment / Trend: • Shift from Fear → Relief Rally • But still newsdriven (geopolitics) ✔️ Volatility (India VIX): • Cooling expected after sharp spike 💰 FII & DII DATA ✔️ FIIs: • Sold ₹11,150 Cr (Heavy selling continues) ✔️ DIIs: • Bought ₹15,000 Cr (Massive support) 📊 COMMODITIES UPDATE ✔️ Crude: ~$101 (cooling but still high) ✔️ Gold: Slight bounce (safe haven demand) ✔️ Silver: Stable 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • 23,000 (Highest) • 23,200 ✔️ Put OI: • 22,000 (Strong support) ✔️ PCR: • ~0.91 (Neutral to slightly bearish) 📈 NIFTY LEVELS ✔️ Trend: Shortterm bearish, pullback possible • Immediate Support: 22,000 • Major Support: 21,700 • Immediate Resistance: 22,500 • Strong Resistance: 22,700 📉 BANK NIFTY LEVELS ✔️ Trend: Weak but bounce expected • Immediate Support: 49,900 • Major Support: 49,800 • Immediate Resistance: 50,600 • Strong Resistance: 50,700 📊 STOCKS / SECTORS IN NEWS • HDFC Bank → CEO reappointment news (Positive) • HAL → Strong order book update • Reliance → Diesel exports surge (Positive) 📊 STOCK SETUPS TO WATCH • Reliance → Positive momentum (oil + exports) • HDFC Bank → Bounce candidate after fall • HAL → Strength due to strong fundamentals 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 22,000 – 23,000 ✔️ Bank Nifty Range: 49,800 – 50,700 📅 IMPORTANT DATA / EVENTS TODAY • US Manufacturing PMI • US Retail Sales • Crude Oil Inventory Data 🎯 INTRADAY TRADING VIEW 👉 Gapup opening expected → Avoid chasing 👉 Wait for dip or breakout above resistance 👉 Market will move based on Crude Oil + News Flow 📌 QUICK SUMMARY • Global sentiment strong (war easing hopes) • Gapup opening confirmed by Gift Nifty • Market still risky → newsdriven volatility

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