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π NIFTY 50 PRE-MARKET
π
28-Aug-2026
Prev Close: 24,090.85
Pre-Market: 24,122.60
Gap-Up: +31.75
π INVESTOR VIEW
π’ Clients: Bullish
π΄ FIIs: Bearish
π΄ PROs: Bearish/Hedged
π‘ DIIs: Mixed-Bearish
β‘οΈ Overall Bias: π‘ Cautious / Range-Bound
π KEY LEVELS
π΄ Resistance: 24,150β24,200
Next: 24,250
π’ Support: 24,050
Next: 24,000 β 23,950
π― TODAY'S PLAN
π΄ SELL:
24,150β24,200 rejection
Targets: 24,090 β 24,050 β 24,000
SL: 24,220+
π’ BUY:
24,200/24,220 ke upar sustain
Targets: 24,250 β 24,300
SL: 24,150
β οΈ 24,050β24,200 = WAIT ZONE
Opening gap-up me direct entry avoid karein.
β VIEW:
Clients bullish hain, lekin FII + PRO
positioning bearish hai. Isliye 24,200
breakout ke bina aggressive BUY avoid.
β οΈ Educational Purpose Only | Strict SL
1 470
π NIFTY 50 PRE-MARKET VIEW
π
27-Aug-2026
Prev Close: 24,207.75
Pre-Market: 24,277.60
Gap-Up: +69.85 pts
π INVESTOR DATA
π’ Clients: BULLISH
Index Fut +2,647
Index Call +96,378
Stock Fut +65,876
π΄ FIIs: BEARISH/MIXED
Index Fut -1,833
Index Call -37,455
Stock Fut -32,855
π΄ PROs: BEARISH/HEDGED
Call -58,893 | Put +51,150
π‘ DIIs: MIXED
β‘οΈ Overall Bias: π‘ NEUTRAL
β‘οΈ Gap-up ke baad confirmation zaroori.
ββββββββββββββ
π IMPORTANT LEVELS
ββββββββββββββ
π΄ Resistance:
24,300 π₯
24,350
24,400
π’ Support:
24,250
24,200 π₯
24,150
24,050
ββββββββββββββ
π― TODAY'S PLAN
ββββββββββββββ
π’ BUY SETUP:
24,300 ke upar 15-min candle close
+ retest hold
Targets:
24,350 β 24,400 β 24,450
π΄ SELL SETUP:
24,250 ke neeche sustain
+ retest failure
Targets:
24,200 β 24,150 β 24,050
β οΈ 24,250β24,300:
NO TRADE / WAIT ZONE
π₯ GAP-UP WARNING:
24,300β24,350 par rejection mila
to gap-fill ke liye 24,250 β 24,200
tak downside aa sakta hai.
π KEY LEVEL:
24,300 = Bullish Trigger
24,250 = Immediate Support
24,200 = Bearish Confirmation
β Verdict:
Gap-up positive hai, lekin FII + PRO positioning
supportive nahi hai. Isliye opening par direct
CE/PE avoid karein; 24,300 breakout ya
24,250 breakdown ka confirmation wait karein.
β οΈ Educational purpose only. Options trading me
strict SL aur proper position sizing rakhein.
#Nifty50 #PreMarket #FII #DII #Clients
#OptionTrading #LearnWithMarket
1 470
+
15-MIN CLOSE BELOW
+
RETEST FAILURE
β‘οΈ PE Bias
Targets:
24,100
β 24,050
β 24,000
β 23,950
π₯ SETUP 3 β STRONG PE
24,050 BREAK
+
SUSTAIN BELOW
β‘οΈ Strong downside momentum
Targets:
24,000
β 23,950
β 23,900
β 23,850
π‘ SETUP 4 β NO TRADE
24,150β24,220 ke andar
price repeatedly move kare.
β‘οΈ Whipsaw possible.
β‘οΈ Breakout/breakdown confirmation ka wait karein.
ββββββββββββββββββ
β TODAY'S MARKET VERDICT
ββββββββββββββββββ
π Opening:
GAP-DOWN -43 POINTS
π Overall Bias:
π‘ SLIGHTLY BEARISH
π FII:
π΄ Bearish / Hedged
π Clients:
π’ Bullish
π PROs:
π‘ Mixed / Hedged
π DII:
π‘ Neutral to Bearish
π₯ KEY SUPPORT:
24,150
π₯ MAJOR SUPPORT:
24,050
β‘ KEY RECLAIM:
24,220
π₯ BULLISH CONFIRMATION:
24,300
π΄ BEARISH CONFIRMATION:
24,150-
π₯ STRONG BEARISH:
24,050-
π― Upside:
24,250 β 24,300 β 24,350 β 24,400
π― Downside:
24,100 β 24,050 β 24,000 β 23,950 β 23,900
ββββββββββββββββββ
π‘ Aaj opening me direct trade lene ke
bajay 24,150 aur 24,220 ko observe karna
better setup rahega.
24,220 reclaim + hold
= GAP RECOVERY / CE BIAS
24,150 breakdown + retest failure
= PE BIAS
24,150β24,220
= WAIT & WATCH
ββββββββββββββββββ
β οΈ DISCLAIMER
Ye analysis educational purpose ke liye hai.
Ye SEBI-registered investment advice nahi hai
aur koi guaranteed Buy/Sell recommendation
nahi hai.
Options trading me high risk hota hai.
Proper position sizing aur strict stop-loss
ka use karein.
#Nifty50 #Nifty #PreMarketAnalysis
#FII #DII #Clients #NiftyLevels
#OptionTrading #StockMarket
#LearnWithMarket
1 470
ββββββββββββββββββ
π₯ STRONG BULLISH SCENARIO
ββββββββββββββββββ
Agar:
24,300 BREAK
+
15-min sustain
+
RETEST HOLD
to gap-down recovery strong ho sakti hai.
π― 24,350
π― 24,400
π― 24,450
π― 24,500
β‘οΈ 24,300 ke upar bullish momentum
stronger hoga.
ββββββββββββββββββ
π΄ BEARISH SCENARIO
ββββββββββββββββββ
Agar:
24,150 BREAK
+
15-min candle close below
+
retest failure
to downside momentum aa sakta hai.
π― Target 1 β 24,100
π― Target 2 β 24,050
π― Target 3 β 24,000
π― Target 4 β 23,950
π― Target 5 β 23,900
π PE Strategy:
24,150 breakdown
+
retest failure
β‘οΈ PE side momentum trade.
ββββββββββββββββββ
π₯ STRONG BEARISH SCENARIO
ββββββββββββββββββ
Agar:
24,050 BREAK
+
sustain below 24,050
to recent support fail maana jayega.
Then:
24,000
β
23,950
β
23,900
β
23,850
β
23,800
possible downside levels hain.
ββββββββββββββββββ
β‘ GAP-DOWN RECOVERY SCENARIO
ββββββββββββββββββ
Previous Close:
24,219
Pre-Market:
24,175.75
Gap:
-43.25
Agar market opening ke baad:
24,150 hold
aur
24,220 reclaim
karta hai,
to gap-fill trade possible hai.
π― First objective:
24,219
Uske baad:
24,250
β 24,300
β 24,350
π Is setup me direct opening CE
ke bajay 24,220 reclaim + confirmation
ka wait better hai.
ββββββββββββββββββ
π IMPORTANT SUPPORT LEVELS
ββββββββββββββββββ
24,200 β Immediate Support
24,150 β π₯ KEY SUPPORT
24,100 β Support
24,050 β π₯ MAJOR SUPPORT
24,000 β π₯ Psychological Support
23,950 β Support
23,900 β Strong Support
23,850 β Support
23,800 β Major Swing Support
ββββββββββββββββββ
π IMPORTANT RESISTANCE LEVELS
ββββββββββββββββββ
24,220 β β‘ Previous Close / Key Level
24,250 β Immediate Resistance
24,300 β π₯ Key Resistance
24,350 β Strong Resistance
24,400 β π₯ Major Resistance
24,450 β Resistance
24,500 β π₯ Major Resistance
24,550 β Resistance
24,600 β Major Resistance
24,650 β Swing High
ββββββββββββββββββ
π― TODAY'S LEVEL MAP
ββββββββββββββββββ
24,650 π΄
24,600 π΄
24,550 π΄
24,500 π΄
24,450 π΄
24,400 π₯
24,350 π΄
24,300 β‘
24,250 π΄
24,220 β‘ KEY
βββββββββββββ
24,175 PRE-MARKET
βββββββββββββ
24,150 π₯ KEY SUPPORT
24,100 π’
24,050 π₯
24,000 π₯
23,950 π’
23,900 π’
23,800 π’
ββββββββββββββββββ
π SIMPLE TRADING PLAN
ββββββββββββββββββ
π’ ABOVE 24,220
BUY ON CONFIRMATION
24,250
β
24,300
β
24,350
β
24,400
β‘οΈ Gap recovery possible.
π₯ ABOVE 24,300
STRONGER BULLISH MOMENTUM
24,350
β
24,400
β
24,450
β
24,500
π΄ BELOW 24,150
SELL ON CONFIRMATION
24,100
β
24,050
β
24,000
β
23,950
β
23,900
π₯ BELOW 24,050
STRONGER BEARISH MOMENTUM
24,000
β 23,950
β 23,900
β 23,850
π‘ 24,150 β 24,220
WAIT & WATCH
β‘οΈ Ye major decision zone hai.
β‘οΈ Yahan direct aggressive trade avoid karein.
ββββββββββββββββββ
π‘ IMPORTANT FII OBSERVATION
ββββββββββββββββββ
FII Index Future:
Aug 21 β -2,09,855
Aug 24 β -2,19,383
β‘οΈ FII short position increase hui.
FII Index Put:
Aug 21 β +4,67,947
Aug 24 β +5,81,958
β‘οΈ Put buying sharply increase hui.
FII Index Call:
Aug 21 β -2,18,113
Aug 24 β -1,99,680
β‘οΈ Call-side short position reduce hui.
π₯ Isliye FII data ko dekhen to:
Futures β Bearish
Puts β Bearish/Hedge
Calls β Short covering
β‘οΈ Overall FII positioning:
BEARISH BUT HEDGED
ββββββββββββββββββ
π‘ IMPORTANT CLIENT OBSERVATION
ββββββββββββββββββ
Clients:
Index Future
+1,71,016
β +1,81,156
Index Call
+64,864
β +2,27,012
Index Put
-6,97,536
β -8,43,989
π₯ Clients ne:
π’ Futures Long increase kiya
π’ Calls aggressively buy kiye
π’ Puts aggressively sell kiye
β‘οΈ Clients ka positioning clearly
bullish side ko support karta hai.
Isliye agar NIFTY 24,150β24,200
support se strong reversal deta hai,
to upside move fast ho sakta hai.
ββββββββββββββββββ
π₯ TODAY'S BEST SETUPS
ββββββββββββββββββ
π’ SETUP 1 β CE
24,150β24,200 SUPPORT HOLD
+
24,220 BREAK
+
15-MIN CLOSE
+
RETEST HOLD
β‘οΈ CE Bias
Targets:
24,250
β 24,300
β 24,350
β 24,400
π΄ SETUP 2 β PE
24,150 BREAK
1 470
π NIFTY 50 β PRE-MARKET ANALYSIS
π
25 August 2026
πΉ Previous Close: 24,219.00
πΉ Pre-Market: 24,175.75
πΉ Gap-Down: -43.25 Points
πΉ Gap-Down %: ~-0.18%
β‘οΈ Opening Bias: GAP-DOWN
β‘οΈ Overall Bias: SLIGHTLY BEARISH
β‘οΈ Key Decision Zone: 24,150β24,220
ββββββββββββββββββ
π FII, DII & CLIENTS DATA
ββββββββββββββββββ
π΄ FIIs
β’ Index Future: Sold Net -9,528
β’ Index Call: Bought Net +18,433
β’ Index Put: Bought Net +1,14,011
β’ Stock Future: Bought Net +2,057
β’ Stock Calls: Sold Net -3,008
β’ Stock Puts: Sold Net -7,716
π₯ FII positioning me aaj ka important
change Index Put buying hai.
FII Index Put:
Aug 21 β +4,67,947
Aug 24 β +5,81,958
β‘οΈ Put buying sharply increase hui.
FII Index Future:
Aug 21 β -2,09,855
Aug 24 β -2,19,383
β‘οΈ Futures me short position bhi increase hui.
π Iska matlab:
π΄ Futures Short
+
π΄ Put Buying
β‘οΈ FIIs ka index view short-term
defensive / bearish hai.
Haan, Index Calls me bhi +18,433 buying
hai, isliye one-sided bearish signal nahi
hai.
π FII BIAS:
π΄ BEARISH / HEDGED
ββββββββββββββββββ
π’ CLIENTS
β’ Index Future: Bought Net +10,140
β’ Index Call: Bought Net +1,62,148
β’ Index Put: Sold Net -1,46,453
β’ Stock Future: Bought Net +3,988
β’ Stock Calls: Sold Net -1,02,843
β’ Stock Puts: Bought Net +4,097
π₯ Clients ka Index Call buying strong hai.
Index Call:
Aug 21 β +64,864
Aug 24 β +2,27,012
β‘οΈ Huge increase in Call position.
Index Put:
Aug 21 β -6,97,536
Aug 24 β -8,43,989
β‘οΈ Put shorting bhi increase hui.
Index Future:
Aug 21 β +1,71,016
Aug 24 β +1,81,156
β‘οΈ Futures longs bhi increase hue.
π Clients overall positioning:
π’ Futures Long
π’ Call Buying
π’ Put Selling
β‘οΈ CLIENTS BIAS = BULLISH
ββββββββββββββββββ
π PROs
β’ Index Future: Bought Net +2,483
β’ Index Call: Sold Net -1,80,498
β’ Index Put: Bought Net +13,145
β’ Stock Future: Sold Net -9,189
β’ Stock Calls: Bought Net +1,12,258
β’ Stock Puts: Sold Net -495
PROs ka index setup mixed hai.
π΄ Index Call Selling
+
π’ Index Put Buying
+
π’ Index Future Buying
β‘οΈ Index me caution / hedging dikh rahi hai.
Lekin Stock Calls:
π’ +1,12,258
ki strong buying hai.
π PRO BIAS:
π‘ MIXED / HEDGED
ββββββββββββββββββ
π‘ DIIs
β’ Index Future: Sold Net -3,095
β’ Index Call: Sold Net -82
β’ Index Put: Bought Net +19,298
β’ Stock Future: Bought Net +3,144
β’ Stock Calls: Sold Net -6,407
β’ Stock Puts: Bought Net +4,114
β‘οΈ Index side par DII positioning
defensive hai.
π DII BIAS:
π‘ NEUTRAL TO SLIGHTLY BEARISH
ββββββββββββββββββ
π OVERALL INVESTOR SENTIMENT
ββββββββββββββββββ
FIIs
π΄ Bearish / Hedged
Clients
π’ Bullish
PROs
π‘ Mixed / Hedged
DIIs
π‘ Neutral to Bearish
π₯ OVERALL:
π‘ MIXED WITH BEARISH OPENING BIAS
Opening gap-down hone ki wajah se
first reaction bearish ho sakta hai.
Lekin 24,150β24,200 zone hold karta hai
to reversal bhi possible hai.
ββββββββββββββββββ
π NIFTY 1H CHART ANALYSIS
ββββββββββββββββββ
Previous Close:
24,219.00
Pre-Market:
24,175.75
Gap:
-43.25 Points
Chart structure me NIFTY ne recent high
24,600β24,650 zone se correction liya hai.
Correction ke baad:
24,400
β
24,350
β
24,300
β
24,200
tak weakness aayi.
Recent low:
~24,050
ke around support mila aur wahan se
recovery hui.
Ab pre-market:
24,175.75
par hai.
β‘οΈ Yani price important support zone ke
near open hone wala hai.
ββββββββββββββββββ
π₯ TODAY'S KEY DECISION ZONE
ββββββββββββββββββ
24,150 β 24,220
Aaj ka sabse important zone.
Reason:
24,150 ke around support
+
24,200 psychological level
+
24,219 previous close
Agar ye zone hold karta hai,
to gap-down recovery possible.
Agar 24,150 decisively break hota hai,
to downside momentum accelerate ho sakta hai.
ββββββββββββββββββ
π’ BULLISH SCENARIO
ββββββββββββββββββ
Agar NIFTY:
24,150β24,200 hold
+
24,220 reclaim
+
15-min candle close above 24,220
to gap-down recovery possible hai.
π― Target 1 β 24,250
π― Target 2 β 24,300
π― Target 3 β 24,350
π― Target 4 β 24,400
Agar 24,400 bhi break hota hai:
π― 24,450
π― 24,500
possible.
π CE Strategy:
24,220 reclaim
+
15-min confirmation
+
retest hold
β‘οΈ CE side momentum trade.
1 470
Options trading me high risk hota hai.
Proper position sizing aur strict stop-loss
ka use karein.
#Nifty50 #Nifty #PreMarketAnalysis
#FII #DII #ClientData #NiftyLevels
#OptionTrading #StockMarket #LearnWithMarket
1 470
to recent resistance zone clear hoga.
Uske baad:
24,400
β
24,450
β
24,500
β
24,550
tak momentum aa sakta hai.
π 24,350 ke upar
bullish confidence significantly increase hoga.
ββββββββββββββββββ
π΄ BEARISH SCENARIO
Agar opening ke baad:
24,300β24,350 rejection
aur phir:
24,200 BREAK
ho jata hai,
to recovery fail hone ka signal milega.
π― Target 1 β 24,150
π― Target 2 β 24,100
π― Target 3 β 24,050
π― Target 4 β 24,000
Agar 24,000 break hota hai:
π― 23,900
π― 23,800
possible levels hain.
π PE Strategy:
24,300β24,350 rejection
+
24,200 breakdown
+
retest failure
β‘οΈ PE side momentum trade.
ββββββββββββββββββ
β‘ GAP-UP FAILURE SCENARIO
Today's gap:
24,252.00
β
24,285.05
= +33 points
Agar NIFTY:
24,250 ke neeche
aur phir:
24,200 ke neeche
sustain karta hai,
to gap-up failure ka signal milega.
Then:
24,150
β
24,100
β
24,050
β
24,000
important downside targets honge.
ββββββββββββββββββ
π’ IMPORTANT SUPPORT LEVELS
24,250 β Immediate Support
24,200 β π₯ Key Support
24,150 β Strong Support
24,100 β Support
24,050 β π₯ Major Support
24,000 β π₯ Psychological Support
23,900 β Strong Support
23,800 β Major Swing Support
π΄ IMPORTANT RESISTANCE LEVELS
24,300 β β‘ Key Resistance
24,350 β π₯ Major Resistance
24,400 β Resistance
24,450 β Strong Resistance
24,500 β π₯ Major Resistance
24,550 β Resistance
24,600 β Major Resistance
24,650 β Swing High
ββββββββββββββββββ
π― TODAY'S IMPORTANT LEVEL MAP
24,650 π΄
24,600 π΄
24,550 π΄
24,500 π΄
24,450 π΄
24,400 π΄
24,350 π₯
24,300 β‘ KEY
βββββββββββββ
24,285 PRE-MARKET
βββββββββββββ
24,250 π‘
24,200 π₯
24,150 π’
24,100 π’
24,050 π₯
24,000 π₯
23,900 π’
23,800 π’
ββββββββββββββββββ
π SIMPLE TRADING PLAN
π’ ABOVE 24,300
BUY ON CONFIRMATION
24,350
β
24,400
β
24,450
β
24,500
β‘οΈ Breakout + Retest preferred.
π₯ ABOVE 24,350
STRONGER BULLISH MOMENTUM
24,400
β
24,450
β
24,500
β
24,550
β‘οΈ Short-covering move possible.
π΄ BELOW 24,200
SELL ON CONFIRMATION
24,150
β
24,100
β
24,050
β
24,000
β‘οΈ Breakdown + Retest preferred.
π‘ 24,200 β 24,300
WAIT & WATCH
β‘οΈ Whipsaw / sideways movement possible.
ββββββββββββββββββ
π‘ SPECIAL FII OBSERVATION
FII Index Future:
Aug 19 β -2,09,807
Aug 20 β -2,12,113
Aug 21 β -2,09,855
β‘οΈ FII shorts abhi bhi large hain.
Lekin latest session me:
+2,258 short covering
+
+15,680 Call Buying
+
-10,969 Put position
dikh raha hai.
β‘οΈ Agar NIFTY 24,300 ke upar sustain karta hai,
to existing FII shorts ki covering market ko
aur accelerate kar sakti hai.
Is situation me:
24,350
β 24,400
β 24,450
β 24,500
fast targets ban sakte hain.
Lekin agar 24,300β24,350 repeatedly reject
hota hai, to FII shorts upside ko cap kar
sakte hain.
ββββββββββββββββββ
π₯ TODAY'S BEST SETUP
Aaj direct opening trade se better hai
confirmation ka wait karna.
π’ SETUP 1 β CE
24,300 BREAK
+
15-min CLOSE ABOVE
+
RETEST HOLD
β‘οΈ CE Bias
Targets:
24,350 β 24,400 β 24,450 β 24,500
π΄ SETUP 2 β PE
24,300β24,350 REJECTION
+
24,200 BREAK
+
RETEST FAILURE
β‘οΈ PE Bias
Targets:
24,150 β 24,100 β 24,050 β 24,000
π‘ SETUP 3 β NO TRADE
24,200β24,300 ke andar
price repeatedly move kare.
β‘οΈ Wait for breakout/breakdown.
ββββββββββββββββββ
β TODAY'S MARKET VERDICT
π Opening:
SMALL GAP-UP +33 POINTS
π Overall:
SLIGHTLY BULLISH
π Key Decision Zone:
24,250β24,350
π Bullish Trigger:
24,300+
π Strong Bullish Confirmation:
24,350+
π Bearish Trigger:
24,200-
π Major Support:
24,000β24,050
π Major Resistance:
24,400β24,500
π Best Approach:
LEVEL-BASED TRADING
π₯ ABOVE 24,300:
Bullish β CE side
π₯ ABOVE 24,350:
Strong Bullish β Short Covering possible
π΄ BELOW 24,200:
Bearish β PE side
π‘ 24,200β24,300:
WAIT / AVOID AGGRESSIVE TRADE
ββββββββββββββββββ
β οΈ DISCLAIMER
Ye analysis educational purpose ke liye hai.
Ye SEBI-registered investment advice nahi hai
aur koi guaranteed Buy/Sell recommendation
nahi hai.
1 470
π NIFTY 50 β PRE-MARKET ANALYSIS
π
24 August 2026
πΉ Previous Close: 24,252.00
πΉ Pre-Market: 24,285.05
πΉ Gap-Up: +33.05 Points
πΉ Gap-Up %: ~+0.14%
β‘οΈ Opening Bias: SMALL GAP-UP
β‘οΈ Overall Bias: SLIGHTLY BULLISH
β‘οΈ Key Decision Zone: 24,250β24,350
ββββββββββββββββββ
π FII, DII & CLIENTS DATA ANALYSIS
π’ FIIs
β’ Index Future: Bought Net +2,258
β’ Index Call: Bought Net +15,680
β’ Index Put: Sold Net -10,969
β’ Stock Future: Bought Net +15,461
β’ Stock Calls: Bought Net +2,278
β’ Stock Puts: Sold Net -6,385
π₯ FII data me aaj ka sabse important
change Index Future me hai.
FII Index Future Position:
Aug 19 β -2,09,807
Aug 20 β -2,12,113
Aug 21 β -2,09,855
β‘οΈ Net short position abhi bhi bahut high hai,
lekin latest session me:
+2,258
ki short covering hui hai.
Aur important:
π’ Index Call Bought +15,680
π΄ Index Put Sold -10,969
β‘οΈ Call Buying + Put Selling
short-term bullish positioning ko support
karta hai.
π FII BIAS:
π’ SHORT-TERM BULLISH / SHORT COVERING
π΄ MEDIUM-TERM FUTURES POSITION STILL SHORT
ββββββββββββββββββ
π΄ CLIENTS
β’ Index Future: Sold Net -2,289
β’ Index Call: Sold Net -46,473
β’ Index Put: Sold Net -6,874
β’ Stock Future: Bought Net +16,452
β’ Stock Calls: Sold Net -76,605
β’ Stock Puts: Bought Net +2,558
Clients ka positioning cautious hai.
Index Future:
Aug 19 β +1,85,408
Aug 20 β +1,73,305
Aug 21 β +1,71,016
β‘οΈ Long position continuously reduce hui hai.
Latest change:
-2,289
Index Call:
Aug 20 β +1,11,337
Aug 21 β +64,864
β‘οΈ Call position sharply reduce hui.
Index Put:
Aug 20 β -6,90,662
Aug 21 β -6,97,536
β‘οΈ Put shorting slightly increase hui.
π Clients overall:
CAUTIOUS / SLIGHTLY BEARISH
π΄ CLIENT BIAS = CAUTIOUS
ββββββββββββββββββ
π’ PROs
β’ Index Future: Sold Net -806
β’ Index Call: Bought Net +30,843
β’ Index Put: Bought Net +17,843
β’ Stock Future: Sold Net -29,296
β’ Stock Calls: Bought Net +76,861
β’ Stock Puts: Bought Net +2,529
π₯ PROs ka positioning interesting hai.
Index Future:
Slightly Sold
Lekin:
π’ Call Buying
+
π’ Put Buying
β‘οΈ Directional trade ke saath hedging
dikh rahi hai.
Stock Calls me bhi:
π’ +76,861
ki strong buying hai.
π PRO BIAS:
π’ BULLISH / HEDGED
ββββββββββββββββββ
π‘ DIIs
β’ Index Future: Bought Net +837
β’ Index Call: Sold Net -50
β’ Index Put: 0
β’ Stock Future: Sold Net -2,617
β’ Stock Calls: Sold Net -2,534
β’ Stock Puts: Bought Net +1,298
β‘οΈ Index positioning almost neutral hai.
π‘ DII BIAS = NEUTRAL
ββββββββββββββββββ
π OVERALL INVESTOR SENTIMENT
FIIs
π’ Short Covering
π’ Call Buying
π’ Put Selling
Clients
π΄ Long Reduction
π΄ Call Selling
π΄ Put Shorting
PROs
π’ Call Buying
π’ Put Buying
π’ Hedged Bullish
DIIs
π‘ Neutral
ββββββββββββββββββ
π₯ OVERALL VERDICT
π’ FIIs β SHORT-TERM BULLISH
π΄ Clients β CAUTIOUS
π’ PROs β BULLISH / HEDGED
π‘ DIIs β NEUTRAL
β‘οΈ Overall Bias:
π’ SLIGHTLY BULLISH
Lekin strong bullish tabhi maana jayega
jab NIFTY 24,300β24,350 ke upar sustain kare.
ββββββββββββββββββ
π NIFTY 1H CHART ANALYSIS
Previous Close:
24,252.00
Pre-Market:
24,285.05
Gap:
+33.05 Points
π Chart me recent structure:
24,650+
β
24,500
β
24,400
β
24,300
β
24,200
β
24,050
Recent correction ke baad NIFTY ne
24,050 ke around support liya hai.
Uske baad recovery:
24,050
β
24,150
β
24,200
β
24,250
tak aayi hai.
β‘οΈ Ab price important resistance ke paas hai.
ββββββββββββββββββ
π₯ TODAY'S KEY DECISION ZONE
24,250 β 24,350
Pre-Market:
24,285.05
Yani opening already decision zone
ke andar hai.
Aaj sabse important hai:
24,300
+
24,350
ββββββββββββββββββ
π’ BULLISH SCENARIO
Agar NIFTY:
24,300 BREAK
+
15-minute candle close above 24,300
+
RETEST HOLD
to bullish momentum continue ho sakta hai.
π― Target 1 β 24,350
π― Target 2 β 24,400
π― Target 3 β 24,450
π― Target 4 β 24,500
Strong short covering aayi to:
π― 24,550
π― 24,600
bhi possible hai.
π CE Strategy:
24,300 breakout
+
confirmation
+
successful retest
β‘οΈ CE side momentum trade.
ββββββββββββββββββ
π₯ STRONG BULLISH SCENARIO
Agar:
24,350 BREAK
+
15-min sustain
milta hai,
1 470
Ye analysis educational purpose ke liye hai.
Ye SEBI-registered investment advice nahi hai
aur koi guaranteed Buy/Sell recommendation
nahi hai.
Options trading me high risk hota hai.
Proper position sizing aur strict stop-loss
ka use karein.
#Nifty50 #Nifty #PreMarketAnalysis
#FII #DII #ClientData #NiftyLevels
#OptionTrading #StockMarket #LearnWithMarket
1 470
+
retest HOLD
to upside momentum aa sakta hai.
π― Target 1 β 24,350
π― Target 2 β 24,400
π― Target 3 β 24,450
π― Target 4 β 24,500
Strong short covering me:
π― 24,550
π― 24,600
bhi possible hai.
π CE Strategy:
24,300 breakout
+
confirmation
+
successful retest
β‘οΈ CE side momentum trade consider karein.
β Direct opening candle me CE chase
karna avoid karein.
ββββββββββββββββββ
π΄ BEARISH SCENARIO
Agar NIFTY:
24,250β24,300 se rejection
AND
24,200 ke neeche breakdown
AND
retest fail
to selling pressure aa sakta hai.
π― Target 1 β 24,150
π― Target 2 β 24,100
π― Target 3 β 24,050
π― Target 4 β 24,000
Agar 24,000 bhi break hota hai:
π― 23,900
π― 23,800
important levels rahenge.
π PE Strategy:
24,250β24,300 rejection
+
24,200 breakdown
+
retest failure
β‘οΈ PE side momentum trade consider karein.
ββββββββββββββββββ
β‘ GAP-UP FAILURE SCENARIO
Today's gap:
24,231.85
β
24,284.05
= +52 points
Agar NIFTY opening ke baad:
24,250 ke neeche
aur phir
24,200 ke neeche
aata hai,
to gap-up failure ka signal milega.
Uske baad:
24,150
β
24,100
β
24,050
β
24,000
ki taraf move possible hai.
ββββββββββββββββββ
π’ IMPORTANT SUPPORT LEVELS
24,250 β Immediate Support after breakout
24,200 β π₯ Key Support
24,150 β Strong Support
24,100 β Support
24,050 β π₯ Major Support
24,000 β π₯ Psychological Support
23,900 β Strong Support
23,800 β Major Swing Support
π΄ IMPORTANT RESISTANCE LEVELS
24,300 β β‘ KEY RESISTANCE
24,350 β Resistance
24,400 β π₯ Major Resistance
24,450 β Resistance
24,500 β π₯ Major Resistance
24,550 β Resistance
24,600 β Major Resistance
24,650 β Swing High
ββββββββββββββββββ
π― TODAY'S IMPORTANT LEVEL MAP
24,650 π΄
24,600 π΄
24,550 π΄
24,500 π΄
24,450 π΄
24,400 π΄
24,350 π΄
24,300 β‘ BREAKOUT
βββββββββββββ
24,284 PRE-MARKET
βββββββββββββ
24,250 β‘ KEY
24,200 π₯ SUPPORT
24,150 π‘
24,100 π’
24,050 π₯
24,000 π₯
23,900 π’
23,800 π’
ββββββββββββββββββ
π SIMPLE TRADING PLAN
π’ ABOVE 24,300
BUY ON CONFIRMATION
24,350
β
24,400
β
24,450
β
24,500
β‘οΈ Breakout + Retest strategy preferred.
π΄ BELOW 24,200
SELL ON CONFIRMATION
24,150
β
24,100
β
24,050
β
24,000
β‘οΈ Breakdown + Retest strategy preferred.
π‘ 24,200 β 24,300
WAIT & WATCH
β‘οΈ Whipsaw / sideways movement possible.
ββββββββββββββββββ
π₯ BEST SETUP OF THE DAY
Aaj opening gap-up hai aur
price already 24,250β24,300 zone me hai.
Isliye:
β Opening me blindly CE/PE avoid karein.
WAIT FOR CONFIRMATION.
π’ SETUP 1 β CE
24,300 BREAK
+
15-min CLOSE ABOVE
+
RETEST HOLD
β‘οΈ CE Bias π’
Targets:
24,350 β 24,400 β 24,450 β 24,500
π΄ SETUP 2 β PE
24,250β24,300 REJECTION
+
24,200 BREAK
+
RETEST FAILURE
β‘οΈ PE Bias π΄
Targets:
24,150 β 24,100 β 24,050 β 24,000
π‘ SETUP 3 β NO TRADE
24,200β24,300 ke andar
price repeatedly reject/accept ho.
β‘οΈ Wait.
ββββββββββββββββββ
π‘ SPECIAL FII OBSERVATION
FIIs ke paas abhi bhi:
~21.2 lakh net Index Future SHORT
position hai.
Lekin aaj:
π’ Call Buying
+
π΄ Put Selling
+
Fresh Future Shorting relatively small
dikh raha hai.
β‘οΈ Agar NIFTY 24,300 ke upar sustain karta hai,
to FII short covering market ko accelerate
kar sakti hai.
Is situation me:
24,350
β 24,400
β 24,450
β 24,500
ka move relatively fast aa sakta hai.
Lekin agar 24,300 repeatedly reject hota hai,
to existing FII shorts upside ko cap kar sakte hain.
ββββββββββββββββββ
β TODAY'S MARKET VERDICT
π Opening:
GAP-UP +52 POINTS
π Overall:
MIXED β SLIGHTLY BULLISH
π Major Decision:
24,250β24,300
π Bullish Trigger:
24,300+
π Bearish Trigger:
24,200-
π Major Support:
24,000β24,050
π Major Resistance:
24,400β24,500
π Best Approach:
LEVEL-BASED TRADING
π₯ ABOVE 24,300:
Bullish β CE side
π΄ BELOW 24,200:
Bearish β PE side
π‘ 24,200β24,300:
WAIT / AVOID AGGRESSIVE TRADE
ββββββββββββββββββ
β οΈ DISCLAIMER
1 470
π NIFTY 50 β PRE-MARKET ANALYSIS
π
21 August 2026
πΉ Previous Close: 24,231.85
πΉ Pre-Market: 24,284.05
πΉ Gap-Up: +52.20 Points
πΉ Gap-Up %: ~+0.22%
β‘οΈ Opening Bias: GAP-UP
β‘οΈ Overall Bias: MIXED β SLIGHTLY BULLISH
β‘οΈ Key Decision Zone: 24,250β24,300
ββββββββββββββββββ
π FII, DII & CLIENTS DATA ANALYSIS
π’ CLIENTS
β’ Index Future: Sold Net -12,103
β’ Index Call: Sold Net -1,61,624
β’ Index Put: Bought Net +22,157
β’ Stock Future: Sold Net -11,954
β’ Stock Calls: Sold Net -1,52,920
β’ Stock Puts: Bought Net +50,112
π Clients ka current positioning
overall cautious / bearish side par hai.
Index Future:
Aug 18 β +1,73,796
Aug 19 β +1,85,408
Aug 20 β +1,73,305
Aug 21 β -12,103 change
β‘οΈ Existing long position me reduction
dikh rahi hai.
Index Call:
β‘οΈ Heavy Call Selling
Index Put:
β‘οΈ Put Buying
π Iska matlab:
Clients upside par cautious hain aur
downside protection/bearish positioning
rakh rahe hain.
π΄ CLIENT BIAS = BEARISH / CAUTIOUS
ββββββββββββββββββ
π΄ FIIs
β’ Index Future: Sold Net -2,306
β’ Index Call: Bought Net +79,793
β’ Index Put: Sold Net -92,708
β’ Stock Future: Bought Net +49,161
β’ Stock Calls: Bought Net +1,698
β’ Stock Puts: Sold Net -2,411
β οΈ FII ka futures position abhi bhi
overall heavily SHORT hai.
Recent Index Future Net Position:
Aug 18 β -1,94,158
Aug 19 β -2,09,807
Aug 20 β -2,12,113
β‘οΈ FII futures shorts increase hue hain.
Lekin TODAY:
Index Future change β -2,306
β‘οΈ Fresh aggressive shorting nahi hui.
Aur important:
π’ Index Call Bought +79,793
π΄ Index Put Sold -92,708
β‘οΈ Ye combination short-term bullish /
short-covering bias ko support karta hai.
π Isliye FII data ko sirf futures short
dekhkar bearish nahi maana chahiye.
π΄ Medium-term positioning β Bearish
π’ Today's option positioning β Bullish
β‘οΈ FII BIAS = MIXED / SHORT-COVERING POTENTIAL
ββββββββββββββββββ
π’ PROs
β’ Index Future: Bought Net +14,700
β’ Index Call: Bought Net +80,960
β’ Index Put: Bought Net +70,402
β’ Stock Future: Sold Net -25,575
β’ Stock Calls: Bought Net +1,45,817
β’ Stock Puts: Sold Net -47,958
π₯ PROs ka positioning interesting hai.
Index Future Buying
+
Call Buying
+
Put Buying
β‘οΈ Directional bullishness ke saath
strong hedging bhi hai.
π PROs downside ko hedge karte hue
upside participation ke liye positioned hain.
π’ PRO BIAS = BULLISH / HEDGED
ββββββββββββββββββ
π‘ DIIs
β’ Index Future: Sold Net -291
β’ Index Call: Bought Net +871
β’ Index Put: Bought Net +150
β’ Stock Future: Sold Net -11,632
β’ Stock Calls: Bought Net +5,405
β’ Stock Puts: Bought Net +257
β‘οΈ Index positioning bahut small hai.
π‘ DII BIAS = NEUTRAL
ββββββββββββββββββ
π OVERALL INVESTOR SENTIMENT
Clients β π΄ BEARISH / CAUTIOUS
FIIs β π‘ MIXED
Futures SHORT
But Calls BUY + Puts SELL
PROs β π’ BULLISH / HEDGED
DIIs β π‘ NEUTRAL
ββββββββββββββββββ
π₯ IMPORTANT OBSERVATION
Aaj ka data ek interesting setup bana raha hai:
CLIENTS
π΄ Bearish
FIIs
π΄ Existing Futures Shorts
π’ Call Buying
π’ Put Selling
PROs
π’ Future Buying
π’ Call Buying
π’ Put Buying
DIIs
π‘ Neutral
β‘οΈ Overall:
MIXED β SLIGHTLY BULLISH
Lekin FII futures short position ki wajah se
upar ke levels par selling pressure ko ignore
nahi karna chahiye.
ββββββββββββββββββ
π NIFTY 1H CHART ANALYSIS
Previous Close:
24,231.85
Pre-Market:
24,284.05
Gap:
+52.20 Points
π NIFTY recent chart me:
24,650+
β
24,500
β
24,400
β
24,300
β
24,200
β
24,050
tak correction hua hai.
Ab 24,050 ke area se recovery aayi hai.
Current price:
24,231.85
Pre-market:
24,284.05
β‘οΈ Price ab recovery ke baad
24,250β24,300 resistance zone me hai.
Isliye aaj ka main question:
π₯ KYA 24,300 BREAK HOGA?
ββββββββββββββββββ
π₯ TODAY'S KEY DECISION ZONE
24,250 β 24,300
Ye aaj ka sabse important zone hai.
Pre-market:
24,284
already isi zone ke andar hai.
Isliye opening ke baad:
24,300 ke upar sustain
β
BULLISH
24,250 ke neeche rejection
β
CAUTION
24,200 ke neeche
β
BEARISH
ββββββββββββββββββ
π’ BULLISH SCENARIO
Agar NIFTY:
24,300 BREAK
+
15-minute candle close above 24,300
1 470
24,200β24,250 zone se rejection aaye
AND
24,150 ke neeche weakness aaye
to gap-fill / correction possible hai.
π― Target 1 β 24,100
π― Target 2 β 24,050
π― Target 3 β 24,000
π― Target 4 β 23,900
Agar selling strong ho:
π― 23,800
bhi possible hai.
π PE Strategy:
24,200β24,250 rejection
+
24,150 breakdown
+
retest failure
β‘οΈ PE side momentum trade consider karein.
ββββββββββββββββββ
β‘ GAP-FILL SCENARIO
Aaj ka gap:
24,078.30
β
24,225.45
= +147 points
Agar NIFTY opening ke baad
24,200 ke neeche aa jata hai,
to gap-up failure ka signal milega.
Agar:
24,150 break
+
24,100 break
ho jata hai,
to previous close:
π― 24,078
ki taraf gap-fill move possible hai.
Uske neeche:
π― 24,050
π― 24,000
important targets rahenge.
ββββββββββββββββββ
π’ IMPORTANT SUPPORT LEVELS
24,200 β Immediate Support / Decision Level
24,150 β Key Support
24,100 β Strong Support
24,050 β Support
24,000 β π₯ Major Psychological Support
23,900 β Strong Support
23,800 β Major Swing Support
π΄ IMPORTANT RESISTANCE LEVELS
24,250 β β‘ Immediate Resistance
24,300 β Strong Resistance
24,350 β Resistance
24,400 β π₯ Major Resistance
24,450 β Strong Resistance
24,500 β Major Resistance
24,600 β Major Resistance
24,650 β Swing High
ββββββββββββββββββ
π― TODAY'S KEY LEVELS
24,650 π΄
24,600 π΄
24,500 π΄
24,450 π΄
24,400 π΄
24,350 π΄
24,300 π΄
24,250 β‘ KEY
βββββββββββββ
24,225 PRE-MARKET
βββββββββββββ
24,200 β‘ KEY
24,150 π‘
24,100 π’
24,050 π’
24,000 π₯
23,900 π’
23,800 π’
ββββββββββββββββββ
π SIMPLE TRADING PLAN
π’ ABOVE 24,250
BUY ON CONFIRMATION
24,300
β
24,350
β
24,400
β
24,450
β
24,500
β‘οΈ Breakout + Retest strategy preferred.
π΄ BELOW 24,150
SELL ON CONFIRMATION
24,100
β
24,050
β
24,000
β
23,900
β‘οΈ Breakdown + Retest Failure preferred.
π‘ 24,150 β 24,250
WAIT & WATCH
β‘οΈ Choppy / whipsaw zone possible.
ββββββββββββββββββ
π₯ BEST SETUP OF THE DAY
Because today is a GAP-UP opening,
β First candle ko blindly follow mat karein.
Instead:
WAIT FOR 15-MINUTE PRICE ACTION.
Scenario 1:
24,250 BREAK
+
RETEST HOLD
β‘οΈ CE Bias π’
Scenario 2:
24,200 REJECTION
+
24,150 BREAK
+
RETEST FAILURE
β‘οΈ PE Bias π΄
Scenario 3:
24,150β24,250 range
β‘οΈ NO TRADE / WAIT
ββββββββββββββββββ
π‘ IMPORTANT OBSERVATION
Aaj ka setup interesting hai:
NIFTY:
π₯ +147 point Gap-Up
Clients:
π’ Bullish
PROs:
π’ Bullish / Hedged
FIIs:
π΄ Futures Short
π΄ Heavy Call Selling
π΄ Put Long
Isliye gap-up ko immediately
"strong bullish trend" nahi maana ja sakta.
FIIs ka positioning suggest karta hai ki
24,250β24,400 zone me selling pressure
aa sakta hai.
Lekin agar NIFTY 24,250 ke upar sustain
kar gaya to short covering bhi aa sakti hai.
β‘οΈ Isliye 24,250 breakout bahut important hai.
ββββββββββββββββββ
β TODAY'S MARKET VERDICT
π Opening:
GAP-UP
π Overall:
MIXED
π Short-Term:
NEUTRAL TO BEARISH
π Bullish Trigger:
24,250+
π Bearish Trigger:
24,150-
π Major Support:
24,000
π Major Resistance:
24,400
π Best Approach:
LEVEL-BASED TRADING
π₯ ABOVE 24,250:
Bullish β CE side
π΄ BELOW 24,150:
Bearish β PE side
π‘ 24,150β24,250:
Wait / Avoid aggressive trade
ββββββββββββββββββ
β οΈ DISCLAIMER
Ye analysis educational purpose ke liye hai.
Ye SEBI-registered investment advice nahi hai
aur koi guaranteed Buy/Sell recommendation
nahi hai.
Options trading me high risk hota hai.
Proper position sizing aur strict stop-loss
ka use karein.
#Nifty50 #Nifty #PreMarketAnalysis
#FII #DII #ClientData #NiftyLevels
#OptionTrading #StockMarket #LearnWithMarket
1 470
π NIFTY 50 β PRE-MARKET ANALYSIS
π
20 August 2026
πΉ Previous Close: 24,078.30
πΉ Pre-Market: 24,225.45
πΉ Gap-Up: +147.15 Points
πΉ Gap-Up %: ~+0.61%
β‘οΈ Opening Bias: GAP-UP BUT CAUTIOUS
β‘οΈ Short-Term Bias: NEUTRAL TO BEARISH
β‘οΈ Key Decision Zone: 24,200β24,250
ββββββββββββββββββ
π FII, DII & CLIENTS DATA ANALYSIS
π’ CLIENTS
β’ Index Future: Bought Net +11,612
β’ Index Call: Sold Net -22,677
β’ Index Put: Sold Net -15,419
β’ Stock Future: Bought Net +8,572
β’ Stock Calls: Sold Net -20,236
β’ Stock Puts: Sold Net -11,732
π Clients ka Index Future position bullish hai.
Lekin:
Index Future:
18 Aug β +1,73,796
19 Aug β +1,85,408
β‘οΈ Net long position increase hui.
Index Call:
19 Aug β +2,95,638
20 Aug β +2,72,961
β‘οΈ Call buying position reduce hui.
Index Put:
19 Aug β -6,97,400
20 Aug β -7,12,819
β‘οΈ Put shorting increase hui.
π₯ Call position reduce hone ke bawajood
Put selling increase hui hai.
β‘οΈ Clients ka overall positioning
abhi bhi mildly BULLISH hai.
π’ CLIENT BIAS = BULLISH
ββββββββββββββββββ
π΄ FIIs
β’ Index Future: Sold Net -15,649
β’ Index Call: Sold Net -81,925
β’ Index Put: Sold Net -39,456
β’ Stock Future: Bought Net +11,774
β’ Stock Calls: Sold Net -15,474
β’ Stock Puts: Bought Net +457
β οΈ FIIs ka data aaj ka sabse important
warning signal hai.
Index Future:
18 Aug β -1,94,158
19 Aug β -2,09,807
β‘οΈ FII short position aur increase hui.
Change:
-15,649
Aur:
Index Call:
19 Aug β -2,31,661
20 Aug β -3,13,586
β‘οΈ Heavy Call Selling increase hui.
Index Put:
19 Aug β +6,11,080
20 Aug β +5,71,624
β‘οΈ Put buying thodi reduce hui,
lekin abhi bhi strong Put Long position hai.
π Futures Short + Heavy Call Selling
= Upside par strong resistance ka signal.
π΄ FII BIAS = BEARISH
ββββββββββββββββββ
π‘ PROs
β’ Index Future: Bought Net +7,541
β’ Index Call: Bought Net +1,04,601
β’ Index Put: Bought Net +57,977
β’ Stock Future: Sold Net -9,448
β’ Stock Calls: Bought Net +39,041
β’ Stock Puts: Bought Net +11,397
π₯ PROs ne aaj:
Index Future Buying
+
Index Call Buying
+
Index Put Buying
ki hai.
β‘οΈ Directional bullish position ke saath
hedging bhi dikh rahi hai.
π’ PRO BIAS = BULLISH / VOLATILE
ββββββββββββββββββ
π‘ DIIs
β’ Index Future: Sold Net -3,504
β’ Index Call: 0
β’ Index Put: Sold Net -3,104
β’ Stock Future: Sold Net -10,898
β’ Stock Calls: Sold Net -6,331
β’ Stock Puts: Sold Net -122
π DII Index positions relatively small hain.
π‘ DII BIAS = NEUTRAL
ββββββββββββββββββ
π OVERALL INVESTOR SENTIMENT
π’ Clients β BULLISH
π΄ FIIs β BEARISH
π’ PROs β BULLISH / HEDGED
π‘ DIIs β NEUTRAL
β‘οΈ OVERALL SENTIMENT:
β οΈ MIXED
Lekin important observation:
CLIENTS + PROs
β
Bullish Positioning
FIIs
β
Strong Bearish Positioning
Isliye aaj gap-up ke baad
VOLATILITY high reh sakti hai.
ββββββββββββββββββ
π NIFTY 1H CHART ANALYSIS
Previous Close:
24,078.30
Pre-Market:
24,225.45
Gap:
+147.15
π NIFTY ne previous close ke comparison
me strong gap-up diya hai.
Lekin chart structure dekhein:
Recent High
~24,650
β
24,500
β
24,400
β
24,300
β
24,200
β
24,050
β‘οΈ Overall recent trend abhi bhi
DOWNWARD / CORRECTIVE hai.
Isliye:
GAP-UP β CONFIRMED BULLISH TREND
ββββββββββββββββββ
π₯ TODAY'S MOST IMPORTANT ZONE
24,200 β 24,250
Ye zone aaj ka major decision area hai.
Pre-market already:
24,225
par hai.
Isliye opening ke baad yahi dekhein:
24,250 ke upar sustain?
YA
24,200 ke neeche rejection?
ββββββββββββββββββ
π’ BULLISH SCENARIO
Agar NIFTY:
24,200β24,250 ko HOLD kare
AND
24,250 ke upar breakout de
AND
15-minute candle 24,250 ke upar sustain kare
AND
retest successful ho,
to bullish momentum continue ho sakta hai.
π― Target 1 β 24,300
π― Target 2 β 24,350
π― Target 3 β 24,400
π― Target 4 β 24,450
Strong momentum me:
π― 24,500
tak bhi move possible hai.
π CE Strategy:
24,250 BREAKOUT
+
15-min confirmation
+
RETEST HOLD
β‘οΈ CE side momentum trade consider karein.
β Direct opening candle me CE chase
karna avoid karein.
ββββββββββββββββββ
π΄ BEARISH SCENARIO
Agar gap-up ke baad:
1 470
π― Target 1 β 24,050
π― Target 2 β 24,000
π― Target 3 β 23,900
π― Target 4 β 23,800
π SL β 24,160 / price-action based
π Best PE setup:
24,100 BREAKDOWN
+
RETEST FAILURE
+
BEARISH CONFIRMATION
β‘οΈ Tab PE momentum trade consider
kiya ja sakta hai.
ββββββββββββββββββ
β οΈ NO-TRADE / WAITING ZONE
24,100 β 24,200
Agar NIFTY isi range me consolidate karta hai:
β Aggressive CE avoid
β Aggressive PE avoid
β First candle ko chase mat karein
β‘οΈ Breakout/breakdown ka wait karein.
ββββββββββββββββββ
π₯ TODAY'S KEY LEVELS
24,500 β π΄ Major Resistance
24,450 β π΄ Resistance
24,400 β π΄ Strong Resistance
24,350 β π΄ Resistance
24,300 β π΄ Strong Resistance
24,250 β π΄ Resistance
24,200 β β‘ Key Resistance
24,150 β β‘ Decision Level
24,100 β π’ Key Support
24,050 β π’ Support
24,000 β π₯ Major Support
23,900 β π’ Support
23,800 β π’ Major Support
ββββββββββββββββββ
π SIMPLE TRADING PLAN
π’ ABOVE 24,200
BUY ON CONFIRMATION
24,250
β
24,300
β
24,350
β
24,400
π΄ BELOW 24,100
SELL ON CONFIRMATION
24,050
β
24,000
β
23,900
β
23,800
π‘ BETWEEN 24,100β24,200
WAIT & WATCH
ββββββββββββββββββ
β TODAY'S MARKET VERDICT
π΄ SHORT-TERM BIAS:
NEUTRAL TO BEARISH
ΰ€²ΰ₯ΰ€ΰ€Ώΰ€¨ market me ek important
bullish factor bhi hai:
π₯ CLIENTS:
Index Call Buying +2,00,037
Index Put Selling -36,634
Ye downside ko support de sakta hai.
Lekin opposite side:
π΄ FIIs:
Index Future Short -12,571
Index Put Buying +1,08,625
Aur:
β οΈ PROs:
Index Call Selling -1,96,860
Isliye upside par resistance aur
downside par volatility dono possible hain.
ββββββββββββββββββ
π― TODAY'S MAIN BATTLE
24,100 β 24,200
Agar:
24,100 HOLD
+
24,200 RECLAIM
β‘οΈ Bullish recovery
β‘οΈ 24,250 β 24,300 β 24,350
Lekin:
24,100 BREAK
+
RETEST FAILURE
β‘οΈ Bearish continuation
β‘οΈ 24,050 β 24,000 β 23,900
ββββββββββββββββββ
π‘ IMPORTANT OBSERVATION
Aaj pre-market previous close ke almost
barabar hai.
Isliye gap direction se trade decide
karne ke bajay:
β
First 15-minute range
β
24,100 support
β
24,200 resistance
ko monitor karna better rahega.
24,200 ke upar sustain =
Bullish confirmation
24,100 ke neeche sustain =
Bearish confirmation
24,100β24,200 =
WAITING ZONE
ββββββββββββββββββ
β οΈ DISCLAIMER
Ye analysis educational purpose ke liye hai.
Ye SEBI-registered investment advice nahi hai
aur koi guaranteed Buy/Sell recommendation
nahi hai.
Options trading me high risk hota hai.
Proper position sizing aur strict stop-loss
ka use karein.
#Nifty50 #Nifty #PreMarketAnalysis
#FII #DII #ClientData #NiftyLevels
#OptionTrading #StockMarket #LearnWithMarket
1 470
π NIFTY 50 β PRE-MARKET ANALYSIS
π
19 August 2026
πΉ Previous Close: 24,154.90
πΉ Pre-Market: 24,152.05
πΉ Gap: -2.85 Points
β‘οΈ Opening Bias: NEUTRAL TO BEARISH
ββββββββββββββββββ
π FII, DII & CLIENTS DATA ANALYSIS
π’ CLIENTS
β’ Index Future: Bought Net +13,205
β’ Index Call: Bought Net +2,00,037
β’ Index Put: Sold Net -36,634
β’ Stock Future: Bought Net +31,505
β’ Stock Calls: Bought Net +36,310
β’ Stock Puts: Sold Net -28,121
π₯ Clients ka Index positioning strongly bullish
side par shift hua hai.
Index Call position:
17 Aug β +95,601
18 Aug β +2,95,638
β‘οΈ Call buying me bahut strong increase.
Index Put:
18 Aug β -6,60,766
19 Aug β -6,97,400
β‘οΈ Put shorting bhi continue hai.
π Call Buying + Put Selling
generally bullish positioning ko indicate
karta hai.
π’ CLIENT BIAS = BULLISH
ββββββββββββββββββ
π΄ FIIs
β’ Index Future: Sold Net -12,571
β’ Index Call: Sold Net -3,136
β’ Index Put: Bought Net +1,08,625
β’ Stock Future: Sold Net -22,613
β’ Stock Calls: Sold Net -15,390
β’ Stock Puts: Bought Net +922
β οΈ Sabse important:
FII Index Future position:
17 Aug β -1,81,587
18 Aug β -1,94,158
β‘οΈ FII short position aur increase hui.
Aaj bhi:
Index Future β -12,571
Aur Index Put Buying:
π₯ +1,08,625
β‘οΈ FIIs downside protection / bearish
positioning maintain kar rahe hain.
π΄ FII BIAS = BEARISH
ββββββββββββββββββ
π‘ PROs
β’ Index Future: Sold Net -668
β’ Index Call: Sold Net -1,96,860
β’ Index Put: Sold Net -72,889
β’ Stock Future: Sold Net -10,365
β’ Stock Calls: Sold Net -9,785
β’ Stock Puts: Bought Net +27,269
π PROs ne Call aur Put dono side selling ki hai.
Lekin Call Selling ka size bahut bada hai.
β‘οΈ Upside par resistance / capped upside
ka indication mil raha hai.
π‘ PRO BIAS = NEUTRAL TO BEARISH
ββββββββββββββββββ
π‘ DIIs
β’ Index Future: Bought Net +34
β’ Index Call: Sold Net -40
β’ Index Put: Bought Net +900
β’ Stock Future: Bought Net +1,473
β’ Stock Calls: Sold Net -11,135
β’ Stock Puts: Sold Net -70
π DII Index Future almost neutral hai.
π‘ DII BIAS = NEUTRAL
ββββββββββββββββββ
π OVERALL INVESTOR SENTIMENT
π’ Clients β BULLISH
π΄ FIIs β BEARISH
π‘ PROs β NEUTRAL TO BEARISH
π‘ DIIs β NEUTRAL
β‘οΈ OVERALL:
β οΈ MIXED BUT SLIGHTLY BEARISH
Sabse important conflict:
CLIENTS:
π₯ Call Buying + Put Selling
β Bullish
FIIs:
π΄ Futures Short + Heavy Put Buying
β Bearish
PROs:
β οΈ Heavy Call Selling
β Upside Resistance
Isliye aaj market me direct directional trade
ke bajay LEVEL-BASED trading better rahegi.
ββββββββββββββββββ
π NIFTY 1H CHART ANALYSIS
Previous Close:
24,154.90
Pre-Market:
24,152.05
Current area:
~24,150
Chart ke according recent high zone:
24,600β24,650
se correction aaya hai.
Recent structure:
24,650
β
24,500
β
24,400
β
24,300
β
24,200
β
24,150
β‘οΈ Short-term structure abhi weak hai.
ββββββββββββββββββ
π’ IMPORTANT SUPPORT LEVELS
24,150 β β‘ Immediate Decision Level
24,100 β π’ Strong Support
24,050 β π’ Support
24,000 β π₯ Major Psychological Support
23,900 β π’ Next Support
23,800 β Major Swing Support
π΄ IMPORTANT RESISTANCE LEVELS
24,200 β β‘ Immediate Resistance
24,250 β Resistance
24,300 β π₯ Strong Resistance
24,350 β Resistance
24,400 β Major Resistance
24,450 β Strong Resistance
24,500 β Major Resistance
ββββββββββββββββββ
π₯ TODAY'S MOST IMPORTANT ZONE
24,100 β 24,200
Aaj ka major decision zone hai.
Pre-market 24,152 ke paas hai,
isliye opening ke baad isi zone ka
reaction important rahega.
ββββββββββββββββββ
π’ BULLISH SETUP
Agar:
24,150β24,100 zone HOLD kare
AND
24,200 ke upar breakout mile
AND
15-minute candle 24,200 ke upar sustain kare,
to recovery possible hai.
π― Target 1 β 24,250
π― Target 2 β 24,300
π― Target 3 β 24,350
π― Target 4 β 24,400
π SL β 24,150 ke neeche
(price action ke according adjust karein)
π Best CE setup:
24,200 BREAKOUT
+
RETEST
+
BULLISH CONFIRMATION
β‘οΈ Tab CE momentum trade consider kiya ja
sakta hai.
ββββββββββββββββββ
π΄ BEARISH SETUP
Agar:
24,100 break hota hai
AND
15-minute candle 24,100 ke neeche sustain karti hai,
to downside continuation possible hai.
1 470
π― Target 1 β 24,150
π― Target 2 β 24,100
π― Target 3 β 24,000
π― Target 4 β 23,900
π SL β 24,260 / price-action based
π Best setup:
24,200 BREAKDOWN
+
RETEST FAILURE
+
BEARISH CONFIRMATION
β‘οΈ Tab PE side momentum trade consider
kiya ja sakta hai.
ββββββββββββββββββ
β οΈ NO-TRADE / WAITING ZONE
24,200 β 24,300
Agar market is range me hi consolidate karta hai:
β Aggressive CE avoid
β Aggressive PE avoid
β First candle ko chase mat karein
β‘οΈ Breakout ya breakdown ka wait karein.
ββββββββββββββββββ
π₯ TODAY'S KEY LEVELS
24,500 β π΄ Major Resistance
24,450 β π΄ Resistance
24,400 β π΄ Resistance
24,350 β π΄ Strong Resistance
24,300 β β‘ Immediate Resistance
24,250 β β‘ Intraday Decision Area
24,200 β π’ Major Support
24,150 β π’ Support
24,100 β π’ Support
24,000 β π’ Major Support
23,900 β π’ Next Support
ββββββββββββββββββ
π SIMPLE TRADING PLAN
π’ ABOVE 24,300
BUY ON CONFIRMATION
24,350
β
24,400
β
24,450
β
24,500
π΄ BELOW 24,200
SELL ON CONFIRMATION
24,150
β
24,100
β
24,000
β
23,900
π‘ BETWEEN 24,200β24,300
WAIT & WATCH
ββββββββββββββββββ
β TODAY'S MARKET VERDICT
π΄ SHORT-TERM BIAS:
BEARISH TO NEUTRAL
π Reason:
β’ 63.80 point Gap Down
β’ FIIs Index Futures me short
β’ FII short position further increased
β’ PROs Put Buying
β’ Recent 1H chart structure weak
β’ Price important 24,200 support ke paas
Lekin:
β οΈ Clients ne Put Shorts increase kiye hain.
Isliye 24,200 ke paas direct PE chase
karna risky ho sakta hai.
ββββββββββββββββββ
π₯ TODAY'S MAIN BATTLE
24,200 β 24,300
Agar:
24,200 HOLD
+
24,300 RECLAIM
β‘οΈ Short covering / recovery
β‘οΈ 24,350 β 24,400 β 24,450
Lekin:
24,200 BREAK
+
RETEST FAILURE
β‘οΈ Downside continuation
β‘οΈ 24,150 β 24,100 β 24,000
ββββββββββββββββββ
π‘ SPECIAL OBSERVATION
Aaj ka sabse important level:
π― 24,200
Is level ko sirf touch hone par
BUY/SELL nahi karna hai.
Price action dekhein:
β
24,200 support + reversal
β Bounce setup
β 24,200 breakdown + failed retest
β PE momentum setup
Aur upside me:
β
24,300 breakout + successful retest
β CE momentum setup
β 24,300 rejection
β Downside pressure continue ho sakta hai.
ββββββββββββββββββ
β οΈ DISCLAIMER
Ye analysis educational purpose ke liye hai.
Ye SEBI-registered investment advice nahi hai
aur koi guaranteed Buy/Sell recommendation nahi hai.
Options trading me high risk hota hai.
Proper position sizing aur strict stop-loss
ka use karein.
#Nifty50 #Nifty #PreMarketAnalysis
#FII #DII #ClientData #NiftyLevels
#OptionTrading #StockMarket #LearnWithMarket
1 470
π NIFTY 50 β PRE-MARKET ANALYSIS
π
18 August 2026
πΉ Previous Close: 24,287.65
πΉ Pre-Market: 24,223.85
π» Gap Down: -63.80 points
β‘οΈ Opening Bias: BEARISH / WEAK
ββββββββββββββββββ
π FII, DII & CLIENTS DATA ANALYSIS
π’ CLIENTS
β’ Index Future: Bought Net +4,909
β’ Index Call: Sold Net -36,978
β’ Index Put: Sold Net -53,074
β’ Stock Future: Bought Net +18,461
β’ Stock Calls: Bought Net +19,264
β’ Stock Puts: Sold Net -13,383
π Clients ka Futures positioning positive hai.
Lekin Index Calls aur Index Puts dono me
net selling hai.
Sabse important:
Index Put position:
17 Aug β -6,07,766
18 Aug β -6,60,766
β‘οΈ Clients ne Put Shorts aur increase kiye hain.
Iska matlab downside ke neeche
support expectation ho sakti hai,
lekin gap-down ke baad price action
confirmation zaroori hai.
π’ CLIENT BIAS = MILD BULLISH / SUPPORTIVE
π΄ FIIs
β’ Index Future: Sold Net -4,889
β’ Index Call: Bought Net +48,120
β’ Index Put: Bought Net +5,279
β’ Stock Future: Bought Net +3,707
β’ Stock Calls: Sold Net -8,639
β’ Stock Puts: Bought Net +142
π FIIs ka Index Future abhi bhi SELL side par hai.
Latest Index Future position:
17 Aug β -1,76,698
18 Aug β -1,81,587
β‘οΈ FII short position further increase hui.
Saath me Index Call Buying bhi strong hai.
π΄ FII BIAS = BEARISH / DEFENSIVE
π‘ PROs
β’ Index Future: Sold Net -269
β’ Index Call: Sold Net -11,203
β’ Index Put: Bought Net +52,088
β’ Stock Future: Bought Net +117
β’ Stock Calls: Sold Net -12,521
β’ Stock Puts: Bought Net +13,649
π PROs ka Index Future almost neutral hai.
Lekin:
π₯ Index Put Buy +52,088
Yani downside protection / volatility
expectation important hai.
π‘ PRO BIAS = NEUTRAL TO BEARISH
π‘ DIIs
β’ Index Future: Bought Net +249
β’ Index Call: Bought Net +60
β’ Index Put: Sold Net -4,295
β’ Stock Future: Sold Net -22,285
β’ Stock Calls: Bought Net +1,896
β’ Stock Puts: Sold Net -408
π DII Index Future almost neutral hai,
lekin Stock Futures me selling hai.
π‘ DII BIAS = NEUTRAL
ββββββββββββββββββ
π OVERALL INVESTOR SENTIMENT
π’ Clients β Mild Bullish / Put Support
π΄ FIIs β Bearish / Short Futures
π‘ PROs β Neutral-Bearish / Put Buying
π‘ DIIs β Neutral
β‘οΈ OVERALL BIAS:
π΄ BEARISH TO NEUTRAL
Sabse important observation:
FIIs:
β Index Future Short
β Short position increased
PROs:
β οΈ Put Buying
Clients:
π’ Put Shorts increased
Isliye market me immediate downside pressure
ho sakta hai, lekin 24,200 ke aas-paas
strong reaction bhi aa sakta hai.
ββββββββββββββββββ
π NIFTY 1H CHART ANALYSIS
Pre-Market:
24,223.85
Previous Close:
24,287.65
Gap:
-63.80 points
Chart ke hisaab se recent structure me
24,600β24,650 ke area se correction aaya hai.
Recent price action:
24,600+
β
24,450
β
24,350
β
24,300
β
24,200 area
β‘οΈ Short-term structure abhi weak hai.
ββββββββββββββββββ
π’ IMPORTANT SUPPORT LEVELS
24,200 β π₯ Major Immediate Support
24,150 β Strong Support
24,100 β Next Support
24,000 β π₯ Major Psychological Support
23,900 β Next Major Support
π΄ IMPORTANT RESISTANCE LEVELS
24,300 β Immediate Resistance
24,350 β Strong Resistance
24,400 β Major Resistance
24,450 β Strong Resistance
24,500 β Major Resistance
24,550 β Higher Resistance
ββββββββββββββββββ
π¨ TODAY'S MOST IMPORTANT ZONE
π₯ 24,200 β 24,300
Ye aaj ka major decision zone hai.
Pre-market 24,223.85 par hai,
matlab opening directly important
support ke paas ho sakti hai.
Is zone me first move ko chase
karna avoid karna better hai.
ββββββββββββββββββ
π’ BULLISH SETUP
Agar market 24,200 ke upar support leta hai
AND
24,300 ko reclaim karta hai
AND
15-minute candle 24,300 ke upar sustain karti hai,
to recovery possible hai.
π― Target 1 β 24,350
π― Target 2 β 24,400
π― Target 3 β 24,450
π― Target 4 β 24,500
π SL β 24,240 / price-action based
π Best setup:
24,300 BREAKOUT
+
RETEST
+
BULLISH CONFIRMATION
β‘οΈ Tab CE side momentum trade consider
kiya ja sakta hai.
ββββββββββββββββββ
π΄ BEARISH SETUP
Agar market 24,200 ke neeche break karta hai
AND
15-minute candle 24,200 ke neeche sustain karti hai,
to downside continuation possible hai.
1 470
ββββββββββββββββββ
β οΈ NO-TRADE / WAITING ZONE
24,300 β 24,450
Is range ke beech aggressive CE/PE buying
avoid karna better hai.
Kyunki:
β’ Pre-market negative hai
β’ FII Futures short hai
β’ Clients Futures positive hain
β’ PROs options me aggressive buying kar rahe hain
β’ Price 24,300β24,450 ke decision zone me hai
β‘οΈ Range ke middle me false breakout/whipsaw
ka risk rahega.
ββββββββββββββββββ
π₯ TODAY'S MOST IMPORTANT LEVELS
24,650 β π΄ Major Resistance
24,600 β π΄ Resistance
24,550 β π΄ Resistance
24,500 β π΄ Major Breakout
24,450 β π΄ Strong Resistance
24,400 β β‘ Immediate Resistance
24,350 β β‘ Decision Level
24,300 β π’ Strong Support
24,250 β π’ Major Support
24,200 β π’ Support
24,100 β π’ Next Support
24,000 β π’ Major Support
ββββββββββββββββββ
π SIMPLE TRADING PLAN
π’ ABOVE 24,450
BUY ON CONFIRMATION
24,500
β
24,550
β
24,600
β
24,650
π΄ BELOW 24,300
SELL ON CONFIRMATION
24,250
β
24,200
β
24,100
β
24,000
π‘ BETWEEN 24,300β24,450
WAIT
β No aggressive CE
β No aggressive PE
β Avoid chasing first move
ββββββββββββββββββ
β TODAY'S MARKET VERDICT
MARKET BIAS:
π‘ NEUTRAL β RANGE WITH HIGH VOLATILITY POTENTIAL
Pre-market:
24,343.45
Previous Close:
24,366.00
Market is opening approximately
22.55 points lower.
π Aaj ka MAIN BATTLE:
π₯ 24,300 β 24,450
24,450 ke upar sustain:
β‘οΈ π’ Buyers stronger
β‘οΈ 24,500β24,600 possible
24,300 ke neeche sustain:
β‘οΈ π΄ Sellers stronger
β‘οΈ 24,250β24,100 possible
24,300β24,450 ke beech:
β‘οΈ π‘ Range / Avoid aggressive entry
ββββββββββββββββββ
π‘ SPECIAL OBSERVATION
FII data bearish hai because
Index Future short position
-1,76,698 tak pahunch chuki hai.
Lekin PROs ne:
π₯ Call Buy +49,637
π₯ Put Buy +99,219
kiya hai.
Clients bhi Index Futures me
+6,296 aur Stock Futures me
+15,935 net bought hain.
β‘οΈ Isliye downside ko immediately chase
karna bhi risky ho sakta hai.
π Best approach:
"LEVEL BREAK + PRICE ACTION CONFIRMATION"
Investor data ko confirmation ke liye use karein,
entry ka trigger price action se rakhein.
ββββββββββββββββββ
β οΈ DISCLAIMER
Ye analysis educational purpose ke liye hai.
Ye SEBI-registered investment advice nahi hai
aur koi guaranteed Buy/Sell recommendation nahi hai.
Options trading me high risk hota hai.
Proper position sizing aur strict stop-loss
ka use karein.
#Nifty50 #Nifty #PreMarketAnalysis
#FII #DII #ClientData #NiftyLevels
#OptionTrading #StockMarket #LearnWithMarket
1 470
π NIFTY 50 β PRE-MARKET ANALYSIS
π
17 August 2026
πΉ Previous Close: 24,366.00
πΉ Pre-Market: 24,343.45
π» Gap: -22.55 points
β‘οΈ Opening Bias: Mild Negative / Flat-to-Negative
ββββββββββββββββββ
π FII, DII & CLIENTS DATA ANALYSIS
π’ CLIENTS
β’ Index Future: Bought Net +6,296
β’ Index Call: Sold Net -61,793
β’ Index Put: Sold Net -1,22,130
β’ Stock Future: Bought Net +15,935
β’ Stock Calls: Bought Net +42,097
β’ Stock Puts: Sold Net -11,503
π Clients ka Futures + Stock Futures positioning
positive hai.
Lekin Index Call aur especially Index Put me
heavy selling hai.
β‘οΈ Futures = Positive
β‘οΈ Stock Calls = Positive
β‘οΈ Put Selling = Downside par confidence / premium selling
π’ CLIENT BIAS = MILD BULLISH / RANGE
π΄ FIIs
β’ Index Future: Sold Net -7,996
β’ Index Call: Bought Net +12,196
β’ Index Put: Bought Net +23,060
β’ Stock Future: Sold Net -4,162
β’ Stock Calls: Sold Net -6,207
β’ Stock Puts: Bought Net +77
π FIIs ka Index Future position negative hai.
Current Index Future:
-1,76,698
Previous:
-1,68,702
β‘οΈ FII short position further increase hui hai.
Calls + Puts dono ki buying defensive/hedging
position ko indicate kar sakti hai.
π΄ FII BIAS = BEARISH / DEFENSIVE
π’ PROs
β’ Index Future: Bought Net +959
β’ Index Call: Bought Net +49,637
β’ Index Put: Bought Net +99,219
β’ Stock Future: Sold Net -9,092
β’ Stock Calls: Sold Net -4,785
β’ Stock Puts: Bought Net +12,030
π PROs ka sabse important signal:
π₯ Index Call Buying +49,637
π₯ Index Put Buying +99,219
Yani PROs ne dono sides options buy kiye hain,
jo volatility/large move expectation ko indicate
kar sakta hai.
Index Future almost neutral hai.
π’ PRO BIAS = BULLISH / HIGH VOLATILITY
π΄ DIIs
β’ Index Future: Bought Net +741
β’ Index Call: Sold Net -40
β’ Index Put: Sold Net -148
β’ Stock Future: Sold Net -2,681
β’ Stock Calls: Sold Net -31,105
β’ Stock Puts: Sold Net -604
π DII index positioning almost neutral hai,
lekin Stock Futures aur Stock Calls me selling hai.
π‘ DII BIAS = NEUTRAL TO MILD BEARISH
ββββββββββββββββββ
π OVERALL INVESTOR SENTIMENT
π’ Clients β Mild Bullish / Range
π΄ FIIs β Bearish / Defensive
π’ PROs β Bullish / Volatility
π‘ DIIs β Neutral to Mild Bearish
β‘οΈ Overall data MIXED hai.
Lekin ek important point:
π΄ FIIs ka Index Future Short
vs
π’ PROs ka strong Call + Put Buying
Isse lagta hai ki market me
direction ke saath volatility bhi important ho sakti hai.
β οΈ Isliye sirf investor data ke basis par
direct CE ya PE entry avoid karna better hai.
ββββββββββββββββββ
π NIFTY 1H CHART ANALYSIS
Current Pre-Market:
24,343.45
Previous Close:
24,366.00
Gap:
-22.55 points
Chart me recent recovery ke baad NIFTY
24,400 ke aas-paas repeatedly rejection
le raha hai.
Current price 24,350 ke aas-paas hai,
isliye 24,300β24,450 ka zone
aaj ka major decision area hai.
ββββββββββββββββββ
π’ IMPORTANT SUPPORT LEVELS
24,350 β Immediate Support / Decision Level
24,300 β Strong Support
24,250 β Major Support
24,200 β Next Support
24,000 β Major Psychological Support
π΄ IMPORTANT RESISTANCE LEVELS
24,400 β Immediate Resistance
24,450 β Strong Resistance
24,500 β Major Breakout Level
24,550 β Resistance
24,600β24,650 β Major Resistance Zone
ββββββββββββββββββ
π TODAY'S BUY SETUP
π’ BULLISH SETUP
Agar NIFTY:
1οΈβ£ 24,400 reclaim kare
AND
2οΈβ£ 15-minute candle 24,450 ke upar sustain kare
to bullish momentum confirm hone par
BUY setup consider kiya ja sakta hai.
π― Target 1 β 24,500
π― Target 2 β 24,550
π― Target 3 β 24,600
π― Extended β 24,650
π SL β 24,350
π Best setup:
24,450 breakout
+
retest
+
bullish candle confirmation
β‘οΈ Tab CE side momentum trade comparatively
better ho sakta hai.
ββββββββββββββββββ
π΄ TODAY'S SELL SETUP
Agar NIFTY:
1οΈβ£ 24,300 ke neeche aaye
AND
2οΈβ£ 15-minute candle 24,300 ke neeche sustain kare
to bearish setup consider kiya ja sakta hai.
π― Target 1 β 24,250
π― Target 2 β 24,200
π― Target 3 β 24,100
π― Extended β 24,000
π SL β 24,370
π Best setup:
24,300 breakdown
+
retest failure
+
bearish candle confirmation
β‘οΈ Tab PE side momentum trade consider
kiya ja sakta hai.
