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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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83200PE activated and achieved target ✅

✅HERO ZERO✅ BUY NIFTY 20 JAN 25600CE AROUND 15-20 TRG 30/40/60 wait for breakout above level cmp

BUY SENSEX 22 JAN 83200PE ABOVE 516 TRG 535/565/595 wait for breakout above level cmp

🔵 NIFTY 50 — BIAS: RANGE → BREAKOUT WATCH 📍 CMP: 25,580 🟢 SUPPORT: 25,520 – 25,560 🔴 RESISTANCE: 25,650 – 25,700 ⚡ TRADE SETUP: BUY only above 25,700 🟢 SELL only below 25,520 🔻 🧠 VIEW: Flat opening suggests indecision. Expect expansion after first 30–45 mins. Below support → fast short covering possible. 📉 Above resistance → momentum pop. 🟠 NIFTY BANK — BIAS: WEAK → SELL ON RISE 📍 CMP: 59,851 🟢 SUPPORT: 59,600 – 59,700 🔴 RESISTANCE: 60,050 – 60,150 ⚡ TRADE SETUP: SELL near 60,050–60,150 with rejection 🔻 BUY only if 60,200 sustains 🟢 🧠 VIEW: Banks look heavy. Any bounce likely to be sold unless 60,200 breaks decisively. Watch private banks closely. 🏦⚠️ 🟣 SENSEX — BIAS: WEAK / DEFENSIVE 📍 CMP: 83,207 🟢 SUPPORT: 82,950 – 83,050 🔴 RESISTANCE: 83,500 – 83,650 ⚡ TRADE SETUP: SELL below 83,050 🔻 BUY only above 83,650 🟢 🧠 VIEW: Below VWAP zone. Structure still fragile. Needs strong global cues to sustain upside. 🌍📉 🧨 INTRADAY SUMMARY ⚠️ Volatility compression = big move coming 🎯 Trade levels, not emotions 🛑 Tight SLs mandatory 📉 Bias slightly negative unless breakouts happen

Market overview (morning update) Sensex was down 353 points (-0.42%) Nifty50 was down 109 points (-0.42%) Midcap and smallcap stocks were also weak Bank Nifty and IT stocks traded in the red Overall mood is cautious and weak. Global cues (why markets are under pressure) Asian markets fell, led by Japan Japan’s long-term bond yields hit record highs Investors are worried about: Possible US tariffs Political uncertainty in Japan US markets closed slightly lower overnight China kept interest rates unchanged, giving no fresh boost GIFT Nifty signal GIFT Nifty was flat at 25,597 Indicates a muted and range-bound start for Indian markets Key stocks to watch today Results-related stocks LTIMindtree Q3 profit fell due to one-time labour code cost Revenue growth remains healthy Havells India Profit up 8% Strong demand across product categories Ceat Profit jumped 60% Big capex approved for Chennai plant Oberoi Realty Stable results, steady real estate demand Corporate actions and news UPL Subsidiary Advanta filed papers for IPO Ola Electric Mobility New CFO appointed Amber Enterprises India Got land near Jewar Airport Large investment plan of ₹6,785 crore HPCL Signed 10-year LNG supply deal with ADNOC Gas Sanghvi Movers Received overseas order worth $4.3 million Simple takeaway Market opening likely to be quiet and weak Global uncertainty + mixed Q3 results = limited upside Stock-specific action expected based on results and news

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Repost from N/a
INTRADAY+SWING✅ BUY COFORGE JAN 1700 CE ABOVE 72 TGT 74/80/85 wait for breakout above level cmp

Repost from N/a
BTCUSD — Bitcoin LATEST CLOSE: $92,611 🚀 Bias: Neutral-to-bullish if above $90.2k, vulnerable below $88.8k. 🧭 Key levels: Support 88,800 → 90,200. Resistance 95,000 → 98,500. ⚡ Intraday trade idea: Buy above 92,900 with SL 91,600. Targets: 94,800 / 96,900. Or short under 90,000 with SL 91,000; target 88,800. 📈 Momentum cues: 1h RSI mildly positive, 15m showing consolidation — momentum favors breakout continuation if volume picks up. ⚠️ Risk: Volatility spikes common; use tight risk per trade. ETHUSD — Ethereum LATEST CLOSE: $3,207 🔥 Bias: Bullish if holds above 3,040; otherwise chop. 🧭 Key levels: Support 3,040 → 2,900. Resistance 3,360 → 3,650. ⚡ Intraday trade idea: Long above 3,220 with SL 3,060. Targets: 3,420 / 3,650. Short under 2,980 with SL 3,080; target 2,850. 📉 Momentum cues: Short-term MA crossover on 15m gives slight long edge. Watch ETH/BTC correlation for directional confirmation. ⚠️ Risk: News-driven volatility can flip setups quickly. XAUUSD — Gold (spot) LATEST CLOSE: $4,660 per ounce 🛡️ Bias: Safe-haven buying in risk-off. If dollar weakens further, gold can extend higher. Reuters commentary recently noted risk-off flows lifting gold. 🧭 Key levels: Support 4,595 → 4,540. Resistance 4,690 → 4,760. ⚡ Intraday trade idea: Buy on dip 4,600–4,610 with SL 4,560. Targets: 4,700 / 4,760. Fade strength above 4,760 with protective stops if momentum stalls. 📊 Momentum cues: Momentum mixed on daily but short-term shows buyers returning on dips. EURUSD — Euro vs US Dollar LATEST CLOSE: 1.1627 💵 Bias: Slightly bullish EUR if it holds above 1.1580; USD strength would push it below 1.1560. 🧭 Key levels: Support 1.1575 → 1.1520. Resistance 1.1650 → 1.1700. ⚡ Intraday trade idea: Buy on breakout above 1.1655 with SL 1.1620. Target 1.1700 / 1.1740. Short under 1.1560 with SL 1.1590; target 1.1500. 📈 Momentum cues: FX flows follow US data and Fed chatter. Watch US yields for immediate impact.

🔥 NIFTY 50 CMP 25,557.60 🔻 (-0.37%) 📉 INTRADAY BIAS: Weak to range-bound 🧱 RESISTANCE: 25,600 – 25,630 🛡️ SUPPORT: 25,500 – 25,470 ⚡ SETUP Below 25,500 ➝ pressure increases toward 25,470 / 25,430 Above 25,630 ➝ short covering possible till 25,680 🧠 Market tone cautious. No aggressive longs below resistance. 🏦 NIFTY BANK CMP 59,745.50 🔻 (-0.57%) 📉 INTRADAY BIAS: Bearish 🧱 RESISTANCE: 59,900 – 59,980 🛡️ SUPPORT: 59,650 – 59,550 ⚡ SETUP Below 59,650 ➝ fast move toward 59,550 / 59,400 Only above 59,980 ➝ relief bounce till 60,150 💣 Bank weakness = index cap on NIFTY. 📊 SENSEX CMP 83,136.05 🔻 (-0.42%) 📉 INTRADAY BIAS: Weak 🧱 RESISTANCE: 83,350 – 83,450 🛡️ SUPPORT: 83,000 – 82,900 ⚡ SETUP Breakdown below 83,00082,900 / 82,750 Above 83,450 ➝ recovery toward 83,700 🔑 MARKET SUMMARY ❌ No trend reversal yet ❌ Buy-on-dips risky ✅ Sell-on-rise near resistance works better ⏳ Wait for Bank Nifty strength before trusting longs

(Stocks to Watch – 19 जनवरी 2026) आज शेयर बाजार में कमज़ोर शुरुआत के संकेत हैं। बाजार का माहौल सुबह GIFT Nifty करीब 180 अंक नीचे था, यानी बाजार गैप-डाउन खुल सकता है। अमेरिका और एशिया के बाजार दबाव में हैं। चीन के आर्थिक आंकड़े और ग्लोबल राजनीति का असर रहेगा। सोना और चांदी तेज़ी में हैं। आज किन वजहों से बाजार हिलेगा Q3 नतीजे (कंपनियों का तिमाही रिजल्ट) ग्लोबल संकेत कमजोर चीन का GDP डेटा अमेरिका-यूरोप तनाव आज जिन शेयरों पर नज़र रहेगी रिजल्ट वाले शेयर Havells, PNB, LTIMindtree, Hindustan Zinc Tata Capital, BHEL, CEAT IRFC, Oberoi Realty IPO लिस्टिंग Bharat Coking Coal Avana Electrosystems (SME) मुख्य कंपनियों की आसान जानकारी Reliance Industries मुनाफा थोड़ा बढ़ा, बिक्री अच्छी रही, लेकिन मार्जिन थोड़ा घटा। HDFC Bank मुनाफा बढ़ा, लोन और एसेट क्वालिटी स्थिर। ICICI Bank मुनाफा घटा, क्योंकि प्रोविज़न ज़्यादा रखा गया। Yes Bank मुनाफा तेज़ी से बढ़ा, खराब लोन में सुधार। Wipro मुनाफा घटा, लेकिन कंपनी ने ₹6 डिविडेंड दिया। Tech Mahindra मुनाफा और मार्जिन दोनों बेहतर। BHEL आज रिजल्ट आएगा, शेयर में हलचल संभव। Conclusion आज बाजार दबाव में रह सकता है। बैंकिंग, IT और बड़े शेयरों में ज़्यादा उतार-चढ़ाव दिख सकता है। नतीजों वाले शेयरों में तेज़ मूवमेंट संभव।