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| 05 ژوئن | +1 | |||
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| 01 ژوئن | +1 |
پستهای کانال
| 2 | 102 starting | 122 |
| 3 | AVG 184 | 154 |
| 4 | TOLINS TYRES CMP 100 TGT 108 - 129 SL 92 | 148 |
| 5 | Avg 181 | 163 |
| 6 | KWIL CMP 37 TGT 41 - 46 SL 32 | 243 |
| 7 | AVG LOGISTIC CMP 172.5 TGT 184 - 197 SL 161 | 284 |
| 8 | 🌅 GOOD MORNING TRADERS
💶 HAVE A PROFITABLE DAY | 381 |
| 9 | TODAY'S NEW LISTING:
HEXAGON
GENXAI | 381 |
| 10 | Superb rally in Asian markets 🥳 | 377 |
| 11 | Positive news 🥳 | 364 |
| 12 | *ECB Hikes Rates for the First Time Since 2023*
📍The ECB raised interest rates by 25 basis points at its June 2026 meeting, the first increase since 2023, as policymakers emphasized their commitment to anchoring inflation at the 2% medium-term target.
📍The move follows rising energy costs and persistent inflation risks driven by the Iran conflict and disruptions to oil shipments through the Strait of Hormuz.
📍The ECB stated that the Middle East war is amplifying inflationary pressures, and the rate increase is supported across scenarios assessing its impact on the euro area’s outlook.
📍The ECB also revised its inflation forecasts upward, now expecting headline inflation to reach 3.0% in 2026 (up from 2.6%) and 2.3% in 2027 (up from 2.0%).
📍Core inflation was also raised to 2.5% for both 2026 and 2027, from previous estimates of 2.3% and 2.2%, respectively. | 311 |
| 13 | 🌅 Pre-Market Update 🌟
📈 Wall Street Rallies as US-Iran Tensions Ease
🔹 Dow Jones ⬆️ 1.86% to 50,848.75
🔹 S&P 500 ⬆️ 1.75% to 7,394.30
🔹 Nasdaq ⬆️ 2.54% to 25,809.66
🌏 Asian Markets
🔸 Asian equities surged following strong gains on Wall Street.
🔸 Investor sentiment improved after reports that US President Donald Trump called off planned military strikes against Iran.
🔸 Optimism around a potential US-Iran peace agreement boosted risk appetite.
✨ GIFT Nifty signals a strong start, with Nifty Futures trading near 23,502, a premium of around 100 points. 📈
📉 Yesterday’s Indian Markets
🔻 Sensex fell 150.63 points (0.20%) to 73,832.55
🔻 Nifty 50 declined 53.35 points (0.23%) to 23,161.60
🔻 Pharma, private banking and media stocks outperformed despite broader weakness.
🌍 Key Global Triggers
🇺🇸 US Producer Price Index (PPI) rose 1.1% MoM and 6.5% YoY, signaling persistent inflation pressures.
🇪🇺 ECB raised its key deposit rate by 25 bps to 2.25%, marking its first rate hike in nearly three years.
🇮🇳 World Bank projects India's GDP growth at 6.6% in FY27, retaining its position as the fastest-growing major economy.
🛢️ Oil Prices
⛽ Brent Crude: $89.17/bbl ⬇️ 1.3%
⛽ WTI Crude: $86.48/bbl ⬇️ 1.4%
⛽ Oil prices slipped as geopolitical concerns eased.
🥇 Gold Prices
💰 Spot Gold: $4,200.82/oz ⬇️ 0.3%
💰 Gold is headed for a weekly decline of nearly 2.8%.
💲 US Dollar
💵 Dollar steadied after touching a one-week low.
💵 USD/JPY: 160.07
💵 Euro: $1.1576
💸 Institutional Activity (June 11)
🔴 FII Sold: ₹1,987 Cr
🟢 DII Bought: ₹4,224.51 Cr
🚫 F&O Ban Today
⛔ Kaynes Technology
👀 Stocks in Focus
🏦 Tata Capital
📡 ITI Limited
💻 Cyient
⚙️ Ratnaveer Precision Engineering
🔌 GNG Electronics
💰 Edelweiss Financial Services
👕 SP Apparels
🏭 Vedanta Iron and Steel
🧴 Dabur India
🏦 Federal Bank
📊 Nifty Levels to Watch
🟢 Support Zone: 23,100 – 23,000
🔴 Resistance Zone: 23,304 and 23,542
✨ Markets look set for a positive opening. Investors will closely monitor global developments, institutional flows and key technical levels through the session. | 309 |
| 14 | 189.5 | 576 |
| 15 | KILITCH DRUGS CMP 185 TGT 203 - 228 - 260 SL 162 | 603 |
| 16 | 🌅 GOOD MORNING TRADERS
💶 HAVE A PROFITABLE DAY | 623 |
| 17 | Key Events/Results Today
• India Inflation Data (CPI YoY/MoM for May).
• Bank Loan/Deposit Growth Data.
• Foreign Exchange Reserves update. | 617 |
| 18 | Global Markets Last Night
US (Dow/S&P/Nasdaq): Dow closed ~49,919 (-1.87% / -953 pts); S&P 500 ~7,267 (-1.62%); Nasdaq ~25,170 (-1.98%). Tech and broader sell-off amid geopolitical risks and valuation concerns.
Key Notes: Risk-off mood; oil spike weighed on sentiment; mixed corporate reactions.
Others (if relevant): European markets also closed lower amid global caution. | 601 |
| 19 | Overnight News Impacting Indian Markets
• Escalating US-Iran/Middle East tensions and related strikes pushing crude oil higher, raising inflation and import bill concerns for India.
• Persistent FII selling (net ~₹1,919-2,125 Cr on June 10; continued outflows in recent sessions), offset by strong DII buying (~₹2,950-3,124 Cr).
• Global tech sell-off and risk aversion amid geopolitical uncertainties impacting sentiment.
• Rupee under pressure; potential impact on imports and corporate margins from higher oil prices.
• Positive domestic offset from banking/financial resilience in prior sessions. | 577 |
| 20 | Overall View: Indian markets are likely to open marginally lower to flat on June 11, 2026. GIFT Nifty is trading around 23,140-23,160 levels (down ~40-75 points or ~0.17-0.3% from Nifty’s June 10 close of 23,214.95). This implies a flat-to-slightly negative opening. Global risk-off sentiment from US market declines (driven by tech weakness and Middle East tensions), elevated crude oil, and ongoing FII selling pressure may weigh on sentiment, though DII buying and any de-escalation news could provide support. Expect range-bound to volatile trading with focus on 23,000-23,400 zone. | 463 |
اکنون در دسترس! پژوهش تلگرام ۲۰۲۵ — مهمترین بینشهای سال 
