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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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+7

good morning guys 😊

78 to 90🔥TG2 done ✅✅ enjoy guys keep booking profit on target 🎯
78 to 90🔥TG2 done ✅✅ enjoy guys keep booking profit on target 🎯

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Repost from N/a
INTRADAY+SWING✅ BUY ULTRACEMCO JAN 12300 CE ABOVE 235 TGT 242/270/300 wait for breakout above level cmp

Repost from N/a
INTRADAY+SWING✅ BUY M&M JAN 3650 CE ABOVE 78 TGT 85/90/97 wait for breakout above level cmp

Repost from N/a
BTCUSD — $95,554 📈 Bias: Short-term neutral → lean long if breaks higher with volume. Key levels: Support 95,000 — 95,200 | Resistance 96,200 — 96,600. Trade idea: BUY ABOVE 96,200; SL 95,000; TGT 97,200 / 98,500. Momentum cue: watch 1H RSI crossing 55 + rising volumes for follow-through. ⚡️ Why: consolidation near all-time/highs; breakout likely to attract spot/ETF flows. 📊 ETHUSD — $3,317 📈 Bias: Bullish on momentum continuation if BTC leads; else range-bound. Key levels: Support 3,260 — 3,290 | Resistance 3,370 — 3,420. Trade idea: BUY ON DIP 3,265–3,290; SL 3,210; TGT 3,420 / 3,600. Momentum cue: 4H MACD histogram turning positive + ETH/BTC strength needed. 🧭 XAUUSD (Gold) — $4,623.70 📈 Bias: Bullish structurally; intraday: watch USD moves and real yields. Key levels: Support 4,585 — 4,600 | Resistance 4,640 — 4,680. Trade idea: BUY DIP 4,585–4,600; SL 4,540; TGT 4,680 / 4,760. Momentum cue: safe-haven flows + weaker USD or risk-off → pushes gold up. 🛡️ EURUSD — 1.1600 📉 Bias: Slightly bearish intraday while US data remains firm. Key levels: Resistance 1.1620 — 1.1635 | Support 1.1585 — 1.1595. Trade idea: SELL BELOW 1.1590; SL 1.1625; TGT 1.1565 / 1.1535. Momentum cue: watch US data / Fed speak; stronger US prints = EUR weakness. 💱 (Price source: Google Finance). Short checklist before taking trades: 1. Confirm breakout / breakdown on 15m+ volume spike. 2. Keep tight SLs as above. 3. Use proper position sizing — risk only what your plan allows. 📉

NIFTY50 — CMP 25,732.30. 📊 BIAS: NEUTRAL-to-SLIGHTLY BULLISH 🧭 Day range: 25,603.95 — 25,791.75. 🔻 Tight Support: 25,600 — 25,650 🔺 Tight Resistance: 25,780 — 25,820 ⚙️ Intraday plan: Buy only above 25,800SL 25,720 → Targets 25,940 / 26,080. 🛑 If price breaks and holds below 25,600, bias turns bearish — consider short with SL above 25,700 and target 25,420. ⚠️ Quick note: levels derived from today's range and standard price-action; treat as ideas, not certainties. NIFTYBANK — CMP 59,578.80. 📊 BIAS: NEUTRAL, watch bank heavyweight flows 🧭 Day range: 59,324.20 — 59,796.65. 🔻 Tight Support: 59,300 — 59,420 🔺 Tight Resistance: 59,760 — 59,900 ⚙️ Intraday plan: Long above 59,800SL 59,580 → Targets 60,100 / 60,400. 🛑 Failure to hold 59,300 → open short with SL 59,520 → TGT 59,020. 🚨 Banks can gap; keep stops tight and reduce size if implied volatility spikes. SENSEX — CMP 83,627.69. 📊 BIAS: NEUTRAL-to-BULLISH (if NIFTY confirms) 🧭 Day range: 83,185.20 — 83,809.98. 🔻 Tight Support: 83,200 — 83,350 🔺 Tight Resistance: 83,760 — 83,900 ⚙️ Intraday plan: Buy above 83,800SL 83,500 → Targets 84,100 / 84,400. 🛑 Break & hold below 83,200 → bearish extension toward 82,900. Bottom line: these levels use today’s last-close and day-range data from Google Finance. Use tight position sizing, prefer confirmations (volume/price action) before committing, and always place stops.

नीचे पूरी खबर को आसान और साफ़ हिंदी में समझाया गया है, बिना घुमाए-फिराए 👇 --- 📈 Stocks To Watch – 16 जनवरी 2026 आज शेयर बाजार की शुरुआत हरे निशान में होने की उम्मीद है। GIFT NIFTY संकेत दे रहा है कि NIFTY50 लगभग 72 अंकों की तेजी के साथ खुलेगा 🔍 आज किन शेयरों पर रहेगी नज़र 🧾 आज Q3 के नतीजे (Earnings Today) आज करीब 38 कंपनियां दिसंबर तिमाही (Q3 FY26) के नतीजे जारी करेंगी, जिनमें प्रमुख हैं: Reliance Industries Wipro Tech Mahindra Polycab India L&T Finance Tata Technologies Sobha 🛢️ तेल से जुड़े शेयर (Oil-linked Stocks) कच्चे तेल की कीमतों में लगभग 4% की गिरावट आई है, जिससे ये शेयर फोकस में रहेंगे: ONGC Oil India Indian Oil Corporation BPCL HPCL 👉 तेल सस्ता होने से पेंट, एविएशन और टायर सेक्टर को भी फायदा मिल सकता है। 💻 Infosys Q3 FY26 में मुनाफा ₹6,654 करोड़, सालाना आधार पर 2.2% गिरावट कारण: नए लेबर कानूनों के कारण ₹1,289 करोड़ का एक-बार का खर्च 🏦 South Indian Bank Q3 मुनाफा: ₹374 करोड़ (9% की बढ़त) अब तक का सबसे ज्यादा तिमाही मुनाफा ☀️ Emmvee Photovoltaic Power मुनाफा तीन गुना बढ़कर ₹263.6 करोड़ ऑर्डर बुक: 9.3 GW, मजबूत भविष्य की कमाई का संके 🧠 L&T Technology Services (LTTS) मुनाफा: ₹303 करोड़ मुनाफे में गिरावट, लेकिन रेवेन्यू में 10% की बढ़ 💳 Jio Financial Services मुनाफा 8.75% घटकर ₹268.98 करोड़ ऑपरेटिंग प्रॉफिट में 7% की बढ़ 🌱 NTPC Green Energy GAIL के साथ 50:50 जॉइंट वेंचर रिन्यूएबल एनर्जी प्रोजेक्ट्स पर फोकस 🏨 Indian Hotels (IHCL) Brij Hospitality में 51% हिस्सेदारी ₹193 करोड़ में खरीदी बुटीक होटल सेगमेंट में एंट्र ⚡ Power Grid भारत का पहला ग्रीन ऑयल ट्रांसफॉर्मर लॉन्च पर्यावरण के लिए सुरक्षित तकन 🏗️ Godrej Properties Q3 बुकिंग वैल्यू 55% बढ़कर ₹8,431 करोड़ 🚆 BHEL Vande Bharat Sleeper Train के लिए ट्रांसफॉर्मर सप्लाई शुरू 🧱 Nuvoco Vistas ₹61 करोड़ के घाटे से निकलकर ₹49 करोड़ का मुनाफा 🛡️ HDFC Life मुनाफा लगभग स्थिर ₹418 करोड़ प्रीमियम इनकम में अच्छी बढ़त 📊 Angel One मुनाफा 4.5% घटा खर्च बढ़ने से मार्जिन पर दबाव 🔔 (Bottom Line) बाजार की शुरुआत पॉजिटिव रहने की उम्मीद आईटी, ऑयल, बैंकिंग, रियल एस्टेट और ग्रीन एनर्जी शेयरों पर खास नजर रखें आज नतीजों के कारण तेज़ उतार-चढ़ाव संभव है

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+7

good morning guys 😊

🏵🌻Warm wishes to you and your family on the auspicious occasion of Pongal, Happy Pongal😊🌺🌼
🏵🌻Warm wishes to you and your family on the auspicious occasion of Pongal, Happy Pongal😊🌺🌼

Repost from N/a
BTCUSD (Bitcoin) Latest / Close: $94,990.42. 📉 Short-term structure: Support 94,500 — 94,000 / Resistance 95,600 — 96,200. ⚡ Trade setup: Buy weakness into 94,000–94,500 (tight confirmation only) for a bounce to 95,600; break above 96,200 opens 98,000 region. 📊 Momentum cues: On-chain flows steady, overnight chop; watch volume on a push above 96.2k for conviction. 🔧 Risk: Use tight stop below 93,700 if buying the 94k zone. 🔥 Quick call: Fade small-range breakdowns; lean into momentum above 96.2k. ETHUSD (Ethereum) Latest / Close: $3,291.96 (spot snapshot). 📉 Short-term structure: Support 3,260 — 3,200 / Resistance 3,340 — 3,400. ⚡ Trade setup: Buy on reclaim of 3,340 with target 3,400 / 3,520; if price slips under 3,200, expect quick move to 3,050. 📊 Momentum cues: Higher timeframe still biased bullish but intraday shows pullback; watch 3,340 breakout with rising volume. 🔧 Risk: SL under 3,180 for long entries. 🔥 Quick call: Favor longs on clean reclaim of 3,340; avoid buying into uncontrolled drops. XAUUSD (Gold) Latest / Spot: $4,631.00 per oz (spot intraday quote / recent NY close). 📉 Short-term structure: Support 4,600 — 4,540 / Resistance 4,680 — 4,760. ⚡ Trade setup: Buy dips into 4,540–4,600 targeting 4,680; breakout above 4,760 targets 4,900+. 📊 Momentum cues: Safe-haven flows and Fed cut bets pushing gold higher; watch CPI / Fed headlines for volatility. 🔧 Risk: SL under 4,520 for dip-buy setups. 🔥 Quick call: Gold remains bid; prefer buying measured pullbacks rather than chasing breakouts. EURUSD (Euro vs US Dollar) Latest / Close: 1.1640 — 1.1650 range; spot ~1.1647. 📉 Short-term structure: Support 1.1636 — 1.1620 / Resistance 1.1660 — 1.1685. ⚡ Trade setup: Sell rallies into 1.1660–1.1680 with target 1.1636; break below 1.1620 opens 1.1580 area. 📊 Momentum cues: Quiet range overnight; macro headlines (US data, ECB commentary) will move price. 🔧 Risk: SL above 1.1690 for short entries. 🔥 Quick call: Range bias until a macro catalyst; trade tight and size small.

198 to 217🔥TG1 done ✅ enjoy guys keep booking profit on target 🎯 19 points done
198 to 217🔥TG1 done ✅ enjoy guys keep booking profit on target 🎯 19 points done