Intraday Trading Solution👍
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آرشیو پست ها
✅ INTRADAY+SWING✅
BUY EICHERMOT NOV 7000 CE
ABOVE 219 TGT 226/235/245
Wait for breakout above level cmp
TECHNICAL VIEW OF NIFTY
✅NIFTY 50 — CMP: 25,722.10. ✅
Bias: Slightly BEARISH on overnight weakness; sellers active below 25,900.
Key levels: Resistance 25,950 (today high), R2 26,100 (52-wk upper range). Support 25,711 (today low), S2 25,400 (next structural floor).
Trade plan (intraday): Short below 25,900 → target 25,720 / 25,400; Stop above 26,000. If price reclaims 25,950 with momentum, switch to quick longs toward 26,100.
Momentum cue: Range contraction with negative bias — favour quick directional scalps, keep position sizing tight.
✅NIFTY BANK — CMP: 57,776.35. ✅
Bias: Neutral-to-bearish intraday unless banks break above 58,250.
Key levels: Resistance 58,250 (today high), R2 58,800. Support 57,657 (today low), S2 57,200.
Trade plan: Fade rallies into 58,200–58,300 with tight stop; intraday target 57,700 → 57,200. If 57,650 fails decisively, cautious short continuation setup.
Momentum cue: Financials showed profit-taking — watch PSU vs private bank weight for intraday strength/weakness.
✅SENSEX — CMP: 83,938.71. ✅
Bias: Bearish edge (mirror of Nifty) — sellers visible below 84,400.
Key levels: Resistance 84,712 (day high), R2 85,200. Support 83,905 (day low), S2 83,300.
Trade plan: Short into supply near 84,600–84,700 for targets 83,900 / 83,300. Flip bias only if index closes strongly above 85,000 on high volume.
Quick session rules (do not ignore):
Use 1:2 risk:reward for every intraday scalp.
Avoid holding overnight—these are intraday reads.
Watch global cues & FII flows — they can flip bias quickly.
आज के Stocks to Watch (3 नवंबर 2025) 👇
📉 मार्केट अपडेट:
Sensex -0.55% गिरकर 83,938.71 पर
Nifty -0.60% गिरकर 25,722.10 पर
Bank Nifty -0.44% गिरकर 57,776.35 पर
Midcap और Smallcap दोनों में भी लगभग 0.45% की गिरावट
🌏 ग्लोबल मार्केट:
एशियाई मार्केट में हल्की तेजी — जापान का Nikkei +2.12%, कोरिया का KOSPI +2.15%, हांगकांग का Hang Seng +0.55%
🇺🇸 अमेरिकी बाजार:
Dow Jones लगभग स्थिर, Nasdaq +0.61%, S&P 500 +0.26%
सभी प्रमुख अमेरिकी इंडेक्स ने साप्ताहिक बढ़त दर्ज की
📊 आज के मुख्य शेयर जिन पर नजर रखें:
🚗 Auto Stocks:
त्योहारी सीजन में बिक्री शानदार रही —
Maruti Suzuki: 2.20 लाख यूनिट्स
Hyundai: 69,894 यूनिट्स
Tata Motors: बिक्री 27% बढ़कर 61,134 यूनिट्स
TVS Motor: 5.43 लाख यूनिट्स
Escorts Kubota: ट्रैक्टर बिक्री में 3.8% बढ़त
⛽ BPCL:
Q2FY26 में मुनाफा ₹6,191.5 करोड़ (+169%)
Revenue ₹1,04,946 करोड़ (+2.1%)
🏦 Bank of Baroda:
मुनाफा ₹4,809 करोड़ (-8%)
NII ₹11,953 करोड़ (+2.7%)
GNPA 2.16% (पहले 2.28%)
NNPA 0.57% (पहले 0.60%)
🧴 Godrej Consumer:
मुनाफा ₹459 करोड़ (-6.5%)
Revenue ₹3,825 करोड़ (+4.3%)
⚙️ JK Cement:
मुनाफा ₹160.5 करोड़ (+27.6%)
Revenue ₹3,019 करोड़ (+18%)
🧪 Tata Chemicals:
मुनाफा ₹77 करोड़ (-60%)
Revenue ₹3,877 करोड़ (-3%)
Exceptional loss ₹65 करोड़
🔌 RR Kabel:
मुनाफा ₹116.3 करोड़ (+134%)
Revenue ₹2,163 करोड़ (+19.5%)
🌾 Patanjali Foods:
मुनाफा ₹516.7 करोड़ (+67%)
Revenue ₹9,798 करोड़ (+21%)
🚇 Titagarh Rail:
MMRDA से ₹2,481 करोड़ का ऑर्डर मिला (Metro Line 5 के लिए)
🧴 Hindustan Unilever (HUL):
Income Tax Dept से ₹1,986 करोड़ का नोटिस मिला (FY21)
कंपनी ने कहा कि इसका बिज़नेस पर कोई असर नहीं पड़ेगा
📢 निष्कर्ष:
आज ऑटो, BPCL, Patanjali, RR Kabel और JK Cement जैसे स्टॉक्स में एक्शन देखने को मिल सकता है।
मार्केट में शुरुआत थोड़ी कमजोर रहने की संभावना है।
TECHNICAL VIEW OF of MARKET
NIFTY 50 — CMP 25,877.85 📉
STRUCTURE: Closed lower; intraday range shows buyers defended ~25,845 — sellers capped near 26,032.
KEY LEVELS: Support 25,700 (first), 25,500 (structural). Resistance 26,000 (minor), 26,100 (day high cluster).
BIAS & SETUP: Neutral-to-bearish while <26,000. Prefer short on failed recovery above 25,950 with stop above 26,050. Alternatively, small long if price holds 25,800 with tight SL 25,700 — target 26,000–26,150.
RISK: Keep SL = 0.4–0.8% of position; reduce size into market open volatility. ✅
NIFTY BANK — CMP 58,031.10 🏦
STRUCTURE: Index closed under intraday pressure (Google Finance close used).
KEY LEVELS: Support 57,800 (near intraday low), 57,400. Resistance 58,200–58,400 (first supply zone), then 58,700.
BIAS & SETUP: Neutral — biased bearish if price stays <58,200. Short below 57,900 with SL 58,300; target 57,400–57,000. Long if clean reclaim >58,400 with SL below 58,000 — target 58,900.
RISK: Banks can gap on macro news — use tight SLs intraday.
SENSEX — CMP 84,404.46 🔻
STRUCTURE: Closed materially lower per Google Finance page (see citation).
KEY LEVELS: Support 84,200 (near low), 83,800. Resistance 84,800, 85,200.
BIAS & SETUP: Bearish while below 84,800. Consider short on retest of 84,800 with SL 85,000; target 84,000 then 83,600. If reclaims 84,900 convincingly, shift to intraday long with SL 84,400.
RISK: Monitor FI flows / global cues — they move Sensex fast.
Quick tactical checklist ✅
Use opening 15–30min range to confirm direction (fade breakout if false).
Size positions for 0.3–0.8% SL to protect capital.
Watch global cues (US futures / crude) for bias flips.
CRYPTO AND FOREX MARKET ANALYSIS
BTCUSD — BIAS: NEUTRAL → BULLISH above $112k 🚀🟢
Key levels: R₁ $112,000 | R₂ $118,000 — S₁ $105,000 | S₂ $100,000.
Trade idea: Momentum buy above $112k with initial target $118k; aggressive short below $105k targeting $100k.
Cues: price is holding above short-term moving averages (intraday MA band) — momentum mixed; watch volume on breakouts for confirmation. Use tight SL (2–3%) for intraday scalps. 📈⚠️
ETHUSD — BIAS: NEUTRAL; range-bound 3.6k–4.0k ⚖️🔥
Key levels: R₁ $4,000 | R₂ $4,300 — S₁ $3,700 | S₂ $3,400.
Trade idea: Buy on dip toward $3,700–$3,600 with target $4,000 if momentum improves. Fade rallies if rejection at $4,000 with small-sized shorts.
Cues: relative strength below prior highs — if ETH closes and reclaims $4k on volume, bullish continuation likely. Use SL ~3–4% for intraday positions.
🪙🔁
XAUUSD (Gold) — BIAS: BULLISH (safe-haven flows) 🪙🛡️
Key levels: R₁ $4,050 | R₂ $4,120 — S₁ $3,975 | S₂ $3,920.
Trade idea: Long on dips to $3,975–3,990 with target $4,050; trail stops if momentum accelerates. If price decisively breaks below $3,920, consider short with tight risk.
Cues: dollar weakness and geopolitical/news risk typically support gold — watch US data and USD strength for intraday direction. ⏳✨
EURUSD — BIAS: BEARISH → watch 1.1500–1.1600 🇪🇺➡️🇺🇸
Key levels: R₁ 1.1600 | R₂ 1.1680 — S₁ 1.1520 | S₂ 1.1450.
Trade idea: Short under 1.1560 target 1.1520 then 1.1450 if downside momentum continues. If EUR reclaims 1.1600 on strength, flip to small longs.
Cues: Fed / ECB commentary and US data drive intraday swings — watch rate-speak and core data releases. 📉📰
Quick risk & execution notes
Use proper position sizing (risk only a small % of capital per trade). 🧾
For intraday scalps use tighter SL (1–3%); for swing trades allow wider buffers (3–8%). ⚖️
Confirm breakout moves with volume and a close beyond the level on your intraday timeframe. 🔍
If you want, I can:
• pull 5-min / 1-hr charts and mark the exact intraday support/resistance levels, or
आज के मुख्य शेयर (31 अक्टूबर 2025) 👇
📉 Sensex: 84,404.46 (-592.67)
📉 Nifty 50: 25,877.85 (-176.05)
📉 Bank Nifty: 58,031.10 (-354.15)
📉 Nifty Midcap: 60,096.25 (-52.80)
📉 Nifty Smallcap: 8,882.30 (-11.30)
आज बाजार हल्की गिरावट के साथ खुलने की संभावना है। निवेशकों की नजर कंपनियों के Q2 नतीजों, विदेशी बाजारों और संस्थागत निवेश पर रहेगी।
🌏 वैश्विक स्थिति:
जापान का Nikkei 225 1% बढ़कर रिकॉर्ड हाई पर पहुंचा
ऑस्ट्रेलिया का S&P/ASX 200 0.45% बढ़ा
दक्षिण कोरिया का Kospi थोड़ा गिरा
अमेरिका में Nasdaq और S&P 500 गिरे क्योंकि Meta और Microsoft के शेयर नीचे गए
🔥 आज के प्रमुख शेयर:
🏭 Reliance Industries (RIL) – ₹1,488.50 (+0.30%)
Reliance और Google ने मिलकर AI (Artificial Intelligence) को भारत में बढ़ावा देने के लिए बड़ा समझौता किया
CRISIL ने कंपनी की रेटिंग AAA/Stable पर बरकरार रखी
💻 TCS
TCS ने Tata Motors के साथ 5 साल की साझेदारी की
यह साझेदारी Tata Motors की सस्टेनेबिलिटी रिपोर्टिंग और ESG डेटा मैनेजमेंट को डिजिटल बनाने में मदद करेगी
🛰️ Bharat Electronics (BEL)
कंपनी को ₹732 करोड़ के नए ऑर्डर मिले
इनमें Software Defined Radios, Communication Systems, Cybersecurity Solutions जैसे प्रोजेक्ट शामिल हैं
🏥 Narayana Hrudayalaya
कंपनी की UK यूनिट ने Practice Plus Group Hospitals (UK) को खरीदने का समझौता किया
🛢️ Chennai Petroleum (CPCL)
BofA Securities Europe SA ने कंपनी के 7.62 लाख शेयर खरीदे (कुल ₹66.2 करोड़ का निवेश)
🏠 Sunteck Realty
कंपनी की सहायक कंपनी ने मुंबई (Andheri) में जमीन रखने वाली एक फर्म खरीदी
📊 कंपनी नतीजे (Q2FY26):
Hyundai Motor India: मुनाफा ₹1,572 करोड़ (+14.3% YoY)
ITC: मुनाफा ₹5,126 करोड़ (+2.7% YoY), राजस्व ₹21,255 करोड़ (-1.3%)
Swiggy: घाटा ₹1,092 करोड़ (पिछले साल ₹626 करोड़ था), लेकिन राजस्व +54% बढ़ा
Pidilite Industries: मुनाफा ₹584.6 करोड़ (+8.2%)
Bandhan Bank: मुनाफा ₹112 करोड़ (पहले ₹937 करोड़ था – भारी गिरावट)
United Spirits: मुनाफा ₹464 करोड़ (+36%), राजस्व ₹3,173 करोड़
📅 आज नतीजे घोषित करने वाली कंपनियां:
Maruti Suzuki, Vedanta, GAIL, Bank of Baroda, BPCL, Shriram Finance, Dr Lal PathLabs, ACC, Godrej Consumer, Bharat Electronics, Jubilant Pharmova आदि।
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