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Disclaimer: I am not SEBI Registered analyst, This channel is 100% education purpose only. We don't provide any trading tips or calls or recommendations. We don't manage any premium/paid group or channel

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27 августа+1
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24 августа+2
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14 августа+1
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Посты канала
Option Strike Seller Power — CE vs PE (from today's Open price)
Option Strike Seller Power — CE vs PE (from today's Open price)

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BhavCopy (full chain) — Heavy Sellers Added vs Previous Day
BhavCopy (full chain) — Heavy Sellers Added vs Previous Day
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Highest absolute Open Interest strike in today's spurt rows Strike 24300 Call currently carries the largest OI (203,330) among the rows that showed a spurt today. Heavy Call OI at a strike is traditionally read as a resistance zone; heavy Put OI as a support zone — but since this data is only the "spurt" subset, treat this as a partial view, not the full chain's max-OI support/resistance map.
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Full strike-level interpretation (Open Interest & buyer/seller read)
Full strike-level interpretation (Open Interest & buyer/seller read)
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Top strikes by Volume and Value
Top strikes by Volume and Value
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Нет текста...
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Нет текста...
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Good Morning Super Traders Have a Great Profitable Friday
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🤷🏻‍♂️🤷🏻‍♂️
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“Always know your risk before you enter a trade. There is no fixed target when the opportunity offers unlimited profit potential. Trail your Stop Loss aggressively, and whenever possible, move it to Cost-to-Cost. One well-managed, high-conviction trade can recover previous losses. But never risk tomorrow’s capital trying to recover yesterday’s losses.”
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⚠️ Disclaimer Disclaimer: This analysis is for educational and informational purposes only and should not be considered as investment advice, financial advice, or a recommendation to buy or sell any security or derivative. The NIFTY 50 levels, o zones,option-chain observations, FII/DII data, global market analysis, and other market views are based on available data and analytical assumptions. Markets are unpredictable, and actual price movements may differ significantly from the analysis. Trading in NIFTY 50 options involves substantial risk, including the possibility of losing the entire capital invested. Option sellers may face potentially large losses, while option buyers can lose the entire premium paid. Past performance, technical patterns, OI data, or market predictions do not guarantee future results. Always: Trade according to your own risk appetite and financial situation. Use strict position sizing and predefined stop-losses. Never trade with borrowed money. Do your own research before taking any position. Consult a SEBI-registered investment adviser for personalized financial advice. The creator/analyst assumes no responsibility for any profit or loss arising from trades taken based on this information. 📌 Trade the setup, not the prediction. Capital protection comes first. Profit comes second. 🛡📊
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Final Institutional Bias Opening Bias: 🟢 Mild Bullish because of: GIFT Nifty ~24,362 Falling crude Nvidia earnings beat Positive Asian tech sentiment Strong DII buying FII buying Lower India VIX But... Intraday Structure: 🟡 Neutral Until Breakout Because the 26-Aug price action was bearish, Nifty closed at its day's low, and the September option chain has enormous fresh CE OI between 24,300 and 24,500. Therefore my primary decision levels are:
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The No-Trade Zone 🚫 This is extremely important. 24,200 - 24,400 Do not force option buying inside this zone. Why? Because: Max pain = ~24,300 Huge CE OI = 24,300-24,500 Strong PE OI = 24,200-24,000 India VIX = only ~10.45 September expiry is still relatively close Time decay can happily eat option buyers for breakfast This is where retail traders tend to buy CE, watch it fall, buy PE, watch it rise, and then conclude that the market is manipulated by NASA. Don't participate in that experiment. 😄
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24,700 ↑ Extended Bull │ 24,600 │ ┌─────────┴─────────┐ │ SHORT COVERING │ └────────────────────┘ 24,500 🔴 Major Resistance 24,400 🔴 Breakout Trigger 24,350 🟡 Immediate Level 24,300 ⚔️ MAX PAIN / PIVOT 24,250 🟢 Short-term support 24,200 🔴 PE breakdown trigger 24,150 🔴 Breakdown confirmation 24,100 │ 24,000 🟢 Major PE support 23,900 │ 23,800
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BEARISH Spot breaks 24,200 - 5-minute close below 24,200 - Then failure to reclaim 24,200. Then 24150/100/24000 Failure = 24270
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BULLISH Sport Sustain above 24400 - 5-minute candle close above 24,400 - Next candle holds above 24,350-24,400 expanding with volume Then 24450/500/600 Failure = 24330
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Key Nifty Levels for 27-Aug 🔴 Major Resistance 24,400 24,500 Above 24,500, the character of the market changes significantly. 🟠 Immediate Resistance 24,350 24,378-24,400 24,378.60 was Wednesday's high. 🟡 Pivot / Battle Zone 24,300 🟢 Immediate Support 24,250 24,200 🟢 Major Support 24,100 24,000
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Max Pain Based on the supplied 01-Sep-2026 chain: Max Pain ≈ 24,300 This is remarkably important because: 24,300 is also close to the major CE/PE positioning battle. So 24,300 is the magnetic pivot.
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PCR Analysis From the supplied September expiry chain: Total CE OI ≈ 127.70M Total PE OI ≈ 93.63M Therefore: OI PCR ≈ 0.73 This is bearish/cautious. However, volume PCR is approximately: Volume PCR ≈ 1.16 So the picture is mixed: OI structure = bearish/capped upside Volume structure = active downside protection/speculation This is another reason to avoid blindly buying options at the opening tick.
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