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Repost from N/a
✅ INTRADAY+SWING✅
BUY M&M NOV 3700 CE
ABOVE 82 TGT 87/105/120
Wait for breakout above level cmp
TECHNICAL VIEW OF MARKET
Latest Closes:
• NIFTY 50: 25,574.35 pts 📊
• NIFTY Bank: 57,937.55 pts 🏦
• SENSEX: 83,535.35 pts 📈
🔍 NIFTY 50 (25,574.35)
Bias: ⚠️ Neutral-to-Bullish while above 25,500
Support: 25,510-25,530
Resistance: 25,640-25,680
Momentum Cue: If breaks above 25,680 → upside toward 25,820
Trade Idea: Buy on breakout > 25,680 with SL 25,530 and targets 25,820 / 25,940
Comment: Domestic demand revival + global cues could fuel uptick.
🏦 NIFTY Bank (57,937.55)
Bias: Bullish while above 57,800
Support: 57,840-57,900
Resistance: 58,060-58,120
Momentum Cue: Watch bank heavyweight strength and volume uptick
Trade Idea: Buy around 57,900 with SL 57,760. Targets: 58,120 / 58,300
Comment: Financials leading the charge — good risk-reward now.
📈 SENSEX (83,535.35)
Bias: Neutral-to-Bullish if holds above 83,300
Support: 83,340-83,420
Resistance: 83,700-83,760
Momentum Cue: A close above 83,760 opens path to ~84,000
Trade Idea: Go long above 83,760 with SL 83,420. Targets: 84,000 / 84,250
Comment: Blue-chip breadth remains key; watching for signs of rotation.
आज के Stocks to Watch (11 Nov 2025) 👇
📈 Indian markets are expected to open slightly positive today, backed by global optimism and hopes of a US-India trade deal.
🌏 Asian markets green — Kospi +2%, Nikkei +0.65%
🇺🇸 US markets closed higher — S&P 500 +1.54%, Nasdaq +2.2%
🔹 आज के मुख्य स्टॉक्स
1. Vodafone Idea (₹9.50, -1.14%)
Company का loss घटकर ₹5,584 Cr हो गया (पिछले साल ₹7,176 Cr था)। Loss narrowing = Positive sentiment 📶
2. Bajaj Finance
Q2FY26 profit गिरकर ₹4,251 Cr (-24% YoY)। Reason: Higher provisions और पिछले साल का exceptional gain इस बार नहीं था 📉
3. Emami Ltd
Net profit ₹148.35 Cr (-30.2% YoY)। Heavy rains और GST rate cut की उम्मीद में trade disruption हुआ 🌧️
4. Ather Energy ⚡
Total income ₹940.7 Cr (+57% YoY, +40% QoQ)। Volume growth और stable pricing strong रहे 🚀
5. Bajaj Consumer Care
Profit ₹42.3 Cr (+33%), Revenue ₹265.27 Cr — steady FMCG growth 📦
6. Kalpataru Projects
Profit गिरकर ₹5.4 Cr (-81.9%), but revenue ₹793.8 Cr (+56.8%) — mixed result 🏗️.
7. Jindal Stainless
Profit ₹806.94 Cr (+32%) — steady metal demand 🔩
8. HUDCO
Profit ₹710 Cr (+3%) — stable performance in housing finance 🏠
🔹 Other Key Updates
• Tata Motors CV — listing on NSE & BSE tomorrow (Nov 12) 🚛
• Britannia Industries — CEO Varun Berry resigns after 13 years 🍪
• Glenmark Pharma — got China’s NMPA approval for nasal spray RYALTRIS 🌸
• Alkem Labs — EU GMP inspection cleared, no major issues 💊
• Syrma SGS Tech — acquired 60% stake in Elcome Integrated Systems ⚙️
• RVNL — ₹144.45 Cr order from South Central Railway 🚆
• Vikran Engineering — ₹1,641.91 Cr solar project order in Maharashtra ☀️
📊 Market Snapshot
Sensex: 83,459.74 (-0.09%)
Nifty: 25,574.35 (+0.32%)
Bank Nifty: 57,937.55 (+0.10%)
Nifty IT: 35,688.25 (+1.62%)
Midcap: 60,124.25 (+0.47%)
Smallcap: 8,772.35 (+0.40%)
Bottom Line:
Market sentiment positive है 💚 IT और Midcap stocks outperform कर सकते हैं। आज ध्यान रहे — Vodafone Idea, Ather Energy, Britannia, Bajaj Finance, Glenmark, Tata Motors CV पर।
📊 आज के शेयर जो ध्यान में रखने चाहिए (10 नवम्बर 2025)
आज भारतीय शेयर बाजार हल्के उतार-चढ़ाव के साथ खुलने की उम्मीद है। GIFT NIFTY सिर्फ 6 पॉइंट ऊपर था यानी बाजार में ज्यादा जोश नहीं दिख रहा है। एशियाई बाजारों में हल्की तेजी देखने को मिली।
मुख्य सूचकांक (सुबह के भाव):
🟢 Sensex: 82,961 (-0.31%)
🟢 Nifty50: 25,492 (-0.07%)
🟢 Nifty Midcap: 59,843 (+0.63%)
🔴 Nifty Smallcap: 8,737 (-0.15%)
🟢 Nifty Bank: 57,876 (+0.56%)
🔴 Nifty IT: 35,117 (-0.62%)
🧾 आज जिन शेयरों पर नज़र रखनी चाहिए:
1. Nykaa (FSN E-Commerce Ventures)
कंपनी का मुनाफा 3.4 गुना बढ़कर ₹34.43 करोड़ हुआ (पिछले साल ₹10.04 करोड़)।
शेयर का रेट ₹245.87 के आस-पास।
2. Signature Global
कंपनी को ₹46.86 करोड़ का घाटा हुआ, जबकि पिछले साल ₹4.15 करोड़ का मुनाफा था।
3. Torrent Pharma 💊
मुनाफा 16% बढ़कर ₹591 करोड़ हुआ।
दवाइयों की मजबूत बिक्री से अच्छा नतीजा।
4. Trent Ltd (Tata Group) 👕
मुनाफा 11.3% बढ़ा, राजस्व ₹4,817 करोड़ तक पहुंचा।
फैशन और रिटेल सेगमेंट में मजबूत ग्रोथ।
5. Hindalco Industries 🏗️
मुनाफा 21.3% बढ़कर ₹4,741 करोड़ हुआ।
भारत और अमेरिका की Novelis यूनिट से बेहतर नतीजे।
6. Bajaj Auto 🏍️
अब तक का सबसे ऊँचा मुनाफा ₹2,122 करोड़।
राजस्व ₹15,734 करोड़ (18.8% बढ़त)।
7. JSW Cement 🧱
कंपनी का मुनाफा ₹86.4 करोड़, पिछले तिमाही में ₹64 करोड़ का घाटा था।
8. NALCO ⚙️
मुनाफा 36.7% बढ़कर ₹1,429 करोड़।
एल्युमिनियम कारोबार में मजबूती।
9. Swiggy 🍔
₹10,000 करोड़ जुटाने की तैयारी (IPO या QIP के जरिए)।
10. Ashoka Buildcon 🛤️
रेलवे से ₹539 करोड़ का बड़ा कॉन्ट्रैक्ट मिला।
11. HAL (Hindustan Aeronautics) ✈️
GE (USA) के साथ 113 इंजन सप्लाई करने का समझौता किया (2027–2032 तक)।
12. Lupin 💊
US FDA ने निरीक्षण में कोई गलती नहीं पाई, 100% अनुपालन।
13. Havells India ⚡
HPL के साथ ट्रेडमार्क विवाद सुलझा, HPL को ₹129.6 करोड़ मिले
14. Nuvama Wealth 💼
SEBI ने डेटा रिपोर्टिंग में मामूली गलती पर चेतावनी दी।
15. Waaree Energies ☀️
₹53.2 करोड़ में Racemosa Energy में 76% हिस्सेदारी खरीदी।
16. Container Corporation (Concor) 🚛
₹462 करोड़ के ऑर्डर मिले नए वैगन और स्टैकर सप्लाई के लिए।-
📈 Summary:
आज बाजार शांत रहने की संभावना है। मिडकैप स्टॉक्स में हल्की तेजी दिख सकती है, जबकि आईटी सेक्टर दबाव में रह सकता है।
Nykaa, Bajaj Auto, Hindalco और JSW Cement जैसे शेयरों में पॉजिटिव मूवमेंट संभव है।
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Repost from N/a
BTC/USD — BTC ₹or $
LATEST: $101,821.88 (Nov 7, 04:05 UTC).
🔻 Key intraday structure: Immediate support $100,900–$101,200; stronger support $99,500–$99,900.
🔺 Resistance: $102,600–$103,000 (first), then $104,500.
⚡ Momentum cue: Price > short-term EMA and small positive delta — bias mildly bullish while above $101,200. If price falls below $100,900 with volume pickup, flip to bearish.
🎯 Trade idea (scalp): Long above $101,400 with SL $100,900, target $102,800 (tight R:R ~1.6).
❌ Invalidation: Close below $99,900 on 1H with momentum — avoid longs.
ETH/USD — ETH
LATEST: $3,344.99 (Nov 7, 03:53 UTC).
🔻 Support (tight): $3,300–$3,320 (now critical); next $3,230–$3,250.
🔺 Resistance: $3,380–$3,410 (near-term), then $3,520.
⚡ Momentum cue: Mixed — small intraday buyers but losing steam near $3,380. Bias neutral-to-bullish only if ETH holds >$3,320.
🎯 Trade idea (scalp): Buy dip $3,310–$3,320 with SL $3,290, target $3,380–$3,395.
❌ Invalidation: Failure to hold $3,230 on 2H closes — then look for shorts.
XAU/USD — Gold (spot)
LATEST / PREV CLOSE: $3,977.09 (prev close); intraday quotes sitting ~$3,993–$3,996 (bid/ask snapshot).
🔻 Support (tight): $3,960–$3,970 (first), crucial $3,930–$3,945.
🔺 Resistance (tight): $3,995–$4,005 (immediate), then $4,020.
⚡ Momentum cue: Gold trading near upper day-range; safe-haven flows present — bias bullish above $3,995. Watch US dollar moves.
🎯 Trade idea (scalp/swing): Short small size at $4,005 with SL $4,025, target $3,975 (if failed breakout). Or buy dip $3,965 with SL $3,945, target $4,020.
❌ Invalidation: Sustained break below $3,930 on 4H closes — bearish continuation.
EUR/USD — FX
LATEST: 1.1536 (snapshot).
🔻 Support: 1.1500–1.1512 (tight); then 1.1460–1.1475.
🔺 Resistance: 1.1565–1.1580 (near), then 1.1620.
⚡ Momentum cue: Slight USD strength intraday — bias slightly bearish while below 1.1565.
🎯 Trade idea (scalp): Short under 1.1555 with SL 1.1585, target 1.1510–1.1515. Reverse only after clear break & retest above 1.1585.
❌ Invalidation: Clean breakout + retest above 1.1620 — switch to bullish setups.
Quick checklist for you:
Timeframes used: 5m–15m for scalps, 1H for bias, 4H for invalidation. ⏱️
Risk: keep small sizes and use tight SLs I wrote. ⚠️
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