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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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BUY SENSEX APR 78500CE ABOVE 431 TRG 450/480/510 wait for breakout above level cmp

📉 NIFTY 50 ANALYSIS CMP: ~23,997 👉 Resistance: 24,080 – 24,120 👉 Support: 23,920 – 23,880 ⚡ Setup: Below 23,920 → further downside momentum Above 24,120 → short covering bounce 🔥 Momentum Insight: Weak structure, sellers active on every rise Intraday trend: Sell on rise 📉 🏦 NIFTY BANK ANALYSIS CMP: ~54,900 👉 Resistance: 55,300 – 55,450 👉 Support: 54,500 – 54,300 ⚡ Setup: Break 54,500 → sharp fall possible (banking drag) Above 55,450 → reversal attempt 🔥 Momentum Insight: Banks are underperforming → market weak Key reason market not bouncing 🏛️ SENSEX ANALYSIS CMP: ~76,900 👉 Resistance: 77,300 – 77,500 👉 Support: 76,500 – 76,200 ⚡ Setup: Below 76,500 → panic selling zone Above 77,500 → recovery 🔥 Momentum Insight: Heavyweights under pressure Structure: Distribution phase 🚨 TRADE SETUPS (TIGHT RANGE) 🔻 BEARISH PLAN (PRIMARY) NIFTY SELL BELOW 23920 SL 24080 TGT 23820 / 23720 / 23650 🔺 BULLISH COUNTER (LOW PROBABILITY) NIFTY BUY ABOVE 24120 SL 23980 TGT 24250 / 24350 ⚡ FINAL VERDICT Market = Weak + Volatile 🔥 Best strategy = Wait for levels, avoid random entries Banking index will decide next big move

📉 आज का शेयर बाजार अपडेट (4 मई 2026) आज मार्केट थोड़ा कमजोर दिख रहा है: Sensex: 76913 (⬇️ -582 अंक) Nifty: 23997 (⬇️ -180 अंक) Bank Nifty: 54863 (⬇️ -540 अंक) Midcap / Smallcap भी गिरावट में सिर्फ IT सेक्टर थोड़ा पॉजिटिव है 🌍 ग्लोबल संकेत अमेरिका के मार्केट (S&P 500, Nasdaq) अच्छे से बंद हुए एशिया में मिला-जुला माहौल तेल की कीमतें थोड़ी गिरी हैं (यह भारत के लिए अच्छा संकेत है) Iran–US तनाव अभी भी बना हुआ है → मार्केट में डर 🔥 आज के फोकस स्टॉक्स 🚗 ऑटो सेक्टर Hero MotoCorp, Maruti, Tata Motors, M&M, Eicher Motors 👉 अप्रैल सेल्स डेटा आया है, इसलिए इन में हलचल रहेगी 📊 बड़े स्टॉक्स अपडेट Adani Enterprises ❌ इस बार ₹166 Cr का नुकसान 👉 पहले बड़ा प्रॉफिट था, इसलिए नेगेटिव संकेत D-Mart (Avenue Supermarts) ✅ मुनाफा ~19% बढ़ा 👉 मजबूत ग्रोथ, पॉजिटिव CDSL ❌ प्रॉफिट ₹100 Cr से घटकर ₹80 Cr 👉 थोड़ा कमजोर Kotak Mahindra Bank ✅ 10–13% प्रॉफिट ग्रोथ Tata Power ⚡ ₹6500 Cr का नया बड़ा प्लान (Solar manufacturing) 👉 लॉन्ग टर्म पॉजिटिव Vodafone Idea ❗ AGR dues ₹64,046 Cr 👉 बहुत बड़ा कर्ज, रिस्की Siemens ✅ ₹1825 Cr का ऑर्डर मिला 👉 पॉजिटिव NCC ✅ ₹1700 Cr के ऑर्डर 👉 अच्छी खबर Bank of India 💰 ₹7500 Cr फंड जुटाने का प्लान 👉 विस्तार की तैयारी 📊 आज के रिजल्ट वाले स्टॉक्स Tata Technologies Tata Chemicals BHEL Ambuja Cement Exide Industries 👉 इन पर वोलैटिलिटी ज्यादा रहेगी Conclusion मार्केट अभी weak sentiment में है लेकिन GIFT Nifty positive → शुरुआत अच्छी हो सकती है Auto + Result stocks = आज का गेम

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good morning guys 🌞

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✅✅🚀🚀PREMIUM GROUP PERFORMANCE TODAY NIFTY BANKNIFTY SENSEX STOCKS OPTIONS ✅🚀🚀🚀CRUDEOIL AND GOLD

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BULIISH BUY SIDE ACTIVATED ABOVE 24020🔥 24020 To 24084🔥✅TG1 done

BEARISH SELL SIDE Activated 🔥✅✅ 23880 to 23824🔥TG1 done

NIFTY OI ANALYSIS (5 May Expiry) CMP: 23,911 (-1.09%) PCR: 0.87 (Bearish bias) Max Pain: 24,000 IV Percentile: 78 (Very High → premiums inflated) 🔍 What the data is clearly saying: 1. Strong Put OI build-up above market 23900 → 24000 → 24100 puts have huge OI + sharp LTP spike (100%+) This shows aggressive downside hedging / panic buying Not bullish support → more like fear-driven positioning 2. Call side weak + heavy premium decay Calls from 23800–24150 all showing -45% to -60% drop Indicates call writers dominating Market not sustaining upside → sellers in control 3. 24000 is the battlefield Max Pain at 24000 Highest activity cluster around 23900–24000 Expect magnet behavior toward 24000, but direction depends on breakout ⚠️ Interpretation : PCR < 1 → slightly bearish, not extreme panic yet High IV → market expects big move (volatility expansion) Put LTP spike ≠ strong support always → could be trapped buyers 📊 Intraday Trading Zones (Tight Levels) BULLISH ONLY ABOVE: 24020 Target: 24080 / 24140 Reason: Break above max pain + call unwinding trigger BEARISH BELOW: 23880 Target: 23820 / 23750 Reason: Put writers may exit → downside acceleration 🧠 Smart Read (What big players likely doing): Writing calls aggressively ✔️ Forcing retail to buy puts at high IV ✔️ Preparing for either: Sideways decay near 24000 Or sudden sharp move (IV crush later) ⚡ Key Insight: This is a premium eating market right now. Both sides getting trapped unless clear breakout happens.

381 to 577🔥TG3 Done ✅✅✅ enjoy guys keep booking profit on target 🎯 enjoy guys
381 to 577🔥TG3 Done ✅✅✅ enjoy guys keep booking profit on target 🎯 enjoy guys

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