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Chart Commando

Chart Commando

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Disclaimer: All information & Charts are given only for educational purpose.You can paper trade only.I am not a SEBI Registered analyst. For queries- https://bit.ly/3PKOCZ3 Registration Details bit.ly/4uM3iK1

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📈 Telegram kanali Chart Commando analitikasi

Chart Commando (@chartcommando) Ingliz til segmentidagi kanali faol ishtirokchi. Hozirda hamjamiyat 28 571 obunachidan iborat bo'lib, Iqtisodiyot & Moliya toifasida 4 339-o'rinni va Hindiston mintaqasida 15 151-o'rinni egallagan.

📊 Auditoriya ko‘rsatkichlari va dinamika

невідомо sanasidan buyon loyiha tez o‘sib, 28 571 obunachiga ega bo‘ldi.

13 Iyun, 2026 dagi oxirgi ma’lumotlarga ko‘ra kanal barqaror faollikka ega. Oxirgi 30 kunda obunachilar soni -523 ga, so‘nggi 24 soatda esa -20 ga o‘zgardi va umumiy qamrov yuqori darajada qolmoqda.

  • Tasdiqlash holati: Tasdiqlanmagan
  • Jalb etish (ER): Auditoriya o‘rtacha 8.78% darajada jalb etiladi. Nashrdan keyingi dastlabki 24 soatda kontent odatda umumiy obunachilar sonining 4.79% ini tashkil etuvchi reaksiyalarni to‘playdi.
  • Post qamrovi: Har bir post o‘rtacha 2 511 marta ko‘riladi; birinchi sutkada odatda 1 371 ta ko‘rish yig‘iladi.
  • Reaksiyalar va o‘zaro ta’sir: Auditoriya faol: har bir postga o‘rtacha 11 ta reaksiya keladi.
  • Tematik yo‘nalishlar: Kontent nifty, weak, resistance, near, markets kabi asosiy mavzularga jamlangan.

📝 Tavsif va kontent siyosati

Muallif resursni shaxsiy fikrni ifoda etish maydoni sifatida ta’riflaydi:
Disclaimer: All information & Charts are given only for educational purpose.You can paper trade only.I am not a SEBI Registered analyst. For queries- https://bit.ly/3PKOCZ3 Registration Details bit.ly/4uM3iK1

Yuqori yangilanish chastotasi (oxirgi ma’lumot 14 Iyun, 2026 da olingan) sababli kanal doimo dolzarb va katta qamrovli bo‘lib qoladi. Analitika auditoriya kontent bilan faol hamkorlik qilishini, uni Iqtisodiyot & Moliya toifasidagi muhim ta’sir nuqtasiga aylantirishini ko‘rsatadi.

28 571
Obunachilar
-2024 soatlar
-1217 kunlar
-52330 kunlar
Postlar arxiv
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🔍 Q. Which would likely cause stock prices to go up?
Anonymous voting

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📈 DAILY MARKET UPDATE — 16 Sep 2025 🇮🇳 INDIAN MARKET ✔️ Nifty Levels: • Close: 25,069 (45 pts) • Support: 25,000 / 24,800 • Resistance: 25,150 / 25,250 ✔️ Bank Nifty: • Close: 54,888 • Support: 54,000 / 54,500 • Resistance: 55,500 / 57,000 ✔️ FIIs & DIIs (15 Sep): • FIIs: ₹1,269 Cr (selling) • DIIs: +₹1,933 Cr (buying) ✔️ Sector Trend: • Gainers: Realty, PSU Banks • Losers: Pharma, IT ✔️ Volatility: • India VIX: 10.4 (mildly up) ✔️ Options Data: • Max Put OI: 25,000 (major support) • Max Call OI: 26,000 (major resistance) • PCR around 1.0 — neutral to mild bullish ✔️ Stock Setups to Watch: • Weakness near support: Asian Paints, M\&M • Momentum / News buzz: Railtel 🌍 GLOBAL MARKET ✔️ US Markets (15 Sep): • S\&P 500: +0.5% (record high) • Nasdaq: +0.8% • VIX (US): 15.7 (+6%) ✔️ SGX Nifty (preopen): \~25,150 ✔️ Crude Oil: Brent \~\$67/bbl (steady) ✔️ Dollar Index (DXY): \~97.5 (slightly soft) ✔️ Data to Watch Today: • US Retail Sales & Industrial Production • FOMC Meeting (16–17 Sep) — Fed rate decision tomorrow 🎯 Quick Summary: Good morning! US markets closed higher with the S\&P 500 and Nasdaq at fresh records, but volatility (VIX) also spiked. Indian markets ended slightly lower: Nifty at 25,069 and Bank Nifty at 54,888. FIIs sold ₹1,269 Cr, DIIs bought ₹1,933 Cr. Sectorwise, Realty & PSU Banks were strong, while Pharma & IT dragged. India VIX at 10.4 hints at possible swings. For intraday, watch 25,000 support and 25,250 resistance on Nifty. Global cues: US data today and Fed meeting tomorrow will drive sentiment. Crude steady near \$67 and Dollar Index soft, which is slightly positive for India.

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🔍 Q. IPO stands for __.
Anonymous voting

📈 DAILY MARKET UPDATE — Date: 15 Sep 2025 🇮🇳 INDIAN MARKET: ✔️ Nifty Levels: Close: 25,114 | Support: 25,000 / 24,880 | Resistance: 25,200 / 25,670 👉 Bias: Mild Bullish but near resistance zone. ✔️ Bank Nifty: Close: 54,809 | Support: 53,600 | Resistance: 55,000 👉 PSU Banks showing relative strength. ✔️ FIIs & DIIs: FII: +130 Cr (buying) | DII: 50 Cr (selling) MTD FII: 9,200 Cr (still heavy outflow). ✔️ Sector Trend: Bullish: Metals, Financials Weak: FMCG ✔️ Volatility: India VIX: 10.1 (falling) → market comfortable, intraday swings may be limited. ✔️ Options Data: Nifty PCR: 1.29 | Max Pain: 25,200 Highest OI: Call 25,500 / Put 25,000 👉 Puts adding OI → downside protected, but upside capped near 25,200–25,300. ✔️ Stock Setups to Watch (Intraday): 1. Crompton — Buy above 480 | SL 472 | TGT 492 / 505 2. Bandhan Bank — Sell below 235 | SL 241 | TGT 226 / 220 3. Godrej Properties — Sell near 2,230 resistance | SL 2,265 | TGT 2,180 🌍 GLOBAL MARKET: ✔️ US Markets: Dow flat, Nasdaq up +0.4% → tech strength, overall mixed. ✔️ SGX Nifty: Trading \~50 pts down → Nifty may open slightly weak. ✔️ Crude Oil: Brent \$67 → Stable, no major pressure. ✔️ Dollar Index (DXY): At 104 → firm, keeping INR under check. ✔️ Volatility Index (VIX US): At 14.8, flat → no panic in global markets. ✔️ Data to Watch Today: • India WPI & Trade Balance (Medium Impact) • US Empire Manufacturing Data (Medium Impact, 13:30 IST) 🎯 Quick Summary: Nifty bias neutraltopositive but 25,200–25,300 is strong resistance zone. FIIs still net sellers on MTD basis. Best trades: momentum plays in Metals & Banks. Avoid chasing gapup/gapdown; wait for levels confirmation.

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Video Is Out Watch Now 👆

🔍 Q. The VIX is commonly referred to as the:
Anonymous voting

📈 DAILY MARKET UPDATE — 12 Sep 2025 🇮🇳 INDIAN MARKET ✔️ Nifty Levels: Close: 25,005 Support: 24,850 – 24,900 Resistance: 25,050 – 25,250 ✔️ Bank Nifty: Close: 54,670 Support: 54,000 – 54,200 Resistance: 55,000 – 55,200 ✔️ FIIs & DIIs: FIIs: Net Sellers (₹3,400+ Cr) DIIs: Net Buyers (₹4,000+ Cr) ✔️ Sector Trend: Energy & Media strong IT weak Banks hold key levels ✔️ Volatility: India VIX \~ 10.5 (low, stable market) ✔️ Options Data: PCR around 1.15–1.17 → mildly bullish Range: 24,900 – 25,200 (watch option OI buildup) ✔️ Stock Setups to Watch: Infosys (buyback news, high volumes) Crompton (support level) Havells (support reversal possible) Adani Ent / Biocon / Godrej Prop (watch resistance zones) 🌍 GLOBAL MARKET ✔️ US Markets: S\&P 500 +0.8%, Nasdaq +0.6% → strong close ✔️ SGX Nifty: Trading \~+75 pts → positive India open ✔️ Crude Oil: Brent \~\$66 → weak tone, supply pressure ✔️ Dollar Index: Around 97.5–98 → softer dollar, EM flows supportive ✔️ Volatility Index (VIX US): \~14–15 → calm, bullish for equities ✔️ Data to Watch Today: India CPI (Aug) US Michigan Sentiment 🎯 Quick Summary: Nifty managed to close above 25,000; bias positive if it holds 24,900. FIIs selling, but DIIs buying supports the market. Options data shows range 24,900 – 25,200; break outside this can give momentum. Global cues positive (US rally, soft dollar, Gift Nifty higher). Intraday focus: Banks, Energy, selective stock setups. Event risk: India CPI today → avoid big directional bets till data.