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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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Chart Commando (@chartcommando) Ingliz til segmentidagi kanali faol ishtirokchi. Hozirda hamjamiyat 28 633 obunachidan iborat bo'lib, Iqtisodiyot & Moliya toifasida 4 333-o'rinni va Hindiston mintaqasida 15 141-o'rinni egallagan.

📊 Auditoriya ko‘rsatkichlari va dinamika

невідомо sanasidan buyon loyiha tez o‘sib, 28 633 obunachiga ega bo‘ldi.

11 Iyun, 2026 dagi oxirgi ma’lumotlarga ko‘ra kanal barqaror faollikka ega. Oxirgi 30 kunda obunachilar soni -503 ga, so‘nggi 24 soatda esa -14 ga o‘zgardi va umumiy qamrov yuqori darajada qolmoqda.

  • Tasdiqlash holati: Tasdiqlanmagan
  • Jalb etish (ER): Auditoriya o‘rtacha 8.59% darajada jalb etiladi. Nashrdan keyingi dastlabki 24 soatda kontent odatda umumiy obunachilar sonining 4.78% ini tashkil etuvchi reaksiyalarni to‘playdi.
  • Post qamrovi: Har bir post o‘rtacha 2 461 marta ko‘riladi; birinchi sutkada odatda 1 369 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 12 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.

28 633
Obunachilar
-1424 soatlar
-1037 kunlar
-50330 kunlar
Postlar arxiv
📈 DAILY MARKET UPDATE 📅 Date – 27 March 2026 1️⃣ VERY IMPORTANT NEWS 🌍 Global Affairs (US–Iran Tensions) Donald Trump stated he is not desperate for a peace deal with Iran and warned of continued military action. Iran rejected the US 15point peace proposal and placed its own conditions: Stop US & Israeli attacks No future aggression Compensation for damages Recognition of its regional rights Iran also said it does not trust the US and Israel. 🇮🇳 IndiaSpecific Updates RBI announced new rules from April 1, 2026: Mandatory twofactor authentication for all digital payments Stricter trading margin rules 👉 Impact: Likely increase in banking operational costs Negative sentiment for banking stocks (HDFC Bank, ICICI Bank ADRs fell) 🌍 GLOBAL MARKET ✔️ US Markets: • Dow Jones 🔻 1.01% • S&P 500 🔻 1.74% • Nasdaq 🔻 2.38% • VIX jumped ~8% → risk sentiment high ✔️ Asia Market Update: • Japan Nikkei 🔻 ~1.2% • Asian markets weak following US crash ✔️ Gift Nifty Signal: • Indicates gapdown opening (~100–150 points) ✔️ Crude Oil: • Brent ~ $100–101 • WTI ~ $93 • ⚠️ Above $100 = Negative for markets ✔️ Dollar Index: • Strong → pressure on global equities ✔️ Volatility Index (VIX US): • Around 27.5 → High fear zone 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • Positive: Consumer Durables • Weak: Banking, IT mixed ✔️ Market Sentiment / Trend: • Shortterm: Volatile / Newsdriven • Structure improving but momentum weak due to global pressure ✔️ Volatility (India VIX): • Around 24–25 → Elevated 💰 FII & DII DATA ✔️ FIIs: • Sold ₹185 Cr (recent session) • Monthly outflow ~ ₹11,297 Cr ✔️ DIIs: • Supportive buying seen 📊 COMMODITIES UPDATE ✔️ Crude: • Highly volatile → main market driver ✔️ Gold: • Slight correction (profit booking + strong dollar) ✔️ Silver: • Weak trend 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • Heavy at higher levels (resistance zone) ✔️ Put OI: • Buildup near 23,000 (support) ✔️ PCR: • Around 1.21 → mildly bullish/defensive 📈 NIFTY LEVELS ✔️ Trend: • Sideways to bearish (intraday volatility high) • Immediate Support: 23,000 • Major Support: 22,800 – 22,700 • Immediate Resistance: 23,350 • Strong Resistance: 23,800 📉 BANK NIFTY LEVELS ✔️ Trend: • Weak (due to banking pressure + RBI rules) • Immediate Support: 53,000 • Major Support: 52,300 – 52,000 • Immediate Resistance: 53,800 • Strong Resistance: 54,500 📊 STOCKS / SECTORS IN NEWS • Banking stocks → negative due to RBI rule changes • IT stocks → flat/neutral • Oilrelated stocks → in focus (due to crude volatility) 📊 STOCK SETUPS TO WATCH • Oil & Gas stocks (based on crude movement) • Consumer Durable stocks (relative strength) • Banking stocks (weakness / shorting opportunity) 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 22,800 – 23,400 ✔️ Bank Nifty Range: 52,000 – 54,000 📅 IMPORTANT DATA / EVENTS TODAY • US–Iran geopolitical updates • Crude oil price movement • Global market recovery or further fall 🎯 INTRADAY TRADING VIEW 👉 Gapdown opening expected 👉 Watch 23,000 level carefully 👉 • If holds → bounce possible • If breaks → sharp fall towards 22,800 👉 Best strategy: • Trade light • Focus on quick intraday moves • Avoid heavy positional trades 📌 QUICK SUMMARY • Market fully newsdriven (US–Iran + crude oil) • Gapdown opening likely, volatility high • 23,000 = makeorbreak level

राम नवमीच्या हार्दिक शुभेच्छा✨🌸
राम नवमीच्या हार्दिक शुभेच्छा✨🌸

आपके हिसाब से ये pause है या bigger move का संकेत 🤔 Comment में जरुर लिखें 👇🏻 http://youtube.com/post/Ugkxl5lPo3tyae1mvOZy52N-jZTA6fbEwyHt?si=C9eDqzgvAfPVnRG3

📈 DAILY MARKET UPDATE 📅 Date – 25 March 2026 1️⃣ VERY IMPORTANT NEWS 🌍 Global Affairs Donald Trump claimed talks with Iran and delayed possible attack by 5 days. Iran denied any negotiations and launched missiles at Israel, increasing tension. Despite conflict, signs suggest possible deescalation (peace talks discussion). The New York Times reported: US sent a 15point peace plan via Pakistan Proposal includes a 1month ceasefire 🇮🇳 Indian Economy India growth concern: Goldman Sachs cut GDP forecast 👉 From 7% → 5.9% (big negative) Possible RBI rate hike of 50 bps expected March PMI data: Manufacturing PMI: 53.8 (slowest since Sep 2021) Composite PMI: 56.5 (slowest since Oct 2022) 🌍 GLOBAL MARKET ✔️ US Markets: • Closed negative (Dow, S&P 500, Nasdaq down ~0.2%–0.8%) • VIX near 27 → High fear ✔️ Asia Market Update: • Strong recovery (Japan +3%, Asia broadly positive) ✔️ Gift Nifty Signal: • Around 22,900 → Flat opening with positive bias ✔️ Crude Oil: • Cooling near $95–$100 → Market supportive ✔️ Dollar Index: • Strong → Pressure on emerging markets ✔️ Volatility Index (VIX US): • Elevated → Uncertainty remains 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • Pharma & Media positive • IT & Banking weak ✔️ Market Sentiment / Trend: • Highly volatile & confused (newsdriven market) ✔️ Volatility (India VIX): • Around 24–25 → Still high 💰 FII & DII DATA ✔️ FIIs: • Selling continues (18th session) • ~₹8,000 Cr sell → Bearish sentiment ✔️ DIIs: • Buying ~₹5,000 Cr → Supporting market 📊 COMMODITIES UPDATE ✔️ Crude: • Stable → Key driver of market ✔️ Gold: • Up ~1.4% → Safe haven demand ✔️ Silver: • Slightly positive 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • 23,500 (Strong resistance) • 23,000 & 23,700 ✔️ Put OI: • 23,000 (Strong support) • 22,500 & 22,800 ✔️ PCR: • Around 0.99 – 1.07 → Neutral to slightly bullish 📈 NIFTY LEVELS ✔️ Trend: • Sideways to bearish (volatile) • Immediate Support: 22,700 – 22,600 • Major Support: 22,500 – 22,200 • Immediate Resistance: 23,000 – 23,200 • Strong Resistance: 23,500 📉 BANK NIFTY LEVELS ✔️ Trend: • Weak with short covering bounce • Immediate Support: 52,200 – 52,000 • Major Support: 51,500 • Immediate Resistance: 53,000 – 53,300 • Strong Resistance: 53,800 📊 STOCKS / SECTORS IN NEWS • HDFC Bank → Positive (internal review news) • IT Sector → Weak (rate hike fears) • Banking → Pressure continues 📊 STOCK SETUPS TO WATCH • Oilsensitive stocks (paint, aviation) → Watch upside if crude falls • IT stocks → Weakness on bounce • Banking stocks → Sell on rise 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 22,500 – 23,500 ✔️ Bank Nifty Range: 52,000 – 53,500 📅 IMPORTANT DATA / EVENTS TODAY • US–Iran news flow (Very important) • Crude oil movement 🎯 INTRADAY TRADING VIEW 👉 Trade light & quick scalps only 👉 Market fully newsdriven (avoid big positions) 👉 Watch crude oil → Key indicator for direction 📌 QUICK SUMMARY • Market in confusion zone (geopolitics + macro pressure) • Crude oil = main driver right now • FIIs bearish, DIIs supporting → Tug of war

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Market अभी relief में है या ये सिर्फ temporary pause है… आप क्या सोचते हो, Comment में जरुर लिखें 👇🏻 http://youtube.com/post/UgkxlKTqH0_yiSqWQFk44NcptOHYhE7AzNOc?si=8eLwT2DvphqVKkoK

📈 DAILY MARKET UPDATE 📅 Date – 24 March 2026 1️⃣ VERY IMPORTANT NEWS 🇺🇸 Donald Trump has postponed military strikes on Iran for 5 days 🇮🇷 Iran talks ongoing → temporary easing of geopolitical tensions ⛽️ Brent Crude Oil ~$96.5 and WTI Crude Oil ~$89 → oil prices down ~9–10% 📈 US Markets rallied strongly: Dow Jones Industrial Average +1.38% S&P 500 +1.15% Nasdaq Composite +1.38% 🌏 Asian markets also positive (Japan, Australia up) 😰 India VIX still high (~26) → volatility remains 🌍 GLOBAL MARKET ✔️ US Markets: • Dow Jones +1.38% • S&P 500 +1.15% • Nasdaq +1.38% (strong rebound) ✔️ Asia Market Update: • Japan markets positive (~1–2%) • Overall Asia following US rally ✔️ Gift Nifty Signal: • Indicating strong GAP UP (~400–700 points) ✔️ Crude Oil: • Brent ~ $96.5 (below $100) • WTI ~ $88–89 • Big fall = bullish for equities ✔️ Dollar Index: • Slight weakness → supportive for EM markets ✔️ Volatility Index (VIX US): • Slight dip (~2.5%) but still elevated 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • Positive: IT, Export stocks, Oil consumers • Weak: Banking (liquidity issue) ✔️ Market Sentiment / Trend: • Shift from FEAR → RELIEF RALLY ✔️ Volatility (India VIX): • Around 26 (still high → expect volatility) 💰 FII & DII DATA ✔️ FIIs: • Sold ₹10,400 Cr (17th consecutive selling day ❗️) ✔️ DIIs: • Bought ₹12,000 Cr (strong support) 📊 COMMODITIES UPDATE ✔️ Crude: ↓ ~9% (major positive) ✔️ Gold: ↓ ~1.9% (profit booking) ✔️ Silver: Slightly weak 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • 23,000 > 23,200 > 22,700 ✔️ Put OI: • 22,300 > 22,400 > 21,800 ✔️ PCR: • ~0.83 (bearish to neutral, improving) 📈 NIFTY LEVELS ✔️ Trend: Shortterm bounce possible (oversold recovery) • Immediate Support: 22,500 – 22,400 • Major Support: 22,100 • Immediate Resistance: 23,200 • Strong Resistance: 23,500 📉 BANK NIFTY LEVELS ✔️ Trend: Weak but bounce possible • Immediate Support: 50,700 • Major Support: 50,000 • Immediate Resistance: 52,500 • Strong Resistance: 53,000 📊 STOCKS / SECTORS IN NEWS • Export companies (RoDTEP benefit) • IT stocks (positive global cues) • Banking stocks (liquidity concern) • Oilsensitive sectors (benefit from crude fall) 📊 STOCK SETUPS TO WATCH • ICICI Bank (recovery possible) • Infosys (positive ADR cues) • Reliance (benefits from crude drop) 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 22,400 – 23,200 ✔️ Bank Nifty Range: 50,700 – 53,000 📅 IMPORTANT DATA / EVENTS TODAY • Middle East developments (very critical ⚠️) • Progress on US–Iran talks 🎯 INTRADAY TRADING VIEW 👉 Gapup opening expected → Avoid chasing highs 👉 Look for dip buying opportunities near support 👉 Volatility high → keep strict SL 📌 QUICK SUMMARY • Global sentiment turned positive (big trigger) • Crude oil crash = strong bullish factor for India • Market may see relief rally today • But next 5 days are very crucial (geopoliticsdriven)

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Exact 5th se boom.....
Exact 5th se boom.....

Feedback नहीं… real transformation है। Losses से learning… और learning से profit का सफर। आप अभी भी trial कर रहे हो… या अब seriously सीखना शुरू करोगे? 👇 👉 Course link- https://course.chartcommando.com/s/store

AUD-20260323-WA0002.opus2.94 KB

Oil route पर tension… market में uncertainty 👀 आपके हिसाब से ये सिर्फ panic है या बड़ा move आने वाला है? 👇 Comment में जरुर लिखें 👇🏻 http://youtube.com/post/Ugkxe7JuXWvvB3jMuQmUxwUAcDCewh5A_Ogb?si=0iStDfxLjM_xu9Qc

📈 DAILY MARKET UPDATE 📅 Date – 23 March 2026 1️⃣ VERY IMPORTANT NEWS 🌍 International Affairs • US–Iran Tension (Strait of Hormuz) Strait of Hormuz reopening partially Iran allowed neutral ships but restricted enemy vessels Important for global oil supply (India & China benefit) • US Warning to Iran Donald Trump warned Iran to open Strait within 48 hours Threat: Possible strike on Iranian infrastructure • Iran’s Counter Warning Iran said it may completely close Strait of Hormuz if attacked Also threatened to target USbase countries like: Qatar UAE Saudi Arabia • Middle East Escalation Continues Rising tensions involving Israel Lebanon 🌍 GLOBAL MARKET ✔️ US Markets: • Dow Jones: 0.96% • S&P 500: 1.51% • Nasdaq: 2.01% (heavy fall) ✔️ Asia Market Update: • Mixed to negative (following US weakness) ✔️ Gift Nifty Signal: • Earlier indicating ~300 points gap down (but may improve due to oil fall) ✔️ Crude Oil: • Brent: ↓ from $112 → ~$106 • WTI: Around $98 (cooling = positive for India) ✔️ Dollar Index: • Slightly strong (pressure on emerging markets) ✔️ Volatility Index (VIX US): • Jumped ~11% → Near 27 (high fear zone) 🇮🇳 INDIAN MARKET OVERVIEW ✔️ Sector Trend: • Oilsensitive sectors positive (paint, aviation, OMCs) • Banks under pressure ✔️ Market Sentiment / Trend: • Weak to sideways (global tension impact) ✔️ Volatility (India VIX): • Likely to remain elevated 💰 FII & DII DATA ✔️ FIIs: • Sold ₹5,500 Cr (bearish) ✔️ DIIs: • Bought ₹5,700 Cr (supporting market) 📊 COMMODITIES UPDATE ✔️ Crude: Falling (positive for India) ✔️ Gold: Likely strong (safe haven demand) ✔️ Silver: Mixed 📊 OPTIONS DATA (OI BUILDUP) ✔️ Call OI: • 23,800 (Strong resistance) • 23,500 / 23,300 ✔️ Put OI: • 23,000 (Strong support) • 22,800 / 22,500 ✔️ PCR: • 0.91 (improving but still cautious) 📈 NIFTY LEVELS ✔️ Trend: Downtrend (Lower High Lower Low) • Immediate Support: 22,900 • Major Support: 22,700 – 22,500 • Immediate Resistance: 23,200 – 23,400 • Strong Resistance: 23,500 – 23,800 📉 BANK NIFTY LEVELS ✔️ Trend: Bearish • Immediate Support: 53,000 • Major Support: 52,500 • Immediate Resistance: 53,900 • Strong Resistance: 54,000 📊 STOCKS / SECTORS IN NEWS • HDFC Bank – Executives removed (misselling issue) → Negative • Airline stocks – Govt removed fare caps → Positive • Oilrelated stocks – Positive due to falling crude 📊 STOCK SETUPS TO WATCH • HDFC Bank → Weak sentiment, watch breakdown • Indigo / Airline stocks → Momentum possible • OMCs (IOC, BPCL, HPCL) → Positive bias 🎯 EXPECTED TRADING RANGE TODAY ✔️ Nifty Range: 22,900 – 23,400 ✔️ Bank Nifty Range: 53,000 – 54,000 📅 IMPORTANT DATA / EVENTS TODAY • Oil price movement (very important) • Middle East geopolitical updates 🎯 INTRADAY TRADING VIEW 👉 Market volatile rahega 👉 Gap down recovery possible (oil cooling effect) 👉 Sell on rise better till trend reversal 👉 Newsbased spikes expected (avoid overtrading) 📌 QUICK SUMMARY • Oil down = Big positive for India • But geopolitical risk still high • FIIs selling → pressure continues • Market = Volatile + Sell on rise

जब trade against जाता है… आप discipline follow करते हो या खुद को convince करते रहते हो कि market वापस आएगा? Comment में जरुर लिखें 👇🏻 http://youtube.com/post/Ugkx2_tVznDRIR7m3lIgX9mY7g9BNgeMdW1G?si=j5qXre6fGtYAJL36

इन्शुरन्स हा trend नाही, तो खरंतर गरज आहे आपण तो पुढे ढकलतोय, पण risk खरंच पुढे ढकलता येतो का? https://www.instagram.com/p/DWLVZt-DPw7/?igsh=czB6Zzd4ODl5bXp6

Market आपको patience का reward देता है… या पहले आपकी हिम्मत test करता है? 👇 Comment में जरुर लिखें 👇🏻 http://youtube.com/post/UgkxeR7UVr-xtRpIhVIBC_919CBi96vGFvV6?si=Lrnt3lizUD801-ge