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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 28 615 obunachidan iborat bo'lib, Iqtisodiyot & Moliya toifasida 4 336-o'rinni va Hindiston mintaqasida 15 155-o'rinni egallagan.

📊 Auditoriya ko‘rsatkichlari va dinamika

невідомо sanasidan buyon loyiha tez o‘sib, 28 615 obunachiga ega bo‘ldi.

12 Iyun, 2026 dagi oxirgi ma’lumotlarga ko‘ra kanal barqaror faollikka ega. Oxirgi 30 kunda obunachilar soni -524 ga, so‘nggi 24 soatda esa -29 ga o‘zgardi va umumiy qamrov yuqori darajada qolmoqda.

  • Tasdiqlash holati: Tasdiqlanmagan
  • Jalb etish (ER): Auditoriya o‘rtacha 8.72% darajada jalb etiladi. Nashrdan keyingi dastlabki 24 soatda kontent odatda umumiy obunachilar sonining 4.76% ini tashkil etuvchi reaksiyalarni to‘playdi.
  • Post qamrovi: Har bir post o‘rtacha 2 494 marta ko‘riladi; birinchi sutkada odatda 1 361 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 13 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.

28 615
Obunachilar
-2924 soatlar
-1177 kunlar
-52430 kunlar
Postlar arxiv
News देखते ही मन में डर क्यों बैठ जाता है Market गिरती है या हमारी सोच सच बताओ आपने panic में कभी decision लिया है क्या Comment में YES या NO लिखो 👇🏻 http://youtube.com/post/UgkxUzp8LlD_0ddmkDjUXGuoNh2RC81vlpgu?si=ln9kT7GiezUBKbVV

आज पैशांवर चर्चा नाही, उद्या पैशांवर वाद हा पॅटर्न ओळखीचा वाटतोय का तुमचं उत्तर comment मध्ये द्या 👇🏻 http://youtube.com/post/Ugkx-Uv6mB-nHHT9YDaFFjh71D41S-Fs5D-7?si=8E2zPQJPEkHKHoMl

Intraday रोज़ decision, Long Term सालों का भरोसा गलत क्या है, सही क्या है Comment में लिखो 👇 http://youtube.com/post/Ugkx9w6BZbpniiIgFC24BSmL8m_qG0P2wkCg?si=1YV09Ao3b5-zqTR-

Share अच्छा होना एक बात है, और सही समय पर बिक जाना दूसरी बात Liquidity नहीं, तो profit सिर्फ screen पर होता है आपका अनुभव क्या कहता है comment करें 👇🏻 http://youtube.com/post/UgkxUlfc7Zp_fXwayifL1fHMLjsyUIvkHPvl?si=jevAicxKxKQZQmgN

📈 DAILY MARKET UPDATE 📅 Date – 9 Jan 2026 🇮🇳 INDIAN MARKET ✔️ Nifty 50 • Close: 25,877 • Change: ▼ 64 points • Trend: Bearish — 4th consecutive losing session • Technical Damage: – Broke upward trendline (from 7 Nov) – Slipped below 20DMA → momentum turned negative • Immediate Support: 25,855 • Major Support Zone: 25,700 • Immediate Resistance: 26,044 – 26,133 • Positional Range: 25,700 – 26,350 👉 Break below 25,855 = selling may accelerate ✔️ Bank Nifty • Close: 59,687 • Change: ▼ 304 points • Action: Heavy long unwinding, bulls showing capitulation • Still relatively strong compared to other sectors ✔️ FIIs & DIIs • FII Cash Sell: ₹3,367 crore (largest in 6 sessions) • MTD FII Outflow: ₹6,878 crore • FIIs remain clearly bearish ✔️ Sector Trend • All 12 sectoral indices closed in RED • Worst Sector: Nifty Metal ▼ 3.4% • Least Damage: Nifty Bank ✔️ Derivatives & Options Data • Nifty Futures: ▼ ~250 points • Open Interest: ▲ 15.7% → aggressive short buildup (highest in 1 year) • PCR: 0.66 (series low) → extreme bearish positioning • Call Writing: 5 calls written for every 1 put • Premiums: – Nifty: 109 points – Bank Nifty: 119 points (cost of carry still resilient) • FII Index L/S Ratio: 0.1 → structurally bearish • Retail Positioning: Aggressively bullish (contrarian risk) ✔️ Volatility • India VIX: ▲ 6.5% to 10.6 • Indicates strong downside momentum, base still forming ✔️ Stocks to Watch (F&O) • Top Gainer: Dixon ▲ 1.9% • Top Loser: BHEL ▼ 8.8% (on reports India may ease curbs on Chinese firms bidding for govt contracts) 🌍 GLOBAL MARKET ✔️ US Markets (Overnight) • S&P 500: ▲ 0.01% (flat) • Dow Jones: ▲ 0.6% • NASDAQ: ▼ 0.4% • US Futures: Flat in early Asian hours • Focus on US December Jobs Report & Supreme Court tariffrelated developments ✔️ Asia Markets • Mixed trade ahead of China inflation data • Nikkei: ▲ 0.54% • Topix: ▲ 0.46% ✔️ Commodities • Gold: ▲ 0.1% (rangebound) – Trading Range: 4300 – 4550 • WTI Crude: ▲ 1.75% to $57.09/bbl – Supported by 3.8 million barrel US inventory draw ✔️ Currency • USD/INR: 89.88 (slightly stronger dollar) 🎯 QUICK SUMMARY (FOR DAY TRADERS) • Market firmly in downtrend • 25,855 is key intraday trigger — break can accelerate fall • 25,700 is tactical support • Heavy FII selling + short buildup = sellonrise strategy • Volatility rising → keep tight stoplosses • Metals weakest, Bank Nifty relatively stable

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📈 DAILY MARKET UPDATE 📅 Date – 8 Jan 2026 🇮🇳 INDIAN MARKET ✔️ Nifty Levels: • Previous Close – 26,041 (down ~38 pts) • Pattern – Doji candle → Market indecision • Trend – Trading near lower band of rising channel • Key Levels: 🔺 Upside breakout above 26,188 → Target 26,274 🔻 Support 26,039 (20Day SMA) ⚠️ Break below 26,039 → 25,900 → 25,700 possible ✔️ Bank Nifty: • Close – 59,991 (down ~128 pts) • Weak due to selling in financial stocks ✔️ FIIs & DIIs: • FII Cash Sell – ₹1,528 Cr • Monthly outflow now ~₹3,200 Cr ✔️ Sector Trend (Key Movers): • Top Gainer – Tata Alexi +9.5% • Top Loser – Cipla −4.3% ✔️ Volatility: • India VIX – 9.95 (Calm, low fear) ✔️ Options Data: • Nifty PCR – 0.89 → Caution tone • Nifty – Short buildup seen • Bank Nifty – Long unwinding • Retail traders still net bullish (risk of squeeze) ✔️ Stock Setups to Watch: • Bullish Momentum: Tata Alexi • Weakness: Pharma space (Ciplaled) 🌍 GLOBAL MARKET ✔️ US Markets (Overnight): • S&P 500 – −0.3% • Dow Jones – −0.9% • Nasdaq – +0.2% (helped by Alphabet +2.4%) ✔️ US Equity Futures: • Flat / little changed ✔️ Asia Markets: • Nikkei – −0.46% • Topix – −0.27% • Overall – Mixed opening ✔️ Crude Oil (WTI): • −1.4% on demand & policy concerns ✔️ Gold: • Slight profitbooking after recent rally ✔️ Dollar / Rupee: • INR strengthened to ~89.83 ✔️ Volatility Index (US VIX): • Stable / mild risk tone ✔️ Data to Watch Today: • GDP estimates (Key for Budget outlook) 🎯 Quick Summary (For Day Traders) • Sentiment – Cautious / Riskoff • Key Nifty Zone – 26,039 → CRITICAL SUPPORT • Holding above → Bounce possible • Breaking below → Weakness toward 25,900 – 25,700 • FIIs continue heavy selling • Bank Nifty weak due to financial stock pressure • Retail traders still long → volatility risk • Global markets mixed with mild pressure

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Market demand और supply से चलता है, ये theory नहीं reality है सवाल बस इतना है, आप इसे देखते हैं या समझते हैं Comment करके बताइ 👇🏻 http://youtube.com/post/UgkxLExydWb9SUk0dTZrT6anthEp3cxjIMVG?si=tJ1cpCjPSksNixIl

📈 DAILY MARKET UPDATE 📅 Date – 7 Jan 2026 🇮🇳 INDIAN MARKET ✔️ Nifty Levels: • Previous Close – 26,079 (72 pts) • Support – 26,125 / 26,040 • Resistance – 26,274 / 26,350 • View – Volatile but positive bias above 26,274 ✔️ Bank Nifty: • Close – 60,118 (+74 pts) • Strong buying with rising Open Interest • Outperformance vs Nifty continues ✔️ FIIs & DIIs: • FIIs – Small Net Selling (~₹108 Cr) • Sentiment – Neutral to Mild Positive ✔️ Sector Trend: • Top Gainer – Pharma (+1.7%) • Weak Sector – Media (1.1%) • 9 of 12 sectors closed positive ✔️ Volatility: • India VIX ~ 10 — Stable & Low Risk Tone ✔️ Options Data: • PCR indicates mild bullish tone • Premiums remain positive — Long positions still active ✔️ Stock Setups to Watch: • IEX – Strong Move + High Momentum • Banking Stocks – Positive Bias • Avoid – Media & weak consumption names 🌍 GLOBAL MARKET ✔️ US Markets: • S&P 500 – +0.6% (New AllTime High) • Dow Jones – +1% (New High) • Nasdaq – +0.7% • Tone – Bullish ✔️ SGX / Gift Nifty: • Flat to Mild Positive ✔️ Crude Oil: • Slightly Lower (~0.8%) — Supply concerns easing ✔️ Dollar Index: • Stable ✔️ Volatility Index (US VIX): • Low – Riskon sentiment ✔️ Other Notes: • Precious Metals Strong – Gold + Silver Up • Geopolitical risk elevated 🎯 Quick Summary (For Day Traders) • Nifty support at 26,125 – Below this profitbooking may increase • Upside opens above 26,274 – target 26,350 zone • Bank Nifty stronger than Nifty • Volatility low – Trend Trading environment • Pharma & Banking look positive • Use dips for selective buying — but stay stockspecific

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सब market में पैसा कमाने आते हैं, पर पैसा आता कहाँ से है. क्या आपने कभी सोचा है. आपकी राय comment में लिखिए 👇🏻 http://youtube.com/post/Ugkx_eH60kR1mx-Ohf1MW5XZf4L8M9u25jBb?si=-okzUTYs7xgGOzpL

डोक्यात सगळ्यात जास्त काय फिरतं, काम की खर्च Comment करून सांग 👇🏻 http://youtube.com/post/Ugkx-YnsmbRJKCA2wcTnVdNMm1YuZUPirlMw?si=jtId_XNZ-XZu0dCv

📈 DAILY MARKET UPDATE 📅 Date – 6 Jan 2026 🇮🇳 INDIAN MARKET ✔️ Nifty Levels: • Previous Close – 26,250 (-78 pts) • Resistance – 26,334 → 26,400 / 26,500 • Support – 26,200 → 26,118 / 26,000 📌 Note: Nifty failed to hold new alltimehigh and profitbooking came in. Daily chart shows shortterm pause / consolidation. ✔️ Bank Nifty: • Previous Close – 60,044 (-107 pts) • Longs unwound → sentiment weakening ✔️ FIIs & DIIs: • FII longshort ratio = 0.13 → FIIs still defensive ✔️ Sector Trend: • Top Gainer – Realty (+2.1%) • Weak – IT • Overall – Mixed market ✔️ Volatility: • India VIX ↑ 6.1% → 10.02 (Risk sentiment rising) ✔️ Options Data (Important): • Heavy CALL OI at 26,400 → Strong Resistance • Strong PUT OI at 26,000 → Key Support 📌 Market likely rangebound: 26,000 – 26,400 ✔️ Stock Setups to Watch: • Momentum: PGL (+4.5%) • Weakness: Premier Energy (7%) 🌍 GLOBAL MARKET ✔️ US Markets: • S&P 500 +0.6% • Nasdaq +0.7% • Dow +1.2% (Alltime high) 📌 Boost from positive US business outlook & oillinked optimism ✔️ Asian Markets: • Japan Nikkei +1.12% • TOPIX +1.48% • Overall mixed start ✔️ Crude Oil (WTI): • $58.12 → up ~2% ✔️ Gold: • Up ~2.6% → Safehaven buying ✔️ Volatility Index (US VIX): • Higher → Risk sentiment cautious ✔️ Data to Watch Today: • US ISM numbers – may move global markets 🎯 Quick Summary (For Day Traders) • Nifty facing strong resistance near 26,334–26,400 • Support zone 26,200 → 26,000 • Rangebound bias likely unless breakout happens • FIIs still defensive → avoid overbullish bets • Watch 26,000 level closely – breakdown may trigger selling • Realty strong, IT weak • Global mood: Cautious but positive US trend