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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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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
📈 DAILY MARKET UPDATE — Date: 10 Sep 2025 🇮🇳 INDIAN MARKET ✔️ Nifty Levels: Close: 24,869 | Support: 24,700 / 24,500 | Resistance: 24,930 / 25,000 ✔️ Bank Nifty: Close: 54,068 | Support: 53,700 | Resistance: 54,300 ✔️ FIIs & DIIs: FIIs: Buy ₹2,000 Cr | DIIs: Sell ₹500 Cr (provisional) ✔️ Sector Trend: Top: IT, Pharma | Weak: Realty, FMCG ✔️ Volatility: India VIX: 10.7 (Down 1.4%) — lower fear, tighter ranges likely early. ✔️ Options Data: Max Call OI: 25,000 | Max Put OI: 24,700 | PCR (OI): 1.13 ✔️ Stock Setups to Watch: 1. Infosys — support 1,650 (buy above 1,670) 2. BPCL — resistance 450 (sell rejection) 3. Sobha Developers — at horizontal support (watch volume) 🌍 GLOBAL MARKET ✔️ US Markets: Dow: up | S\&P 500: record highs | Nasdaq: positive — tone: bullish ✔️ SGX Nifty: Flat to positive — indicates flat/positive open for India. ✔️ Crude Oil: Brent: \$66/bbl — be watchful for geopolitical news. ✔️ Dollar Index: DXY: steady — rupee likely steady/slightly stronger. ✔️ US VIX: Fell — riskon globally. ✔️ Data to Watch Today: US PPI later today — high impact for rates sentiment. 🎯 Quick Summary: Good morning. Nifty likely opens flat to positive as SGX is flat. Key support 24,700 — resistance 24,930. India VIX is low at 10.7; intraday volatility may stay contained. FIIs were buyers \~₹2,000 Cr which is supportive. Watch IT and Pharma for strength; avoid weak Realty names. Option band: 24,700–25,000. Trade idea: intraday buy above 24,930 with stop 24,850; short if below 24,700 with target 24,500.

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📈 DAILY MARKET UPDATE — Date: 09 Sep 2025 🇮🇳 INDIAN MARKET: ✔️ Nifty Levels: Close: 24,773 Support: 24,700 / 24,500 Resistance: 24,800 / 25,000 ✔️ Bank Nifty: Close: 54,187 Support: 54,000 Resistance: 54,500 / 54,800 ✔️ FIIs & DIIs: FIIs: Net Sellers (around ₹2,000+ Cr) DIIs: Net Buyers (around ₹3,000+ Cr) ✔️ Sector Trend: PSU Banks & Autos → Positive IT / Tech → Weak Overall market → Rangebound with stockspecific action ✔️ Volatility (India VIX): \~10.8 → Low, stable market (rangebound to bullish bias) ✔️ Options Data: Nifty PCR: \~0.95 (neutral to slightly positive) Resistance: 24,800–25,000 Support: 24,500–24,700 ✔️ Stock Setups to Watch: Banks & Autos: showing strength, watch for intraday longs IT stocks: weak trend → scalp shorts possible High beta names (newsdriven): trade only with strict SL 🌍 GLOBAL MARKET: ✔️ US Markets: Closed higher — Nasdaq led gains, S\&P mildly positive ✔️ SGX/GIFT Nifty: Indicating a +30–50 pts positive open ✔️ Crude Oil (Brent): Around \$66 / bbl → stable ✔️ Dollar Index (DXY): Weak → supportive for EMs & INR ✔️ Volatility Index (US VIX): \~15–16 → low volatility, riskon sentiment ✔️ Data to Watch Today: India: Inflation (CPI) later this week US: Key data this week → Fed cut expectations in focus 🎯 QUICK SUMMARY: Nifty range: 24,700–25,000 Bank Nifty range: 54,000–54,800 FIIs selling, DIIs supporting the market Sector play: focus on PSU banks & autos (longs), IT for shorts Global cues supportive; positive bias at open Trade with strict SL, avoid overleverage near expiry zones

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📈 DAILY MARKET UPDATE — Date: 08 Sep 2025 (Mon) 🇮🇳 INDIAN MARKET: ✔️ Nifty Levels: Close: 24,741 Support: 24,600 / 24,500 Resistance: 24,900 / 25,000 ✔️ Bank Nifty: Close: 54,114 Support: 53,600 Resistance: 54,700 ✔️ FIIs & DIIs: FIIs – Net Sellers DIIs – Net Buyers ✔️ Sector Trend: Strong: Auto, Metals Weak: IT, FMCG ✔️ Volatility (India VIX): At \~10.8 → Low fear, stable market ✔️ Options Data: PCR \~ 0.8 → Slightly bearish Max pain near 24,700 ✔️ Stock Setups to Watch: Bullish: M\&M, Maruti, Eicher, Tata Steel Bearish: ITC, TCS, HCL Tech 🌍 GLOBAL MARKET: ✔️ US Markets: S\&P 500 down \~0.3%, Nasdaq flat → Weak but stable ✔️ SGX Nifty: Trading +70–90 pts higher → Positive India open ✔️ Crude Oil (Brent): Around \$65–66/bbl ✔️ Dollar Index (DXY): Near 98 levels → Stable ✔️ VIX (US): \~15 → Low volatility globally ✔️ Data to Watch Today: China inflation & trade data Japan GDP data US CPI this week Fed meeting on 17 Sep (rate cut expectations high) 🎯 Quick Summary: Nifty closed 24,741 and Bank Nifty 54,114. Gift Nifty shows a positive start. FIIs selling, DIIs buying — keep index rangebound. Auto & Metals strong, IT & FMCG weak. India VIX low, so market stable but watch sudden spikes. Globally, US markets weak, crude and dollar steady, Fed rate cut expectation supports sentiment.

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