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➡️ Stock To Watchlist / Keep In Eye. Apollo hospital, Tata Motors, Astral, KRN Heat Exchange, Gujarat Pipavav Port, Bliss GVS, Petronet LNG, HAL, JK Cement, Jio Financial, GE Power, Sun Tv, Tata Motors CV
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➡️ Nifty50 Trading Analysis & Set-up Nifty 50 abhi 24,471 ke aas-paas trade kar raha hai. Kal 112 points gira tha aur 24,429 tak neeche gaya tha, lekin wahan se thoda rebound kiya. GIFT Nifty 24,550 ke around hai, jo flat-to-mildly positive opening dikhata hai. 👉 Support Levels Immediate Support :- 24,429 Kal ka intraday low, agar break hua toh bearish signal Strong Support :- 24,400 200 EMA - abhi tak defend kar raha hai Next Support :- 24,350-24,380 20-day DEMA aur 38.2% Fibonacci retracement Major Support :- 24,287 20-DMA - yeh hai sabse important level Deeper Support :- 24,200-24,300 50 aur 100-day EMA ka convergence zone 👉 Resistance Levels Immediate Resistance :- 24,500 Psychological level - kal yahan se neeche aaya Key Resistance :- 24,500-24,600 Strong resistance zone Breakout Confirmation :- 24,576 Kal ka high - agar yeh cross kiya toh uptrend resume Next Target :- 24,700-24,800 Agar 24,600 paar kiya toh yeh target 👉 Technical 8-day EMA : 24,506 - Price iske niche hai, isko wapas upar jaana hoga 20-DMA : 24,287 - Sabse important level - agar yeh break hua toh structure khatre mein RSI(14) : 60 se neeche aa gaya (~54), bullish momentum kamzor ho raha hai MACD : Histogram kaafi shrink ho gaya, recent rally ki taqat kam ho rahi hai 👉 Nifty ne 6 sessions mein 1,168 points (4.95%) ka rally kiya tha, uske baad ab consolidation ho raha hai. Kal bearish candle bani aur 8-day EMA se neeche close hui. Price structure flag formation jaisa lag raha hai. Agar 24,429 break hota hai toh short-term top confirm ho sakta hai 👉 Trading Setup • 24,450-24,500 (dip me kharidna) Stop Loss 24,400 (intraday) Target 24,576 → 24,600 → 24,700 Confirmation 8-day EMA (24,506) ke upar close kare aur 24,576 break kare • 24,429 ke niche breakdown ke baad short Stop Loss 24,500 Target 24,350 → 24,320 → 24,287 (20-DMA) → 24,200 Confirmation Agar closing 24,429 se niche aati hai toh confirmation
➡️ Stock To Watchlist / Keep In Eye. MCX, Zydus, JSW Dulux, TD Power, Flair Writing, Polyplex, Borana Weaves, Innova Captab, Landmark Car, Man Ind
➡️ Nifty50 Trading Analysis & Set-up CURRENT MARKET PRICE (CMP) Nifty 50 abhi 24,615.55 hai, +31.75 pts (+0.13%) 9:18 AM pe index 24,510.25 tha, ab thoda recover ho gaya Monday close: 24,583.80 👉 KEY LEVELS (Technical) Resistance 24,600 - Immediate resistance 24,700-24,800 - Crucial resistance zone 24,775 - Profit-booking zone Support 24,500-24,525 - Immediate support 24,400 - Next downside target agar 24,500 break hua 24,200-24,265 - Strong buy area / reversal zone 👉 TECHNICAL INDICATORS MACD : Bullish hai (144.33 vs 142.50) lekin momentum flatten ho raha hai RSI(14) : 60.97 pe hai, overbought se thoda cool down hua - buyers ki conviction kam ho rahi hai 20-SMA : 24,668 - price iske neeche hai India VIX : Stabilized hai 👉 KEY CATALYSTS TODAY Crude oil price movement – agar $87 se upar jaata hai to Nifty pe pressure aayega. US-Iran deal ki koi update – agar positive news aati hai to crude dip kar sakta hai, jo bullish hai. Nifty rejig: Wipro ki jagah BSE aayega 30 Sept se – iska kuch stocks par effect ho sakta hai. Q1 results ka flow – kuch midcap aur largecap companies ke numbers aane wale hain. FPI inflows August mein abhi tak ~$1.5B hai – ye market ko support de raha hai 👉 TRADING SETUPS 🟢 BUY (Bullish setup): Agar price 24,400–24,500 ke zone me aata hai, toh wahan se long le sakte ho. Stop loss : 24,250 (strict). Targets : 24,550 → 24,575 → 24,625 → 24,675 → 24,700 → 24,765. Alternative : Agar 24,700 clear break hota hai with volume, toh usko follow kar ke long entry le sakte ho with SL 24,600. 🔴 SELL (Bearish setup): Agar price 24,625–24,765 ke zone mein aata hai aur wahan se reject hota hai, toh short entry le sakte ho. Stop loss : 24,875 (closing basis). Targets neeche : 24,575 → 24,525 → 24,500 → 24,425 → 24,385 → 24,365. Alternative : Agar 24,500 break hota hai, toh usko follow kar ke short kar sakte ho with SL 24,580
➡️ RBI LIQUIDITY 💰 RBI ne ₹1 Lakh Crore ka VRRR Auction kiya hai. ⏳ Tenure: Sirf 1 din (Overnight). 📆 10 Aug ko liquidity absorb hogi. 📆 11 Aug ko paisa wapas banking system me aa jayega 👉 Asar kya hoga ? Short-term liquidity tight hogi, to Money Market rates (Call Money, WACR) par thoda pressure aa sakta hai. Bond yields me 1-2 bps ki halki si spike aa sakti hai, but zyada tikegi nahi (kyunki kal paisa wapas aa raha hai). Forex me bhi impact ho sakta hai, jo rupee ko support karega 👉 Sabse zaroori baat ✅ Ye temporary tightening hai, permanent nahi. ✅ RBI ne CRR nahi badhaya, bas 1 din ka VRRR kiya - matlab ye "Fine-Tuning" hai. ✅ Agar RBI sach me strict (hawkish) hota, toh 14-day ya 28-day ka auction karta. 1 din ka matlab - "Abhi zyada cash hai, kal theek kar denge". Investors / Traders ke liye: Debt fund wale: Tension nahi lene ka, NAV par koi bada asar nahi. Traders: 10 Aug subah 10:30-11:30 ke aas-paas banking stocks aur bond futures me volatility dekhne ko mil sakti hai - intraday ka mauka ho sakta hai. Banks: Unko faida hoga, padi cash par RBI se accha rate kama lenge 👉 Aage kya ? August ke end me govt. borrowing (bond supply) badhegi, tab shayad RBI ko liquidity inject (VRR) karna pade.
➡️Nifty50 Trading Setup and Analysis Abhi Nifty 24,580–24,600 ke around hai yani immediate resistance zone (24,600–24,700) ke bilkul lower end par trade kar raha hai. 👉 Support 24,500 : Immediate support - sab se important 24,450–24,350 : Strong support zone - agar 24,500 break hota hai 24,000 : Psychological support - strong cushion 👉 Resistance 24,600–24,700 : Immediate resistance zone abhi market yahi test kar rahi hai 24,650–24,750 : Strong resistance band 24,800–24,850 : Crucial hurdle - breakout ke liye ye clear hona chahiye 👉 Positive Factors Nifty ne 24,500 support ko successfully defend kiya hai Asian markets aaj positive hain (0.5-2% up) FPIs ne August mein ab tak ₹12,920 crore ki buying ki hai Market breadth almost even hai - 1,514 declining vs 1,504 advancing 👉 Negative Factors / Risks Crude oil $85 ke around - bada risk factor hai Strait of Hormuz deal - abhi tak koi progress nahi US inflation data aane wali hai - Fed policy ke liye important Dollar index rebound kar raha hai - emerging markets ke liye negative 👉 Trading Setup 1 :- Range-Bound Trading (Abhi ke liye sabse best) Jab tak 24,800 break nahi hota, tab tak market 24,500–24,700 ke range me hi rahegi. Buy kaise kare : 24,500–24,530 ke aas-paas dip me kharide Stop-loss 24,400 ke niche rakhe. Target 24,650–24,700 rakhe. Sell kaise karein: 24,650–24,700 ke aas-paas rally mein bechein. Stop-loss 24,780 ke upar rakhein. Target 24,530–24,500 rakhein. Risk : Reward roughly 1:1.5 ka ban raha hai 2 :- Market ka overall structure bullish hai, isliye dip me kharidna better hai. Entry: 24,400–24,450 ke aas-paas (agar market neeche jaati hai toh) Stop-loss: 24,000 (psychological level ke nihe) Target : 24,700, 24,800 Risk : Reward 1:1.5 se 1:2 tak banta hai 3 :- Condition : Nifty 24,800 ke upar sustain kare (fake breakout nahi hona chahiye) Entry : 24,800 ke upar confirmation ke baad Stop-loss: 24,650 (ab resistance support ban jayega) Target: 25,000–25,200 Agar 24,800–24,850 ka band clear hota hai toh 3-month ki trading range se breakout confirm hoga aur upar ka rasta khulega. 👉 Abhi 24,580–24,600, yani immediate resistance zone (24,600–24,700) ke bilkul paas. Core range : 24,500–24,700 ke bich trade hone ki ummid hai. Stop-loss: Har trade me strict SL lagaye / crude oil ka risk bahut high hai. Biggest risk : Crude oil $85 ke upar jaata hai toh market niche ja sakti hai, isliye oil ki news pe nazar rakhe.
➡️ Stock To Watchlist / Keep In Eye. Titan, Oil Ind, NMDC, NBCC, Ramco, Apollo Micro, HPCL, SCI, Gland Pharma, Azad Eng, Rites, Jamna Auto, Vedanta Alumi..
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📈 India’s Trading Ecosystem is Evolving – Dhan is Leading the Way! Whether you are a: - Retail Investor (Long-term) - Active Intraday/Scalp Trader - Options & Commodity Trader - MTF User with small capital Dhan offers one of the most advanced yet cost-effective platforms. 💸 Brokerage: - F&O / Commodity: ₹20/order - Delivery, ETF, SIP: ₹0 🛠️ Features: - In-chart trading - Advanced option chain with Greeks - Flash trade & bulk order - Reverse chart strategy - 4X margin on 1700+ stocks - MTF interest as low as 12.49% 🔐 Fully SEBI registered & CDSL approved. 👉 Start your journey with zero AMC (lifetime): https://invite.dhan.co/?join=SAYA57 Let’s trade smarter, not harder! 🚀
➡️ Nifty50 Trading Set-up & Analysis 👉 Resistance Levels : R1: 24,774 (Immediate - Recent Swing High) R2: 25,000 (Psychological - Major Round Number) R3: 25,500 (Previous Supply Zone) ATH : 26,373 👉 Support Levels : S1: 24,483 (EMA 9 - Immediate) S2: 24,250 (SMA 20 - Strong) S3: 23,984 (SMA 50 - Major) S4 : 24,000 (Psychological - Critical) 👉 TECHNICAL RSI (14) 60.67 Neutral (Bullish bias) MACD 166.38 Bullish Crossover ✅ MACD Histogram +48.55 Positive Momentum ✅ SMA 20 24,249 Price Above ✅ SMA 50 23,984 Price Above ✅ EMA 9 24,482 Price Above ✅ EMA 21 24,305 Price Above ✅ BB Position 81.2% Near Upper Band 👉 😇😇 Trend follow karo - Primary bias LONG hai Dip pe entry lo 24,550-24,600 zone me SL 24,300 pe rakho - widen mat karo T1 (24,774) pe partial profit book karo T1 hit hone pe SL cost pe trail karo Fresh shorts avoid karo 24,250 ke neeche break hone pe bias reassess karo
➡️ Nifty50 Trading Analysis & SetUp GIFT Nifty aaj subah 24,650 se 24,675 ke beech mein chal raha hai, jo kal ke close se kareeb 50 points upar hai. Matlab aaj Flat se thoda Positive opening ho sakti hai. Moving Averages : Nifty saari important MAs (20, 50, 200 DMA) ke upar baitha hai. Trend clear uptrend me hai. RSI : 61.96 hai, jo ki Bullish Zone me hai. Iska matlab overbought nahi hai, abhi aur upar jaane ki jagah hai. India VIX (Volatility) : 1.07% gira kar 12.06 par aa gaya. Volatility bahut kam hai, jo ki traders ke liye acha signal hai. Put-Call Ratio (PCR): 1.15 hai. Iska matlab Put options zyada likhe gaye hain, jo generally support zone ko strong banata hai. 👉 Resistance 24,700 – 24,800 Sab se strong barrier yahi hai. Kal ka high 24,774 tha. Agar 24,800 tod deta hai toh maza aayega Agar 24,800 ke upar consolidate karta hai toh 25K ki taraf rasta khul jayega. 👉 Support 24,500 – 24,600 Kal isi zone me kharidar aaye the, Agar yahan se bounces leta hai toh thik hai. 24,400 – 24,450 Agar yeh level niche toot gaya, toh thodi weakness aa sakti hai. 👉 Bank Nifty kal 57,740 par band hua (167 points niche). Iska apna alag game hai: Bank Nifty Resistance : 58,000 – 58,250 (Inke upar jaana hi Nifty ko 25K tak le jayega). Bank Nifty Support : 57,300 – 57,500 (Yahan 20-DMA hai, agar yeh toota toh Nifty bhi pressure me aa sakta hai). 👉 Aaj ki Trading Strategy (Setup) Overall sentiment "Buy on Dips" (Girne par Khareedna) ka hai. Jab tak Nifty 24,400-24,500 ke upar hai, bechne ki jagah khareedna better rahega. • Aggressive Traders ke liye : Entry : 24,600 – 24,700 ke bich me Nifty Futures/Options kharide. Stop Loss : 24,480 (strongly follow kare). Target : 25,100 tak ka rakhe. • Safe Traders ke liye: Breakout : Intezar kare jab tak Nifty 24,800 ko tod kar upar close na kare. Upar breakout ke baad hi trade kare. Dip : Agar market niche girta hai toh 24,350 – 24,450 ke zone me aane par kharidari kare, kyunki yahan pe bahut strong support hai 👉 Global Factors : Crude oil $75 ke aas-paas hai aur US-Iran news hai, isliye crude oil ki wajah se market mein thodi tezi mandi ho sakti hai.
➡️ 🇮🇳 India on Track to Become a $5 Trillion Economy by FY29 In a significant development, Finance Minister Nirmala Sitharaman informed the Rajya Sabha that India's GDP is projected to cross the $5 trillion mark in FY 2028-29. Citing the IMF's April 2026 World Economic Outlook database, the minister noted that India's GDP at current prices is estimated to reach approximately $5.1 trillion. This milestone is backed by a comprehensive, broad-based growth strategy focusing on : Manufacturing & Infrastructure : PLI schemes, Make in India, and PM GatiShakti. MSMEs: Enhanced credit guarantees and simplified regulations. Services & Digital Economy: Leveraging Digital Public Infrastructure and promoting AI & Global Capability Centres (GCCs). Agriculture : Boosting productivity through technology and better market access. The government is doubling down on public capital expenditure, liberalising FDI, and strengthening macroeconomic fundamentals to achieve this ambitious target. This projection reinforces India's position as a key driver of global economic growth. The journey to $5 trillion is a testament to the resilience and potential of the Indian economy. 📈 #India #Economy #GDP #5TrillionEconomy #IMF #NirmalaSitharaman #Growth #MakeInIndia #EconomicGrowth
➡️ Nifty50 Trading Analysis & Setup • Overall Trend : Positive :- Nifty abhi bhi sab important moving averages (20, 50, 200 EMA) ke upar trade kar raha hai. • RSI : 61.77 par hai - abhi bhi signal line ke upar hai, matlab momentum positive hai. • MACD : Bullish crossover ke baad upar ki taraf ja raha hai. • Market Breadth: Nifty 50 ki 25 stocks green me hai, 25 red me mixed signal. • FII/DII: FII positive, DII neutral, Sentiment positive, Trend positive. • RBI MPC Policy Decision : Aaj (5 August) ko RBI ki Monetary Policy Committee ka decision aayega yeh market ki direction ke liye sabse important factor hai. • Crude Oil Prices : Brent crude $79 per barrel ke around hai - pichle din 6% gira tha. Lower crude = market ke liye positive. • US-Iran Deal : Hormuz Strait reopening ki umeed hai - agar deal hoti hai toh aur positive impact. • Global Markets : Wall Street ne record high banaya - Dow 1.71% aur S&P 500 1.79% up. Asian markets bhi teji mein hain. • CAS (Closing Auction System) : Naya system abhi settle nahi hua hai - closing hour mein volatility ho sakti hai, isliye closing ke waqt cautious rehna Strong Sell Zone :- 24,765 - 24,865 Yahan se selling ka pressure aa sakta hai Strong Buy Zone :- 24,265 - 24,365 Agar market yahan aati hai toh strong buying opportunity Higher Zone :- 24,600 - 24,700 Abhi market yahan trade kar rahi hai 👉 Resistance 24,700 - 24,750 -24,858 Agar yeh close hota hai toh 25,000 tak jaa sakta hai 👉 Support 24,525 - 24,480 - 24,425 - 24,300 Pehla support zone - yahan buying aane ki ummeed 👉 Setup • Dipping opportunity : Agar Nifty 24,400-24,500 ke zone me girta hai, toh yahan buy-on-dips ka accha mauka hai. Strong buy zone : 24,265 - 24,365 - yahan par strong buying ka area hai. Breakout confirmation : Agar Nifty 24,700-24,750 ke upar close karta hai, toh 25,000 tak ka target banna sakta hai. Stop Loss : Jo log long position me hai, unke liye intraday aur closing stop loss 24,400 par rakho. • Strong sell zone : 24,765 - 24,865 - yahan se profit-booking aur selling ka pressure aa sakta hai. Resistance area : 24,750-24,800 - Tuesday ke CAS high ke karan yahan resistance hai. Breakdown signal : Agar Nifty 24,400 se niche jaata hai, toh 24,300 tak girawat aa sakti hai.
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➡️ 🇮🇳 FCNR(B) Deposits See Historic Surge : A Win for India’s Forex Reserves ! In just under 2 months, India has witnessed a remarkable inflow of USD 28 Billion into FCNR(B) deposits a clear signal of growing NRI confidence in the Indian economy. 👉 Key Highlights: 5 June 2026 : USD 32.56 Billion 30 July 2026 : USD 60.55 Billion Net Increase : ~USD 28 Billion in 8 weeks! 🏦 Bank-wise Performance: Private Sector Banks: USD 25.68B Public Sector Banks: USD 25.59B Strong inflows reported at SBI, HDFC Bank, ICICI Bank, Axis Bank, and Kotak Mahindra Bank. 🔍 What’s driving this ? RBI's special incentives (CRR/SLR exemptions & flexible interest rates) have acted as a game-changer, coupled with a swap facility to hedge currency risk. 💡 Macro Impact : This surge not only strengthens India's external liquidity position but also provides a solid cushion to our forex reserves, enhancing stability against global headwinds. A masterstroke in managing external sector vulnerabilities! 🇮🇳📈 #FCNR #RBI #ForexReserves #IndianEconomy #NRI #Banking #MacroEconomy #India
➡️ 👁👁 RBI Policy Meeting : RBI ki 3-days ki MPC meeting chal rahi hai, jiska decision 5 August ko aayega. Isse market ko nayi direction mil sakti hai. Geo-political tension: US-Iran issue aur crude oil prices mein utaar-chadhav bhi market ko effect kar sakta hai
➡️ Nifty 50 Market Analysis & Trading Setup Kal ka closing : Nifty 50 ne Monday ko 24,774.30 par close kiya, jo ki 390.70 points (1.60%) up tha. Lekin dhyaan do : Yeh rally kaafi hadd tak nayi Closing Auction System (CAS) ki wajah se aayi hai, jisme aakhri 5 minute mein 200 points ka uchaal aaya. Aaj ki opening : Gift Nifty (early indicator) abhi 24,642 ke aas-paas trade kar raha hai, jo ki kal ke close se karib 23 points kam hai. Iska matlab flat se negative start ho sakta hai. 👉 Monday ko nayi CAS system launch hone ki wajah se Cash aur Futures market ke beech ek abnormal gap ban gaya hai. Nifty Spot 24,774 par close hua, lekin uske futures karib 24,650 par the. Experts ki salaah: Aaj ke trading setup ke liye is CAS-affected closing price ko ignore karo. Iski jagah "Synthetic Futures" price (karib 24,591) ko zyada reliable maano. Jab tak cash aur futures market ke beech match nahi ho jaata, tab tak "wait & watch" ka approach rakho 👉 Resistance 24,800 - 24,850 Agar yeh toot-ta hai to teji aayegi 25,000 - 25,150 / 2 March wale "Bearish Gap" ke saath match karta hai 👉 Support 24,500 - 24,600 Yahan pe strong Put Open Interest hai" 24,200 - 24,350 / 20-day EMA aur major Put base hai 👉 Strategy & Setup medium-term trend positive hai aur target 25,000-25,150 hai. Lekin CAS ki wajah se short-term me thoda cautious rehna chahiye. Agar Kharidna Hai (Buy Setup): Agar Nifty 24,600 ke upar stable rahe aur 24,800 ko paar kar le, toh samjho ki rally me real strength hai. Is condition me target 25,000 rakho. Dipping opportunity : Agar market gir kar 24,500-24,600 ke zone me aaye, toh wahan par buying ka accha mauka maana ja sakta hai. Agar Bechna Hai (Sell Setup): Agar Nifty 24,500 ke niche break karta hai, toh yeh profit-booking ka signal hai. Is condition me target 24,200 tak ki girawat aa sakti hai