Only Positional Community
#SKIPPER SKIPPER LTD. Good short term opportunity. PPC formation. Demand levels 495-505 Weak if close below 445 Supply levels 670-700-750 Disclaimer: This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing…
Finally comes out #SKIPPER 🏆🚀
#NTPCGREEN
Clean base.
Good mid term opportunity.
PPC formation with follow up buying.
Good volume pop up and coming out of tight range.
Demand levels 110-115
Weak if close below 104
Supply levels 150-180-200
Disclaimer:
This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing general and generic information related to stocks, investments and strategies.
Our content is intended to be used and must be used for information and education purposes only. It is very important to do your own analysis before making any investment. Do consult your financial advisor before trading or investing.
Clean base.
Good mid term opportunity.
PPC formation with follow up buying.
Good volume pop up and coming out of tight range.
Demand levels 110-115
Weak if close below 104
Supply levels 150-180-200
Disclaimer:
This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing general and generic information related to stocks, investments and strategies.
Our content is intended to be used and must be used for information and education purposes only. It is very important to do your own analysis before making any investment. Do consult your financial advisor before trading or investing.
Only Positional Community
#HINDZINC Good mid term opportunity. PPC formation with triple bottom. Good volume pop up and coming out of tight range. Demand levels 470-480 Weak if close below 400 Supply levels 560-615-700-800 Disclaimer: This is not a buy or sell recommendation. We…
Ever since this trade was planned, it has shown a consistent upward move, delivering a solid 16% gain from 470 to 546. 🏆
#ADANIPOWER
Initiated a pre-breakout entry during base maturity in #ADANIPOWER. The setup played out well, with the stock surging 6% today. Entry marked on chart.
Initiated a pre-breakout entry during base maturity in #ADANIPOWER. The setup played out well, with the stock surging 6% today. Entry marked on chart.
Markets opened with a sharp gap down today following reports of fresh geopolitical tensions between Israel and Iran, a typical knee-jerk reaction to developments in the Middle East.
However, if you’ve been tracking the underlying market structure, you’d know that breadth has been improving steadily over the past few weeks. Broader participation is a clear sign of internal strength.
In such resilient environments, negative news tends to trigger short-term volatility rather than a sustained downtrend. Initial panic often leads to a flush-out of weaker hands, followed by a swift recovery.
At this stage, the move appears more like a temporary shakeout than the start of a major reversal. A bounce-back from these levels wouldn’t be surprising.
However, if you’ve been tracking the underlying market structure, you’d know that breadth has been improving steadily over the past few weeks. Broader participation is a clear sign of internal strength.
In such resilient environments, negative news tends to trigger short-term volatility rather than a sustained downtrend. Initial panic often leads to a flush-out of weaker hands, followed by a swift recovery.
At this stage, the move appears more like a temporary shakeout than the start of a major reversal. A bounce-back from these levels wouldn’t be surprising.
❤4
#MarketUpdate
This is a combined index analysis covering NIFTY100, Midcaps, and Smallcaps, aimed at assessing the intensity of the ongoing pullback. The current movement appears to be healthy profit booking within a broader uptrend.
Despite heightened geopolitical tensions globally, particularly around war-related news triggers, the Indian markets have remained largely unaffected. Historically, recent pullbacks have lasted about 8–10 trading sessions with a correction of around 5%. The current pullback still appears to have 2–3 sessions left before it potentially concludes.
On the positive side, major indices are now trading above their 50-day and 200-day moving averages, indicating underlying strength. Every dip is being bought into, reflecting bullish sentiment. With long-term moving averages now sloping upward, the probability of a deeper correction seems low.
This is a combined index analysis covering NIFTY100, Midcaps, and Smallcaps, aimed at assessing the intensity of the ongoing pullback. The current movement appears to be healthy profit booking within a broader uptrend.
Despite heightened geopolitical tensions globally, particularly around war-related news triggers, the Indian markets have remained largely unaffected. Historically, recent pullbacks have lasted about 8–10 trading sessions with a correction of around 5%. The current pullback still appears to have 2–3 sessions left before it potentially concludes.
On the positive side, major indices are now trading above their 50-day and 200-day moving averages, indicating underlying strength. Every dip is being bought into, reflecting bullish sentiment. With long-term moving averages now sloping upward, the probability of a deeper correction seems low.
❤5
The current market environment is quite choppy and indecisive, neither the bulls nor the bears seem to have clear control. We're largely stuck in a sideways phase, with no strong directional bias. Only a few selective stocks are showing strength and moving up, while the broader market is either consolidating or witnessing profit booking.
❤2
#MAXESTATES
Clean base. Mid term pick.
Good mid term opportunity.
PPC formation.
Good volume pop up and coming out of tight range.
Demand levels 510-550
Weak if close below 495
Supply levels 800-1000
Disclaimer:
This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing general and generic information related to stocks, investments and strategies.
Our content is intended to be used and must be used for information and education purposes only. It is very important to do your own analysis before making any investment. Do consult your financial advisor before trading or investing.
Clean base. Mid term pick.
Good mid term opportunity.
PPC formation.
Good volume pop up and coming out of tight range.
Demand levels 510-550
Weak if close below 495
Supply levels 800-1000
Disclaimer:
This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing general and generic information related to stocks, investments and strategies.
Our content is intended to be used and must be used for information and education purposes only. It is very important to do your own analysis before making any investment. Do consult your financial advisor before trading or investing.
#ANANTRAJ
Clean base. Mid term pick.
Good mid term opportunity.
PPC formation done now in pullback.
Good volume pop up and coming out of tight range.
Demand levels 540-590
Weak if close below 499
Supply levels 950-1200
Disclaimer:
This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing general and generic information related to stocks, investments and strategies.
Our content is intended to be used and must be used for information and education purposes only. It is very important to do your own analysis before making any investment. Do consult your financial advisor before trading or investing.
Clean base. Mid term pick.
Good mid term opportunity.
PPC formation done now in pullback.
Good volume pop up and coming out of tight range.
Demand levels 540-590
Weak if close below 499
Supply levels 950-1200
Disclaimer:
This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing general and generic information related to stocks, investments and strategies.
Our content is intended to be used and must be used for information and education purposes only. It is very important to do your own analysis before making any investment. Do consult your financial advisor before trading or investing.
❤1
Important Read
The Indian stock market is currently facing multiple headwinds, restricting any sustained upside.
Key Drivers of Weakness:
1.Global Tariff Impact – Trump-led tariff measures have created a near “man-made recession” situation, dampening global trade and export demand.
2.Economic Slowdown – Domestic activity has slowed sharply, with several sectors reflecting a near standstill.
3.GST Rate Cuts & Festive Demand – Recent GST cuts were aimed at boosting consumption, but in the short term, they may actually delay demand. Consumers are likely to postpone purchases until the lower GST rates become effective, particularly during or just before the Diwali festive season, when the rollout is expected as per sources.
4.Impact on Q2 Earnings – This deferment of demand could weigh heavily on Q2 sales and earnings. Q1 results were already muted, barring a few stock-specific outperformers.
Market Outlook:
With these factors in play, the market is expected to remain selective and range-bound until clarity emerges post-Q2. For now, caution is advised with a focus on stock-specific trades rather than broad-based bets.
The Indian stock market is currently facing multiple headwinds, restricting any sustained upside.
Key Drivers of Weakness:
1.Global Tariff Impact – Trump-led tariff measures have created a near “man-made recession” situation, dampening global trade and export demand.
2.Economic Slowdown – Domestic activity has slowed sharply, with several sectors reflecting a near standstill.
3.GST Rate Cuts & Festive Demand – Recent GST cuts were aimed at boosting consumption, but in the short term, they may actually delay demand. Consumers are likely to postpone purchases until the lower GST rates become effective, particularly during or just before the Diwali festive season, when the rollout is expected as per sources.
4.Impact on Q2 Earnings – This deferment of demand could weigh heavily on Q2 sales and earnings. Q1 results were already muted, barring a few stock-specific outperformers.
Market Outlook:
With these factors in play, the market is expected to remain selective and range-bound until clarity emerges post-Q2. For now, caution is advised with a focus on stock-specific trades rather than broad-based bets.
👍2❤1
Only Positional Community
#SUMMITSEC Good mid term opportunity. PPC formation with cup & handle formation. Good volume pop up and coming out of tight range. Demand levels 2100-2150 Weak if close below 1800 Supply levels 3600-4000 Disclaimer: This is not a buy or sell recommendation.…
Tested patience, one month of fall covered in 15 days. 🚀
🔥5❤1
Only Positional Community
#WAAREEENER Good short term opportunity. PPC formation. Demand levels 2950-2965 Weak if close below 2660 Supply levels 3750-4000-4200 Disclaimer: This is not a buy or sell recommendation. We are an educational channel for analysing, learning & discussing…
Chart is much more stronger now. 🚀 More to come. 🚀
OP Closed Circle
#APOLLO APOLLO MICRO SYSTEMS LTD. Good short term opportunity PPC formation retest. Demand levels 120-122 Weak if close below 105 Supply levels 170-200-220 Disclaimer: This is not a buy or sell recommendation. We are an educational channel for analysing…
Shared at 120
Now more than double
120 to 286
138% upside 🚀🏆
Now more than double
120 to 286
138% upside 🚀🏆
❤2