आप क्या सोचते हो.
ऐसे scenario में market का next phase क्या हो सकता है… volatility continue रहेगी या direction clear होगा?
http://youtube.com/post/Ugkx1E-OobLzR5zxqmQYqeqRQNpDRrQvonro?si=USGGkmOMxktLFlGX
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ऐसे scenario में market का next phase क्या हो सकता है… volatility continue रहेगी या direction clear होगा?
http://youtube.com/post/Ugkx1E-OobLzR5zxqmQYqeqRQNpDRrQvonro?si=USGGkmOMxktLFlGX
For more information, message on the WhatsApp number given below:
82082 47170 or
click on the WhatsApp link provided in the post description.
https://wa.link/8fr3lc
Join our WhatsApp Channel for the latest updates -:
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❤10🍓2
SIP म्हणजे नक्की काय?
Start Your Investment Journey Now - 8830434824, 8208247170
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Start Your Investment Journey Now - 8830434824, 8208247170
http://youtube.com/post/UgkxPEs8uXzBQZRHu-atib3y8Q17fl_AZJg1?si=ex8-DGAZcRqpiwf1
❤11
जीवन कधीही बदलू शकतं…
पण तयारी तुमच्या हातात आहे.
insurance घेतलाय…
की अजूनही “नंतर बघू” म्हणताय?
काही मदत पाहिजे असल्यास आमच्याशी संपर्क साधा: 8830434824, 8208247170
http://youtube.com/post/UgkxbSF7vN32iPgDfqGcZNWOwbiTaqbQXqaT?si=ArtRujhDBLQScVEz
पण तयारी तुमच्या हातात आहे.
insurance घेतलाय…
की अजूनही “नंतर बघू” म्हणताय?
काही मदत पाहिजे असल्यास आमच्याशी संपर्क साधा: 8830434824, 8208247170
http://youtube.com/post/UgkxbSF7vN32iPgDfqGcZNWOwbiTaqbQXqaT?si=ArtRujhDBLQScVEz
❤11
Market free है… पर भरोसा rules से बनता है.
बिना नियम market = risk
नियमों वाला market = trust
आप क्या चुनेंगे? 👇
http://youtube.com/post/UgkxP_ge3Oe3xxSoaJVyQc4XnjJMeoEtcr6C?si=Lq8eKTkWa1gCXEez
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बिना नियम market = risk
नियमों वाला market = trust
आप क्या चुनेंगे? 👇
http://youtube.com/post/UgkxP_ge3Oe3xxSoaJVyQc4XnjJMeoEtcr6C?si=Lq8eKTkWa1gCXEez
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❤9
📈 DAILY MARKET UPDATE
📅 Date – 27 April 2026
1️⃣ VERY IMPORTANT NEWS
• Reliance Industries Q4: Strong revenue but weak margins (pressure from O2C segment); Jio strong, IPO sentiment positive
• Axis Bank Q4: Profit beat due to tax gain; core performance slightly weak, asset quality improved
• FII Heavy Selling: ~₹9,000 Cr selling on Friday, creating bearish pressure
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 (+0.8%) & NASDAQ (+1.6%) at record highs, tech-led rally
• Dow Jones slightly negative
✔️ Asia Market Update:
• Mixed to positive; Japan at record highs, Australia slightly weak
✔️ Gift Nifty Signal:
• Indicating gap-up (~150–180 points), but volatility due to geopolitical news
✔️ Crude Oil:
• Elevated (weekly strong rally ~11%) → inflation concern
✔️ Dollar Index:
• Slightly weak
✔️ Volatility Index (VIX US):
• Stable but cautious sentiment
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• IT weak (heavy selling)
• Telecom & Retail supportive (Reliance impact)
• Banking mixed
✔️ Market Sentiment / Trend:
• Short-term bearish to sideways (profit booking + global uncertainty)
✔️ Volatility (India VIX):
• Around 19.7 (+6%) → High volatility
💰 FII & DII DATA
✔️ FIIs:
• Net Sell ~₹9,000 Cr (bearish)
✔️ DIIs:
• Net Buy ~₹4,700 Cr (supportive)
📊 COMMODITIES UPDATE
✔️ Crude:
• High & volatile (geopolitical tension)
✔️ Gold:
• Slightly positive (safe haven buying)
✔️ Silver:
• Weak bias
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• Heavy at 24,000 – 24,500 (strong resistance zone)
✔️ Put OI:
• Strong at 23,500 – 24,000 (support zone)
✔️ PCR:
• ~0.78 – 0.81 (bearish bias)
📈 NIFTY LEVELS
✔️ Trend: Bearish / Sideways
• Immediate Support: 23,700
• Major Support: 23,500
• Immediate Resistance: 24,000
• Strong Resistance: 24,200 – 24,500
📉 BANK NIFTY LEVELS
✔️ Trend: Sideways to Slight Bearish
• Immediate Support: 55,500
• Major Support: 55,000
• Immediate Resistance: 56,500
• Strong Resistance: 56,600 – 57,000
📊 STOCKS / SECTORS IN NEWS
• Reliance Industries (Q4 Results)
• Axis Bank (Q4 Results)
• IT Stocks (Oversold bounce possible)
📊 STOCK SETUPS TO WATCH
• IT Stocks – Possible pullback (Infosys, TCS)
• Reliance – High impact stock (watch opening move)
• Banking Stocks – Mixed cues
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,700 – 24,200
✔️ Bank Nifty Range: 55,500 – 56,800
📅 IMPORTANT DATA / EVENTS TODAY
• Q4 Results: Coal India, UltraTech Cement, SBI Cards, AU Small Finance Bank
• Global cues: US-Iran developments
🎯 INTRADAY TRADING VIEW
👉 Gap-up possible but sustainability doubtful
👉 Sell on rise strategy until 24,200 breakout
👉 High volatility – strict SL required
📌 QUICK SUMMARY
• Market under pressure due to FII selling & weak IT
• Global cues positive but geopolitical risk high
• Gap-up opening likely, but trend still cautious
📅 Date – 27 April 2026
1️⃣ VERY IMPORTANT NEWS
• Reliance Industries Q4: Strong revenue but weak margins (pressure from O2C segment); Jio strong, IPO sentiment positive
• Axis Bank Q4: Profit beat due to tax gain; core performance slightly weak, asset quality improved
• FII Heavy Selling: ~₹9,000 Cr selling on Friday, creating bearish pressure
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 (+0.8%) & NASDAQ (+1.6%) at record highs, tech-led rally
• Dow Jones slightly negative
✔️ Asia Market Update:
• Mixed to positive; Japan at record highs, Australia slightly weak
✔️ Gift Nifty Signal:
• Indicating gap-up (~150–180 points), but volatility due to geopolitical news
✔️ Crude Oil:
• Elevated (weekly strong rally ~11%) → inflation concern
✔️ Dollar Index:
• Slightly weak
✔️ Volatility Index (VIX US):
• Stable but cautious sentiment
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• IT weak (heavy selling)
• Telecom & Retail supportive (Reliance impact)
• Banking mixed
✔️ Market Sentiment / Trend:
• Short-term bearish to sideways (profit booking + global uncertainty)
✔️ Volatility (India VIX):
• Around 19.7 (+6%) → High volatility
💰 FII & DII DATA
✔️ FIIs:
• Net Sell ~₹9,000 Cr (bearish)
✔️ DIIs:
• Net Buy ~₹4,700 Cr (supportive)
📊 COMMODITIES UPDATE
✔️ Crude:
• High & volatile (geopolitical tension)
✔️ Gold:
• Slightly positive (safe haven buying)
✔️ Silver:
• Weak bias
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• Heavy at 24,000 – 24,500 (strong resistance zone)
✔️ Put OI:
• Strong at 23,500 – 24,000 (support zone)
✔️ PCR:
• ~0.78 – 0.81 (bearish bias)
📈 NIFTY LEVELS
✔️ Trend: Bearish / Sideways
• Immediate Support: 23,700
• Major Support: 23,500
• Immediate Resistance: 24,000
• Strong Resistance: 24,200 – 24,500
📉 BANK NIFTY LEVELS
✔️ Trend: Sideways to Slight Bearish
• Immediate Support: 55,500
• Major Support: 55,000
• Immediate Resistance: 56,500
• Strong Resistance: 56,600 – 57,000
📊 STOCKS / SECTORS IN NEWS
• Reliance Industries (Q4 Results)
• Axis Bank (Q4 Results)
• IT Stocks (Oversold bounce possible)
📊 STOCK SETUPS TO WATCH
• IT Stocks – Possible pullback (Infosys, TCS)
• Reliance – High impact stock (watch opening move)
• Banking Stocks – Mixed cues
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,700 – 24,200
✔️ Bank Nifty Range: 55,500 – 56,800
📅 IMPORTANT DATA / EVENTS TODAY
• Q4 Results: Coal India, UltraTech Cement, SBI Cards, AU Small Finance Bank
• Global cues: US-Iran developments
🎯 INTRADAY TRADING VIEW
👉 Gap-up possible but sustainability doubtful
👉 Sell on rise strategy until 24,200 breakout
👉 High volatility – strict SL required
📌 QUICK SUMMARY
• Market under pressure due to FII selling & weak IT
• Global cues positive but geopolitical risk high
• Gap-up opening likely, but trend still cautious
❤16
आपके हिसाब से -
Market में आगे क्या scenario बन सकता है?
http://youtube.com/post/Ugkx0bdoJHthMi0Fv_dev7Vs6wcCm0KfvAcZ?si=XEfRp0Fv22IoCYVd
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Market में आगे क्या scenario बन सकता है?
http://youtube.com/post/Ugkx0bdoJHthMi0Fv_dev7Vs6wcCm0KfvAcZ?si=XEfRp0Fv22IoCYVd
For more free learning, and if you genuinely want to learn, click the link below 👇
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Join our WhatsApp Channel for the latest updates -:
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❤11
अगर आप सच में Interested हैं, तो नीचे दिए गए लिंक पर क्लिक करें
https://wa.link/op3vsw
या 82082 47170 पर “START” लिखकर message करें 📩
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या 82082 47170 पर “START” लिखकर message करें 📩
❤13
📈 DAILY MARKET UPDATE
📅 Date – 28 April 2026
1️⃣ VERY IMPORTANT NEWS
• US–Iran tensions continue; uncertainty around Strait of Hormuz impacting crude prices
• Reliance Q4: Strong revenue but weak margins due to energy segment pressure
• Axis Bank Q4: Profit beat mainly due to tax benefit; core performance slightly weak
🌍 GLOBAL MARKET
✔️ US Markets:
• Mixed closing
• S&P 500 & Nasdaq at record highs (+0.12%, +0.2%)
• Dow Jones slightly negative (-0.13%)
✔️ Asia Market Update:
• Mixed trend
• Japan Nikkei -0.6%, TOPIX +0.8%
• Australia ASX 200 -0.5%
✔️ Gift Nifty Signal:
• Indicates mild gap-up, but sustainability doubtful due to geopolitical uncertainty
✔️ Crude Oil:
• Up ~2% (supply concerns due to Iran tensions)
✔️ Dollar Index:
• Stable (no major movement)
✔️ Volatility Index (VIX US):
• Slightly elevated due to global uncertainty
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• IT weak (heavy selling)
• PSU Bank slightly negative
• Energy stocks in focus
✔️ Market Sentiment / Trend:
• Cautiously positive but rangebound
• Traders in wait & watch mode
✔️ Volatility (India VIX):
• Fell ~6–8% to ~18.38 → Fear reducing
💰 FII & DII DATA
✔️ FIIs:
• Heavy selling (~₹9,000 Cr)
✔️ DIIs:
• Buying support (~₹4,700 Cr)
📊 COMMODITIES UPDATE
✔️ Crude:
• Bullish (due to supply concerns)
✔️ Gold:
• Down ~0.5% (profit booking, cautious sentiment)
✔️ Silver:
• Slightly weak / stable
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• Highest at 24,500 → Strong resistance
✔️ Put OI:
• Highest at 24,000 → Strong support
✔️ PCR:
• ~1.00 (Neutral to slightly bullish)
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to mildly bullish
• Immediate Support: 24,000
• Major Support: 23,800 – 23,700
• Immediate Resistance: 24,200
• Strong Resistance: 24,300 – 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Sideways
• Immediate Support: 55,500
• Major Support: 55,000
• Immediate Resistance: 56,500
• Strong Resistance: 56,600 – 57,000
📊 STOCKS / SECTORS IN NEWS
• Reliance Industries – Weak margins, Jio IPO sentiment positive
• Axis Bank – Mixed results, asset quality improved
• IT Stocks – Possible bounce (ADR indicates oversold)
📊 STOCK SETUPS TO WATCH
• IT stocks – Possible pullback trade
• Reliance – Volatility expected
• PSU Banks – Weak bias
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,900 – 24,300
✔️ Bank Nifty Range: 55,500 – 56,700
📅 IMPORTANT DATA / EVENTS TODAY
• Q4 Results: Coal India, UltraTech Cement, SBI Cards, AU Small Finance Bank
• Global cues: US–Iran developments
🎯 INTRADAY TRADING VIEW
👉 Gap-up possible, but sell on rise near resistance strategy preferred
👉 Keep strict stop-loss due to news-driven volatility
📌 QUICK SUMMARY
• Market positive but not strong → Rangebound expected
• Crude & geopolitics key drivers
• IT may bounce, Reliance results in focus
📅 Date – 28 April 2026
1️⃣ VERY IMPORTANT NEWS
• US–Iran tensions continue; uncertainty around Strait of Hormuz impacting crude prices
• Reliance Q4: Strong revenue but weak margins due to energy segment pressure
• Axis Bank Q4: Profit beat mainly due to tax benefit; core performance slightly weak
🌍 GLOBAL MARKET
✔️ US Markets:
• Mixed closing
• S&P 500 & Nasdaq at record highs (+0.12%, +0.2%)
• Dow Jones slightly negative (-0.13%)
✔️ Asia Market Update:
• Mixed trend
• Japan Nikkei -0.6%, TOPIX +0.8%
• Australia ASX 200 -0.5%
✔️ Gift Nifty Signal:
• Indicates mild gap-up, but sustainability doubtful due to geopolitical uncertainty
✔️ Crude Oil:
• Up ~2% (supply concerns due to Iran tensions)
✔️ Dollar Index:
• Stable (no major movement)
✔️ Volatility Index (VIX US):
• Slightly elevated due to global uncertainty
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• IT weak (heavy selling)
• PSU Bank slightly negative
• Energy stocks in focus
✔️ Market Sentiment / Trend:
• Cautiously positive but rangebound
• Traders in wait & watch mode
✔️ Volatility (India VIX):
• Fell ~6–8% to ~18.38 → Fear reducing
💰 FII & DII DATA
✔️ FIIs:
• Heavy selling (~₹9,000 Cr)
✔️ DIIs:
• Buying support (~₹4,700 Cr)
📊 COMMODITIES UPDATE
✔️ Crude:
• Bullish (due to supply concerns)
✔️ Gold:
• Down ~0.5% (profit booking, cautious sentiment)
✔️ Silver:
• Slightly weak / stable
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• Highest at 24,500 → Strong resistance
✔️ Put OI:
• Highest at 24,000 → Strong support
✔️ PCR:
• ~1.00 (Neutral to slightly bullish)
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to mildly bullish
• Immediate Support: 24,000
• Major Support: 23,800 – 23,700
• Immediate Resistance: 24,200
• Strong Resistance: 24,300 – 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Sideways
• Immediate Support: 55,500
• Major Support: 55,000
• Immediate Resistance: 56,500
• Strong Resistance: 56,600 – 57,000
📊 STOCKS / SECTORS IN NEWS
• Reliance Industries – Weak margins, Jio IPO sentiment positive
• Axis Bank – Mixed results, asset quality improved
• IT Stocks – Possible bounce (ADR indicates oversold)
📊 STOCK SETUPS TO WATCH
• IT stocks – Possible pullback trade
• Reliance – Volatility expected
• PSU Banks – Weak bias
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,900 – 24,300
✔️ Bank Nifty Range: 55,500 – 56,700
📅 IMPORTANT DATA / EVENTS TODAY
• Q4 Results: Coal India, UltraTech Cement, SBI Cards, AU Small Finance Bank
• Global cues: US–Iran developments
🎯 INTRADAY TRADING VIEW
👉 Gap-up possible, but sell on rise near resistance strategy preferred
👉 Keep strict stop-loss due to news-driven volatility
📌 QUICK SUMMARY
• Market positive but not strong → Rangebound expected
• Crude & geopolitics key drivers
• IT may bounce, Reliance results in focus
❤11
आपको क्या लगता है —
ये strength sustain करेगी या अब volatility बढ़ेगी? 👇
http://youtube.com/post/UgkxpxBL46OyU1OoR3IF48R6uIuYkc-FBRc3?si=PLY0aZj5m-iDplJi
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https://wa.link/ryxvrm
Join our WhatsApp Channel for the latest updates -:
https://whatsapp.com/channel/0029VamgYU74o7qPjaOjir3j
ये strength sustain करेगी या अब volatility बढ़ेगी? 👇
http://youtube.com/post/UgkxpxBL46OyU1OoR3IF48R6uIuYkc-FBRc3?si=PLY0aZj5m-iDplJi
For more free learning, and if you genuinely want to learn, click the link below 👇
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👏5❤2
मी 44 वर्षांत, Financial Investment बद्दल काय शिकलो ...
अधिक माहितीसाठीआमच्याशी संपर्क साधा: 8830434824
http://youtube.com/post/UgkxkTonb0ar-851zdGYSBNQ3M8mlDS8cw0L?si=tX2zuVse_TVmXen5
अधिक माहितीसाठीआमच्याशी संपर्क साधा: 8830434824
http://youtube.com/post/UgkxkTonb0ar-851zdGYSBNQ3M8mlDS8cw0L?si=tX2zuVse_TVmXen5
❤10
📈 DAILY MARKET UPDATE
📅 Date – 29 April 2026
1️⃣ VERY IMPORTANT NEWS
• US–Iran tension continues → No final agreement, oil supply uncertainty
• UAE to exit OPEC from May 1 → Impact on global oil dynamics
• Rising crude prices (~$110+) → Inflation concern, pressure on markets
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 -0.49%, Nasdaq -0.9%, Dow -0.05% → Tech weakness + oil surge pressure
✔️ Asia Market Update:
• Mixed opening, Australia weak (-0.28%), Japan closed (holiday)
✔️ Gift Nifty Signal:
• Flat to slight gap-down (~20–30 pts)
✔️ Crude Oil:
• Brent near $104–111 → 7th day rally (bullish, negative for equities)
✔️ Dollar Index:
• Stable, slightly strong (pressure on EMs like India)
✔️ Volatility Index (VIX US):
• Below 18 → No panic but cautious sentiment
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• Oil & Gas strong
• PSU Banks weak (RBI provisioning rule impact)
✔️ Market Sentiment / Trend:
• Range-bound with slight negative bias
✔️ Volatility (India VIX):
• ~18 → Stable but expiry-driven volatility seen
💰 FII & DII DATA
✔️ FIIs:
• Net Sellers (~₹2000 Cr) → Bearish stance continues
✔️ DIIs:
• Net Buyers (~₹1700 Cr) → Providing support
📊 COMMODITIES UPDATE
✔️ Crude:
• Strong bullish (inflation risk)
✔️ Gold:
• Down ~1.8% → Near 4-week low
✔️ Silver:
• Down ~3% → Weak sentiment
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• 24,200 – 24,500 heavy writing (strong resistance zone)
✔️ Put OI:
• 23,500 – 24,000 strong base
✔️ PCR:
• ~0.98 → Neutral to slightly bearish
📈 NIFTY LEVELS
✔️ Trend:
• Sideways (Range-bound)
• Immediate Support: 23,900
• Major Support: 23,800 / 23,500
• Immediate Resistance: 24,200
• Strong Resistance: 24,350 – 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak / Bearish bias
• Immediate Support: 54,900
• Major Support: 54,500
• Immediate Resistance: 55,900
• Strong Resistance: 56,000
📊 STOCKS / SECTORS IN NEWS
• PSU Banks → Weak (RBI provisioning rule impact)
• Oil & Gas stocks → Strong (crude rally)
• IT stocks → Slight pressure (global tech weakness)
📊 STOCK SETUPS TO WATCH
• ONGC → Bullish momentum (oil rally)
• PSU Banks → Short on rise
• IT stocks → Weak bias
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,800 – 24,200
✔️ Bank Nifty Range: 54,800 – 56,000
📅 IMPORTANT DATA / EVENTS TODAY
• US Fed Interest Rate Decision
• Fed Chair Speech (global volatility trigger)
🎯 INTRADAY TRADING VIEW
👉 Market likely range-bound with slight bearish bias
👉 24,000 is key pivot level
👉 Sell on rise strategy preferred till 24,200 breaks
📌 QUICK SUMMARY
• Global pressure due to oil + geopolitics
• FIIs bearish, DIIs supportive
• Market in tight range → breakout awaited
📅 Date – 29 April 2026
1️⃣ VERY IMPORTANT NEWS
• US–Iran tension continues → No final agreement, oil supply uncertainty
• UAE to exit OPEC from May 1 → Impact on global oil dynamics
• Rising crude prices (~$110+) → Inflation concern, pressure on markets
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 -0.49%, Nasdaq -0.9%, Dow -0.05% → Tech weakness + oil surge pressure
✔️ Asia Market Update:
• Mixed opening, Australia weak (-0.28%), Japan closed (holiday)
✔️ Gift Nifty Signal:
• Flat to slight gap-down (~20–30 pts)
✔️ Crude Oil:
• Brent near $104–111 → 7th day rally (bullish, negative for equities)
✔️ Dollar Index:
• Stable, slightly strong (pressure on EMs like India)
✔️ Volatility Index (VIX US):
• Below 18 → No panic but cautious sentiment
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• Oil & Gas strong
• PSU Banks weak (RBI provisioning rule impact)
✔️ Market Sentiment / Trend:
• Range-bound with slight negative bias
✔️ Volatility (India VIX):
• ~18 → Stable but expiry-driven volatility seen
💰 FII & DII DATA
✔️ FIIs:
• Net Sellers (~₹2000 Cr) → Bearish stance continues
✔️ DIIs:
• Net Buyers (~₹1700 Cr) → Providing support
📊 COMMODITIES UPDATE
✔️ Crude:
• Strong bullish (inflation risk)
✔️ Gold:
• Down ~1.8% → Near 4-week low
✔️ Silver:
• Down ~3% → Weak sentiment
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• 24,200 – 24,500 heavy writing (strong resistance zone)
✔️ Put OI:
• 23,500 – 24,000 strong base
✔️ PCR:
• ~0.98 → Neutral to slightly bearish
📈 NIFTY LEVELS
✔️ Trend:
• Sideways (Range-bound)
• Immediate Support: 23,900
• Major Support: 23,800 / 23,500
• Immediate Resistance: 24,200
• Strong Resistance: 24,350 – 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak / Bearish bias
• Immediate Support: 54,900
• Major Support: 54,500
• Immediate Resistance: 55,900
• Strong Resistance: 56,000
📊 STOCKS / SECTORS IN NEWS
• PSU Banks → Weak (RBI provisioning rule impact)
• Oil & Gas stocks → Strong (crude rally)
• IT stocks → Slight pressure (global tech weakness)
📊 STOCK SETUPS TO WATCH
• ONGC → Bullish momentum (oil rally)
• PSU Banks → Short on rise
• IT stocks → Weak bias
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,800 – 24,200
✔️ Bank Nifty Range: 54,800 – 56,000
📅 IMPORTANT DATA / EVENTS TODAY
• US Fed Interest Rate Decision
• Fed Chair Speech (global volatility trigger)
🎯 INTRADAY TRADING VIEW
👉 Market likely range-bound with slight bearish bias
👉 24,000 is key pivot level
👉 Sell on rise strategy preferred till 24,200 breaks
📌 QUICK SUMMARY
• Global pressure due to oil + geopolitics
• FIIs bearish, DIIs supportive
• Market in tight range → breakout awaited
❤13✍1
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📈 DAILY MARKET UPDATE
📅 Date – 30 April 2026
1️⃣ VERY IMPORTANT NEWS
• US Fed kept interest rates unchanged at 3.5% – 3.75% (3rd straight pause)
• Fed members showing highest disagreement since 1992 → Policy uncertainty
• US–Iran conflict escalates → Oil spikes near $120/barrel (major negative for markets)
🌍 GLOBAL MARKET
✔️ US Markets:
• Dow Jones -0.57% (5th day fall)
• S&P 500 -0.04% (flat negative bias)
• Nasdaq +0.04% (slightly positive)
✔️ Asia Market Update:
• Japan Nikkei -0.9%
• Topix -1.4%
• Australia -0.4% (weak sentiment)
✔️ Gift Nifty Signal:
• Around 24,100 → संकेत Gap Down opening (~100 points)
✔️ Crude Oil:
• Brent near $115–120 (sharp rally due to geopolitical tension)
✔️ Dollar Index:
• Slightly strong (pressure on emerging markets)
✔️ Volatility Index (VIX US):
• Up ~5% → Near 19 (fear increasing)
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• FMCG strong
• Banking & IT → Neutral to negative bias
✔️ Market Sentiment / Trend:
• Weak to cautious (Global pressure + high oil)
✔️ Volatility (India VIX):
• Around 17.4 (slightly cooled but risk remains)
💰 FII & DII DATA
✔️ FIIs:
• Net Sell ~₹2,500 Cr (continuous selling pressure)
✔️ DIIs:
• Net Buy ~₹2,300 Cr (supporting market)
📊 COMMODITIES UPDATE
✔️ Crude:
• Strong bullish (geopolitical driven)
✔️ Gold:
• Down ~1% (pressure from rising oil & rate outlook)
✔️ Silver:
• Slight weakness
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• Highest at 25,000 → Strong resistance
✔️ Put OI:
• Highest at 24,000 → Strong support
✔️ PCR:
• Around 1.03 → Neutral to slightly bullish
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to Weak
• Immediate Support: 24,000 – 23,950
• Major Support: 23,800
• Immediate Resistance: 24,350
• Strong Resistance: 24,500 – 24,600
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak
• Immediate Support: 55,000 – 54,900
• Major Support: 54,500
• Immediate Resistance: 55,900 – 56,000
• Strong Resistance: 56,300
📊 STOCKS / SECTORS IN NEWS
• Adani Ports, ACC, IDBI Bank – Earnings focus
• Mazagon Dock, HAL – Defense theme (geopolitical impact)
• Infosys – Only positive ADR in IT
📊 STOCK SETUPS TO WATCH
• Bajaj Finance – Volatility expected
• ICICI Bank – Weak bias (ADR negative)
• Reliance – Key index driver
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,900 – 24,400
✔️ Bank Nifty Range: 54,800 – 56,000
📅 IMPORTANT DATA / EVENTS TODAY
• US Weekly Jobless Claims
• US & Japan Trade Data
🎯 INTRADAY TRADING VIEW
👉 Market likely Gap Down + Volatile
👉 Avoid aggressive longs at opening
👉 Sell on rise strategy till 24,350 breaks
📌 QUICK SUMMARY
• Global sentiment weak due to Fed uncertainty + Iran tension
• Crude spike biggest risk for market
• FIIs selling continues
• Market bias: Cautious / Slightly Bearish
📅 Date – 30 April 2026
1️⃣ VERY IMPORTANT NEWS
• US Fed kept interest rates unchanged at 3.5% – 3.75% (3rd straight pause)
• Fed members showing highest disagreement since 1992 → Policy uncertainty
• US–Iran conflict escalates → Oil spikes near $120/barrel (major negative for markets)
🌍 GLOBAL MARKET
✔️ US Markets:
• Dow Jones -0.57% (5th day fall)
• S&P 500 -0.04% (flat negative bias)
• Nasdaq +0.04% (slightly positive)
✔️ Asia Market Update:
• Japan Nikkei -0.9%
• Topix -1.4%
• Australia -0.4% (weak sentiment)
✔️ Gift Nifty Signal:
• Around 24,100 → संकेत Gap Down opening (~100 points)
✔️ Crude Oil:
• Brent near $115–120 (sharp rally due to geopolitical tension)
✔️ Dollar Index:
• Slightly strong (pressure on emerging markets)
✔️ Volatility Index (VIX US):
• Up ~5% → Near 19 (fear increasing)
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• FMCG strong
• Banking & IT → Neutral to negative bias
✔️ Market Sentiment / Trend:
• Weak to cautious (Global pressure + high oil)
✔️ Volatility (India VIX):
• Around 17.4 (slightly cooled but risk remains)
💰 FII & DII DATA
✔️ FIIs:
• Net Sell ~₹2,500 Cr (continuous selling pressure)
✔️ DIIs:
• Net Buy ~₹2,300 Cr (supporting market)
📊 COMMODITIES UPDATE
✔️ Crude:
• Strong bullish (geopolitical driven)
✔️ Gold:
• Down ~1% (pressure from rising oil & rate outlook)
✔️ Silver:
• Slight weakness
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• Highest at 25,000 → Strong resistance
✔️ Put OI:
• Highest at 24,000 → Strong support
✔️ PCR:
• Around 1.03 → Neutral to slightly bullish
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to Weak
• Immediate Support: 24,000 – 23,950
• Major Support: 23,800
• Immediate Resistance: 24,350
• Strong Resistance: 24,500 – 24,600
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak
• Immediate Support: 55,000 – 54,900
• Major Support: 54,500
• Immediate Resistance: 55,900 – 56,000
• Strong Resistance: 56,300
📊 STOCKS / SECTORS IN NEWS
• Adani Ports, ACC, IDBI Bank – Earnings focus
• Mazagon Dock, HAL – Defense theme (geopolitical impact)
• Infosys – Only positive ADR in IT
📊 STOCK SETUPS TO WATCH
• Bajaj Finance – Volatility expected
• ICICI Bank – Weak bias (ADR negative)
• Reliance – Key index driver
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,900 – 24,400
✔️ Bank Nifty Range: 54,800 – 56,000
📅 IMPORTANT DATA / EVENTS TODAY
• US Weekly Jobless Claims
• US & Japan Trade Data
🎯 INTRADAY TRADING VIEW
👉 Market likely Gap Down + Volatile
👉 Avoid aggressive longs at opening
👉 Sell on rise strategy till 24,350 breaks
📌 QUICK SUMMARY
• Global sentiment weak due to Fed uncertainty + Iran tension
• Crude spike biggest risk for market
• FIIs selling continues
• Market bias: Cautious / Slightly Bearish
❤8
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