📈 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
❤14✍1
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Business Account
❤9
📈 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
❤11
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❤16
तुम्हाला किती पैसे हवे आहेत… clear आहे का?
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https://youtube.com/shorts/5YQRFThv5-E?si=z-SxUB0GREmWBjzQ
अधिक माहितीसाठी आमच्याशी संपर्क साधा: 8830434824
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YouTube
Chart Commando Marathi
1 comment. "तुम्हाला किती पैसे हवे आहेत… clear आहे का?"
❤14
📈 DAILY MARKET UPDATE
📅 Date – 4 May 2026
1️⃣ VERY IMPORTANT NEWS
• 🗳 State Election Results Today – खासकर West Bengal result market sentiment decide करेगा
• 🌍 US–Iran Tension – Iran ने नया proposal दिया, US fully satisfied नहीं → uncertainty जारी
• 🛢 Crude Oil Volatility – अभी भी $100+ के ऊपर → India market के लिए negative factor
🌍 GLOBAL MARKET
✔️ US Markets:
• Mixed but positive bias
• S&P 500 +0.3% (All-time high)
• Nasdaq +0.9% (25,000 cross)
• Dow Jones -0.3%
• Strong tech earnings (Apple boost)
✔️ Asia Market Update:
• Mostly positive
• कुछ markets holiday के कारण बंद
✔️ Gift Nifty Signal:
• +70 to +95 points
• Gap-up opening indication
✔️ Crude Oil:
• Brent ~ $107
• WTI ~ $101
• High levels → inflation concern
✔️ Dollar Index:
• Strong → Rupee pressure
✔️ Volatility Index (VIX US):
• Elevated → risk अभी भी बना हुआ
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• Positive: Infra, PSU (अगर BJP strong result)
• Watch: FMCG, Consumption (TN, Kerala impact)
• Focus: Oil & Gas (crude impact)
✔️ Market Sentiment / Trend:
• Short-term: Volatile
• Bias: Mild positive (global support + gift nifty)
✔️ Volatility (India VIX):
• Around 18+ → volatility high
💰 FII & DII DATA
✔️ FIIs:
• Net Sell ~ ₹8,000 Cr ❌ (Strong selling)
✔️ DIIs:
• Net Buy ~ ₹3,500 Cr ✅ (Supportive)
📊 COMMODITIES UPDATE
✔️ Crude:
• Slight fall but still high
✔️ Gold:
• Stable (safe haven demand)
✔️ Silver:
• Slightly positive trend
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• 24,500 (Highest)
• 24,300 / 24,000 strong resistance
✔️ Put OI:
• 24,000 (Strong support)
• 23,800 / 23,500 support
✔️ PCR:
• Slight drop (~0.97–1 zone)
• Neutral to slightly bearish
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to Positive
• Immediate Support: 23,800
• Major Support: 23,500
• Immediate Resistance: 24,350
• Strong Resistance: 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak to Sideways
• Immediate Support: 54,400
• Major Support: 54,300
• Immediate Resistance: 55,400
• Strong Resistance: 55,500
📊 STOCKS / SECTORS IN NEWS
• Reliance Industries – Export duty cut → Positive
• Oil & Gas Stocks – Crude movement impact
• Infra & PSU Stocks – Election result dependent
📊 STOCK SETUPS TO WATCH
• Reliance – Bullish bias
• PSU Stocks – Momentum based on results
• IT Stocks – Global support
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,800 – 24,500
✔️ Bank Nifty Range: 54,300 – 55,500
📅 IMPORTANT DATA / EVENTS TODAY
• State Election Results (Major trigger)
• US–Iran update (anytime news flow)
🎯 INTRADAY TRADING VIEW
👉 Gap-up opening expected → avoid chasing highs
👉 Buy near support & Sell near resistance strategy
👉 News-based volatility high (especially election + crude)
📌 QUICK SUMMARY
• Election results = Big trigger today
• Crude > $100 = Market pressure point
• Gift Nifty positive → Gap-up start likely
📅 Date – 4 May 2026
1️⃣ VERY IMPORTANT NEWS
• 🗳 State Election Results Today – खासकर West Bengal result market sentiment decide करेगा
• 🌍 US–Iran Tension – Iran ने नया proposal दिया, US fully satisfied नहीं → uncertainty जारी
• 🛢 Crude Oil Volatility – अभी भी $100+ के ऊपर → India market के लिए negative factor
🌍 GLOBAL MARKET
✔️ US Markets:
• Mixed but positive bias
• S&P 500 +0.3% (All-time high)
• Nasdaq +0.9% (25,000 cross)
• Dow Jones -0.3%
• Strong tech earnings (Apple boost)
✔️ Asia Market Update:
• Mostly positive
• कुछ markets holiday के कारण बंद
✔️ Gift Nifty Signal:
• +70 to +95 points
• Gap-up opening indication
✔️ Crude Oil:
• Brent ~ $107
• WTI ~ $101
• High levels → inflation concern
✔️ Dollar Index:
• Strong → Rupee pressure
✔️ Volatility Index (VIX US):
• Elevated → risk अभी भी बना हुआ
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• Positive: Infra, PSU (अगर BJP strong result)
• Watch: FMCG, Consumption (TN, Kerala impact)
• Focus: Oil & Gas (crude impact)
✔️ Market Sentiment / Trend:
• Short-term: Volatile
• Bias: Mild positive (global support + gift nifty)
✔️ Volatility (India VIX):
• Around 18+ → volatility high
💰 FII & DII DATA
✔️ FIIs:
• Net Sell ~ ₹8,000 Cr ❌ (Strong selling)
✔️ DIIs:
• Net Buy ~ ₹3,500 Cr ✅ (Supportive)
📊 COMMODITIES UPDATE
✔️ Crude:
• Slight fall but still high
✔️ Gold:
• Stable (safe haven demand)
✔️ Silver:
• Slightly positive trend
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• 24,500 (Highest)
• 24,300 / 24,000 strong resistance
✔️ Put OI:
• 24,000 (Strong support)
• 23,800 / 23,500 support
✔️ PCR:
• Slight drop (~0.97–1 zone)
• Neutral to slightly bearish
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to Positive
• Immediate Support: 23,800
• Major Support: 23,500
• Immediate Resistance: 24,350
• Strong Resistance: 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak to Sideways
• Immediate Support: 54,400
• Major Support: 54,300
• Immediate Resistance: 55,400
• Strong Resistance: 55,500
📊 STOCKS / SECTORS IN NEWS
• Reliance Industries – Export duty cut → Positive
• Oil & Gas Stocks – Crude movement impact
• Infra & PSU Stocks – Election result dependent
📊 STOCK SETUPS TO WATCH
• Reliance – Bullish bias
• PSU Stocks – Momentum based on results
• IT Stocks – Global support
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,800 – 24,500
✔️ Bank Nifty Range: 54,300 – 55,500
📅 IMPORTANT DATA / EVENTS TODAY
• State Election Results (Major trigger)
• US–Iran update (anytime news flow)
🎯 INTRADAY TRADING VIEW
👉 Gap-up opening expected → avoid chasing highs
👉 Buy near support & Sell near resistance strategy
👉 News-based volatility high (especially election + crude)
📌 QUICK SUMMARY
• Election results = Big trigger today
• Crude > $100 = Market pressure point
• Gift Nifty positive → Gap-up start likely
❤14
आपको क्या लगता है,
market अब steady रहेगा या फिर volatility बढ़ेगी?
http://youtube.com/post/UgkxHFfod--R4WhSzMbeqhU_4opIUfVDHz50?si=wBc18FeRRdWw2Pao
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market अब steady रहेगा या फिर volatility बढ़ेगी?
http://youtube.com/post/UgkxHFfod--R4WhSzMbeqhU_4opIUfVDHz50?si=wBc18FeRRdWw2Pao
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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❤7
मुलांना पैसा शिकवायचा असेल ...
तर Rules नाही, Habits Build करा!
https://www.instagram.com/p/DX6JAqXjCve/?igsh=MTJ1YXhpMzhrcmE0NA==
अधिक माहितीसाठी आमच्याशी संपर्क साधा: 8830434824
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तर Rules नाही, Habits Build करा!
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अधिक माहितीसाठी आमच्याशी संपर्क साधा: 8830434824
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Shashvat Growth
Business Account
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अगर आप सच में Interested हैं, तो नीचे दिए गए लिंक पर क्लिक करें
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या 82082 47170 पर “START” लिखकर message करें 📩
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या 82082 47170 पर “START” लिखकर message करें 📩
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Reality check… माणुसकी vs पैसा — खरं कोण जिंकतं?
अधिक माहितीसाठी आमच्याशी संपर्क साधा: 8830434824
https://www.youtube.com/shorts/cY3e77BryZw
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Chart Commando Marathi
38 likes, 1 comment. "Reality check… माणुसकी vs पैसा — खरं कोण जिंकतं?"
❤7
📈 DAILY MARKET UPDATE
📅 Date – 5 May 2026
1️⃣ VERY IMPORTANT NEWS
• US–Iran tension sharply escalated → missile/drone attacks, shipping risk in Strait of Hormuz
• Crude oil surged near $114–115 → negative for India (inflation concern)
• Conflicting statements from US & Iran → uncertainty high, volatility expected
🌍 GLOBAL MARKET
✔️ US Markets:
• Dow Jones 🔻 -1.13%
• S&P 500 🔻 -0.41%
• Nasdaq 🔻 -0.19%
➡️ Weak sentiment due to geopolitical tension
✔️ Asia Market Update:
• Japan, China, South Korea – Holiday
• Australia 🔻 ~0.5% weak opening
✔️ Gift Nifty Signal:
• Around -100 points gap down indication
✔️ Crude Oil:
• Brent ~ $114–115 (high & volatile ⚠️)
✔️ Dollar Index:
• Strong (pressure on emerging markets)
✔️ Volatility Index (VIX US):
• Near 18.3 (rising → fear in market)
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• Realty 👍 strong
• IT 👎 weak
• Banks → mixed
✔️ Market Sentiment / Trend:
• Slightly bearish to sideways
• Global cues overpowering domestic positivity
✔️ Volatility (India VIX):
• Around 18+ → volatile market expected
💰 FII & DII DATA
✔️ FIIs:
• Net Buy ~ ₹2,850 Cr
✔️ DIIs:
• Strong Buy ~ ₹4,750 Cr
➡️ Despite buying, sentiment weak due to global factors
📊 COMMODITIES UPDATE
✔️ Crude:
• Strong bullish (risk factor ⚠️)
✔️ Gold:
• 🔻 ~2% fall (strong dollar impact)
✔️ Silver:
• Slight weakness
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• 24,500 (Highest)
• 24,300 & 24,200 strong writing
✔️ Put OI:
• 23,500 (Strong base)
• 24,000 & 23,800 support
✔️ PCR:
• गिरकर ~ 0.81 → bearish संकेत
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to Bearish
• Immediate Support: 24,000
• Major Support: 23,800 – 23,500
• Immediate Resistance: 24,300
• Strong Resistance: 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak / Sideways
• Immediate Support: 54,400
• Major Support: 54,000 – 53,800
• Immediate Resistance: 55,300
• Strong Resistance: 55,500
📊 STOCKS / SECTORS IN NEWS
• L&T – Results
• M&M – Earnings
• Punjab National Bank – Results
• Marico / Hero MotoCorp – Earnings
📊 STOCK SETUPS TO WATCH
• IT Stocks → Weak (short on rise)
• Realty → Strength continues
• Banking → Sell on rise
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,800 – 24,300
✔️ Bank Nifty Range: 54,000 – 55,300
📅 IMPORTANT DATA / EVENTS TODAY
• No major Indian data
• US data at night:
– Trade Data
– Job Openings (Important)
🎯 INTRADAY TRADING VIEW
👉 Sell on Rise Market
👉 Gap down opening possible
👉 Watch 24,300 → if fails → downside pressure
👉 High volatility due to geopolitical news
📌 QUICK SUMMARY
• Global tension (US–Iran) = Biggest risk
• Crude oil high = Negative for market
• Gap down + volatile session expected
📅 Date – 5 May 2026
1️⃣ VERY IMPORTANT NEWS
• US–Iran tension sharply escalated → missile/drone attacks, shipping risk in Strait of Hormuz
• Crude oil surged near $114–115 → negative for India (inflation concern)
• Conflicting statements from US & Iran → uncertainty high, volatility expected
🌍 GLOBAL MARKET
✔️ US Markets:
• Dow Jones 🔻 -1.13%
• S&P 500 🔻 -0.41%
• Nasdaq 🔻 -0.19%
➡️ Weak sentiment due to geopolitical tension
✔️ Asia Market Update:
• Japan, China, South Korea – Holiday
• Australia 🔻 ~0.5% weak opening
✔️ Gift Nifty Signal:
• Around -100 points gap down indication
✔️ Crude Oil:
• Brent ~ $114–115 (high & volatile ⚠️)
✔️ Dollar Index:
• Strong (pressure on emerging markets)
✔️ Volatility Index (VIX US):
• Near 18.3 (rising → fear in market)
🇮🇳 INDIAN MARKET OVERVIEW
✔️ Sector Trend:
• Realty 👍 strong
• IT 👎 weak
• Banks → mixed
✔️ Market Sentiment / Trend:
• Slightly bearish to sideways
• Global cues overpowering domestic positivity
✔️ Volatility (India VIX):
• Around 18+ → volatile market expected
💰 FII & DII DATA
✔️ FIIs:
• Net Buy ~ ₹2,850 Cr
✔️ DIIs:
• Strong Buy ~ ₹4,750 Cr
➡️ Despite buying, sentiment weak due to global factors
📊 COMMODITIES UPDATE
✔️ Crude:
• Strong bullish (risk factor ⚠️)
✔️ Gold:
• 🔻 ~2% fall (strong dollar impact)
✔️ Silver:
• Slight weakness
📊 OPTIONS DATA (OI BUILD-UP)
✔️ Call OI:
• 24,500 (Highest)
• 24,300 & 24,200 strong writing
✔️ Put OI:
• 23,500 (Strong base)
• 24,000 & 23,800 support
✔️ PCR:
• गिरकर ~ 0.81 → bearish संकेत
📈 NIFTY LEVELS
✔️ Trend:
• Sideways to Bearish
• Immediate Support: 24,000
• Major Support: 23,800 – 23,500
• Immediate Resistance: 24,300
• Strong Resistance: 24,500
📉 BANK NIFTY LEVELS
✔️ Trend:
• Weak / Sideways
• Immediate Support: 54,400
• Major Support: 54,000 – 53,800
• Immediate Resistance: 55,300
• Strong Resistance: 55,500
📊 STOCKS / SECTORS IN NEWS
• L&T – Results
• M&M – Earnings
• Punjab National Bank – Results
• Marico / Hero MotoCorp – Earnings
📊 STOCK SETUPS TO WATCH
• IT Stocks → Weak (short on rise)
• Realty → Strength continues
• Banking → Sell on rise
🎯 EXPECTED TRADING RANGE TODAY
✔️ Nifty Range: 23,800 – 24,300
✔️ Bank Nifty Range: 54,000 – 55,300
📅 IMPORTANT DATA / EVENTS TODAY
• No major Indian data
• US data at night:
– Trade Data
– Job Openings (Important)
🎯 INTRADAY TRADING VIEW
👉 Sell on Rise Market
👉 Gap down opening possible
👉 Watch 24,300 → if fails → downside pressure
👉 High volatility due to geopolitical news
📌 QUICK SUMMARY
• Global tension (US–Iran) = Biggest risk
• Crude oil high = Negative for market
• Gap down + volatile session expected
❤8