http://youtube.com/post/Ugkx8dlLt_0207OP5gTgQQ5FWP66leK6gJ5H?si=Zf3vXUogUFFFVfKB
Happy New Year To All🎉🥳
Happy New Year To All🎉🥳
🔥11❤4
📈 DAILY MARKET UPDATE
📅 Date – 1 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Last Close: ↑ +191 pts — reclaimed 26,000 & 20Day SMA
• Immediate Resistance: 26,200 (important breakout level)
• Supports: 26,100 / 25,969
• View: Momentum improving — bias positive till above 26,000
✔️ Bank Nifty:
• Last Close: 59,582 — ↑ +411 pts
• Strong long buildup seen in futures
✔️ FIIs & DIIs:
• FIIs sold ~₹3,597 Cr (6th day selling)
• DIIs buying supported the market
✔️ Sector Trend:
• Leader: Consumer Durables 🚀
• Weak: IT ❗️
• 11 / 12 sectors closed green → Broadbased strength
✔️ Volatility:
• India VIX ~ 9.48 → Very Low Volatility (Calm market)
✔️ Options Data:
• PCR: 1.27 → Put writing support
• Indicates bullish to rangepositive bias
✔️ Stock Setups to Watch:
• Hindustan Petroleum — Strong Uptrend
• Vodafone Idea — High Weakness / Selling Pressure
🌍 GLOBAL MARKET
✔️ US Markets (Overnight):
• S&P 500: ↓ 0.7%
• NASDAQ: ↓ 0.8%
• Dow Jones: ↓ 0.6%
✔️ FullYear (2025) Performance:
• S&P 500: +16.4%
• NASDAQ: +20.4% (AIdriven)
• Dow: +13%
✔️ Asia Markets:
• Mostly weak / lower on yearend holidayshort session
✔️ Crude Oil:
• WTI ~ $57.38 → Slightly Lower
✔️ Dollar / Rupee:
• Rupee weak near 89.87
✔️ Volatility Index (US VIX):
• Low — calm market tone
✔️ Commodities:
• Gold ↓ 0.5%
• Silver ↓ 6%+ — profit booking after record highs
✔️ Macro Note (India):
• Fiscal deficit widened — watch currency impact
🎯 Quick Summary (For Traders):
• Nifty bias positive above 26,000
• Watch breakout above 26,200 for fresh highs
• Supports at 26,100 & 25,969
• Bank Nifty showing strong long buildup
• Low VIX = Stable market
• FIIs still selling but DIIs supporting
• Consumer Durables strong • IT weak
• Use dips for stockspecific trades
📅 Date – 1 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Last Close: ↑ +191 pts — reclaimed 26,000 & 20Day SMA
• Immediate Resistance: 26,200 (important breakout level)
• Supports: 26,100 / 25,969
• View: Momentum improving — bias positive till above 26,000
✔️ Bank Nifty:
• Last Close: 59,582 — ↑ +411 pts
• Strong long buildup seen in futures
✔️ FIIs & DIIs:
• FIIs sold ~₹3,597 Cr (6th day selling)
• DIIs buying supported the market
✔️ Sector Trend:
• Leader: Consumer Durables 🚀
• Weak: IT ❗️
• 11 / 12 sectors closed green → Broadbased strength
✔️ Volatility:
• India VIX ~ 9.48 → Very Low Volatility (Calm market)
✔️ Options Data:
• PCR: 1.27 → Put writing support
• Indicates bullish to rangepositive bias
✔️ Stock Setups to Watch:
• Hindustan Petroleum — Strong Uptrend
• Vodafone Idea — High Weakness / Selling Pressure
🌍 GLOBAL MARKET
✔️ US Markets (Overnight):
• S&P 500: ↓ 0.7%
• NASDAQ: ↓ 0.8%
• Dow Jones: ↓ 0.6%
✔️ FullYear (2025) Performance:
• S&P 500: +16.4%
• NASDAQ: +20.4% (AIdriven)
• Dow: +13%
✔️ Asia Markets:
• Mostly weak / lower on yearend holidayshort session
✔️ Crude Oil:
• WTI ~ $57.38 → Slightly Lower
✔️ Dollar / Rupee:
• Rupee weak near 89.87
✔️ Volatility Index (US VIX):
• Low — calm market tone
✔️ Commodities:
• Gold ↓ 0.5%
• Silver ↓ 6%+ — profit booking after record highs
✔️ Macro Note (India):
• Fiscal deficit widened — watch currency impact
🎯 Quick Summary (For Traders):
• Nifty bias positive above 26,000
• Watch breakout above 26,200 for fresh highs
• Supports at 26,100 & 25,969
• Bank Nifty showing strong long buildup
• Low VIX = Stable market
• FIIs still selling but DIIs supporting
• Consumer Durables strong • IT weak
• Use dips for stockspecific trades
❤14
Market हर दिन active रहता है, लेकिन price में बदलाव क्यों होता है
Comment में बताइए 👇
http://youtube.com/post/Ugkx0ZYTNl4Vff4oXFc6JnMhi0_fz1w3p82U?si=6AYCD2A6clf0gSF4
Comment में बताइए 👇
http://youtube.com/post/Ugkx0ZYTNl4Vff4oXFc6JnMhi0_fz1w3p82U?si=6AYCD2A6clf0gSF4
👏8❤2🍾1
📈 DAILY MARKET UPDATE
📅 Date – 2 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 20,601 (+17 pts)
• Facing strong resistance near 26,000–26,200
• Support now at 26,113 → 26,000 zone
• Trend – RangeBound / Weak Bias unless breakout above 26,200
✔️ Bank Nifty:
• Closed at 59,712 (+130 pts)
• Showing relative strength vs Nifty
✔️ FIIs & DIIs:
• FIIs sold heavily – ~₹3,269 Cr (Provisional)
• This kept upside limited
✔️ Sector Trend:
• Top Gainer – Nifty Auto +1%
• Worst Performer – FMCG −3.2% (Heavy selling in ITC)
• 10 out of 12 sectors closed in green → Broadbased buying
✔️ Volatility (INDIA VIX):
• Down to ~9.16 → Very Low → Complacency Risk
• Low VIX = sudden sharp moves possible if support breaks
✔️ Options Data View:
• PCR fell from 1.27 → 1.13 → Bearish tone
• Aggressive call writing seen near resistance
• Nifty Open Interest – mild short buildup
• Bank Nifty – long buildup with strong OI rise
✔️ Stock Moves:
• Vodafone Idea ↑ 8% – dues freeze approval
• ITC ↓ ~10% – cigarette tax hike impact
🌍 GLOBAL MARKET
✔️ US Markets (Last Session Before Holiday):
• S&P 500: −0.7%
• NASDAQ: −0.8%
• Dow Jones: −0.63%
• US Markets were closed yesterday for New Year holiday
✔️ US Futures (Early Asia Trade):
• S&P Futures: +0.15%
• NASDAQ Futures: +0.12%
• Dow Futures: +0.16%
✔️ Asian Markets:
• Japan & China closed today
• Australia – Flat start
✔️ Crude Oil:
• MCX Crude: +0.17% → 5222
• Trading in narrow range
✔️ Gold & Silver:
• Very low volumes due to US holiday
• Gold slightly down
• Silver slightly up
• Charts showing early weakness signs
✔️ US VIX (Volatility Index):
• Remains low, signalling calm market mood
✔️ Data to Watch Today:
• Global cues light due to holidays
• Watch Nifty near 26,000–26,200 levels
🎯 QUICK SUMMARY (FOR TRADERS)
• Nifty is stuck in range → Breakout only above 26,200
• Breakdown risk below 26,113 → 26,000
• Bank Nifty showing strength vs Nifty
• FIIs selling — upside moves may stay limited
• Volatility extremely low → sudden sharp move possible
• Auto strong • FMCG weak • ITC under pressure
• Global markets stable but light on volume due to holidays
📅 Date – 2 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 20,601 (+17 pts)
• Facing strong resistance near 26,000–26,200
• Support now at 26,113 → 26,000 zone
• Trend – RangeBound / Weak Bias unless breakout above 26,200
✔️ Bank Nifty:
• Closed at 59,712 (+130 pts)
• Showing relative strength vs Nifty
✔️ FIIs & DIIs:
• FIIs sold heavily – ~₹3,269 Cr (Provisional)
• This kept upside limited
✔️ Sector Trend:
• Top Gainer – Nifty Auto +1%
• Worst Performer – FMCG −3.2% (Heavy selling in ITC)
• 10 out of 12 sectors closed in green → Broadbased buying
✔️ Volatility (INDIA VIX):
• Down to ~9.16 → Very Low → Complacency Risk
• Low VIX = sudden sharp moves possible if support breaks
✔️ Options Data View:
• PCR fell from 1.27 → 1.13 → Bearish tone
• Aggressive call writing seen near resistance
• Nifty Open Interest – mild short buildup
• Bank Nifty – long buildup with strong OI rise
✔️ Stock Moves:
• Vodafone Idea ↑ 8% – dues freeze approval
• ITC ↓ ~10% – cigarette tax hike impact
🌍 GLOBAL MARKET
✔️ US Markets (Last Session Before Holiday):
• S&P 500: −0.7%
• NASDAQ: −0.8%
• Dow Jones: −0.63%
• US Markets were closed yesterday for New Year holiday
✔️ US Futures (Early Asia Trade):
• S&P Futures: +0.15%
• NASDAQ Futures: +0.12%
• Dow Futures: +0.16%
✔️ Asian Markets:
• Japan & China closed today
• Australia – Flat start
✔️ Crude Oil:
• MCX Crude: +0.17% → 5222
• Trading in narrow range
✔️ Gold & Silver:
• Very low volumes due to US holiday
• Gold slightly down
• Silver slightly up
• Charts showing early weakness signs
✔️ US VIX (Volatility Index):
• Remains low, signalling calm market mood
✔️ Data to Watch Today:
• Global cues light due to holidays
• Watch Nifty near 26,000–26,200 levels
🎯 QUICK SUMMARY (FOR TRADERS)
• Nifty is stuck in range → Breakout only above 26,200
• Breakdown risk below 26,113 → 26,000
• Bank Nifty showing strength vs Nifty
• FIIs selling — upside moves may stay limited
• Volatility extremely low → sudden sharp move possible
• Auto strong • FMCG weak • ITC under pressure
• Global markets stable but light on volume due to holidays
❤18
अगर market में buyer ही नहीं है, तो share कैसे बिकता है
Comment में बताओ 👇
http://youtube.com/post/UgkxcnfwZMH4B_vws_PvFY5vjOcrlpHPEscu?si=CCHekxOSyiOXtEgS
Comment में बताओ 👇
http://youtube.com/post/UgkxcnfwZMH4B_vws_PvFY5vjOcrlpHPEscu?si=CCHekxOSyiOXtEgS
❤10🍾1
Market ऊपर जा रहा है या नीचे
आप Demand देखते हैं या Price
Comment में बताइए 👇🏻
http://youtube.com/post/Ugkx_aYgfzyG8bRNSXgWAL6Fmy0iUGuPZ8Oi?si=XL8B85oCrLSecvCg
आप Demand देखते हैं या Price
Comment में बताइए 👇🏻
http://youtube.com/post/Ugkx_aYgfzyG8bRNSXgWAL6Fmy0iUGuPZ8Oi?si=XL8B85oCrLSecvCg
❤8🐳1
Investor price नहीं देखते, तो फिर वो क्या देखते हैं?
Comment में बताओ 👇
http://youtube.com/post/UgkxseJGPZTVTxkeyg3gVyyWdh25zvnmLcRt?si=SD1Ju0gkx4fe4iFM
Comment में बताओ 👇
http://youtube.com/post/UgkxseJGPZTVTxkeyg3gVyyWdh25zvnmLcRt?si=SD1Ju0gkx4fe4iFM
✍6❤3🕊1
हा प्रश्न पुस्तकातला नाही, हा तुमच्या आयुष्यातला आहे.
आर्थिक स्वातंत्र्य म्हणजे नेमकं काय?
Comment करा 👇🏻
http://youtube.com/post/UgkxtUw5-fBLr0FJW2kRNTlhcSOe_PwTu_dp?si=0ppOIkpFA4kGEOKo
आर्थिक स्वातंत्र्य म्हणजे नेमकं काय?
Comment करा 👇🏻
http://youtube.com/post/UgkxtUw5-fBLr0FJW2kRNTlhcSOe_PwTu_dp?si=0ppOIkpFA4kGEOKo
❤11👏1🎄1
दो व्यक्ति एक ही stock को देखते हैं।
एक trading का निर्णय लेते हैं, जबकि दूसरा investment का।
सोच में इतना अंतर क्यों आता है।
अपनी राय Comment करें 👇🏻।
http://youtube.com/post/UgkxUm-Hkau2Ol0bYTsQuQFEhHv3B8k8eYhb?si=4XFQiS8WLNbTWPc0
एक trading का निर्णय लेते हैं, जबकि दूसरा investment का।
सोच में इतना अंतर क्यों आता है।
अपनी राय Comment करें 👇🏻।
http://youtube.com/post/UgkxUm-Hkau2Ol0bYTsQuQFEhHv3B8k8eYhb?si=4XFQiS8WLNbTWPc0
👏8❤1
📈 DAILY MARKET UPDATE
📅 Date –5 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Last Close – 26,329 (Up +182 pts)
• Trend – Strong bullish breakout above symmetrical triangle
• Resistance: 26,400 → 26,500
• Support: 26,300 → 26,200 → 26,118
✔️ Bank Nifty:
• Last Close – 60,151 (Up +439 pts)
• Long buildup seen — strong bullish control
✔️ FIIs & DIIs:
• FIIs – Small Net Buyers ~₹290 Cr
• Month to Date Outflow now ~₹2,750 Cr
✔️ Sector Trend:
• Top Gainer – Nifty Energy +2.2%
• Worst Performer – Nifty FMCG –1.2%
• 11 of 12 sectors closed positive
✔️ Volatility:
• India VIX – 9.45 (marginal rise, still very low)
→ Market sentiment still calm / complacent
✔️ Options Data:
• Nifty OI ↓ = Short covering rally
• Bank Nifty OI ↑ = Fresh long positions
• PCR – Nifty 1.13, Bank Nifty 1.14
→ Mild bullish bias
✔️ Stock Setups to Watch:
• Bosch Ltd – +8.5% (Auto demand strong)
• ITC – –3.8% (taxrelated selling pressure)
🌍 GLOBAL MARKET
✔️ US Markets (Friday):
• S&P 500 – +0.2%
• Dow Jones – +0.66%
• Nasdaq – mildly lower
✔️ Asian Markets:
• Japan Nikkei +2.3%
• Riskon sentiment strong
✔️ Crude Oil (WTI):
• ~$56.9
• Slightly down due to supply surplus concerns
✔️ Dollar & Currency:
• INR above 90 → keep watch on RBI action
✔️ Volatility Index (VIX US):
• Near low levels → Stable risk sentiment
✔️ Data to Watch Today:
• Global risk sentiment
• INR movement
• Crude trend
• Auto demand & FII flows
🎯 Quick Summary (For Day Traders)
✅ Nifty breakout confirmed — trend bullish
✅ Buyondips remains intact above 26,300
✅ Bank Nifty showing strong long buildup
⚠️ If Nifty breaks 26,300 — profit booking likely
⚠️ Low VIX = sudden spikes possible
🛢 Crude & Currency movement — key drivers
📅 Date –5 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Last Close – 26,329 (Up +182 pts)
• Trend – Strong bullish breakout above symmetrical triangle
• Resistance: 26,400 → 26,500
• Support: 26,300 → 26,200 → 26,118
✔️ Bank Nifty:
• Last Close – 60,151 (Up +439 pts)
• Long buildup seen — strong bullish control
✔️ FIIs & DIIs:
• FIIs – Small Net Buyers ~₹290 Cr
• Month to Date Outflow now ~₹2,750 Cr
✔️ Sector Trend:
• Top Gainer – Nifty Energy +2.2%
• Worst Performer – Nifty FMCG –1.2%
• 11 of 12 sectors closed positive
✔️ Volatility:
• India VIX – 9.45 (marginal rise, still very low)
→ Market sentiment still calm / complacent
✔️ Options Data:
• Nifty OI ↓ = Short covering rally
• Bank Nifty OI ↑ = Fresh long positions
• PCR – Nifty 1.13, Bank Nifty 1.14
→ Mild bullish bias
✔️ Stock Setups to Watch:
• Bosch Ltd – +8.5% (Auto demand strong)
• ITC – –3.8% (taxrelated selling pressure)
🌍 GLOBAL MARKET
✔️ US Markets (Friday):
• S&P 500 – +0.2%
• Dow Jones – +0.66%
• Nasdaq – mildly lower
✔️ Asian Markets:
• Japan Nikkei +2.3%
• Riskon sentiment strong
✔️ Crude Oil (WTI):
• ~$56.9
• Slightly down due to supply surplus concerns
✔️ Dollar & Currency:
• INR above 90 → keep watch on RBI action
✔️ Volatility Index (VIX US):
• Near low levels → Stable risk sentiment
✔️ Data to Watch Today:
• Global risk sentiment
• INR movement
• Crude trend
• Auto demand & FII flows
🎯 Quick Summary (For Day Traders)
✅ Nifty breakout confirmed — trend bullish
✅ Buyondips remains intact above 26,300
✅ Bank Nifty showing strong long buildup
⚠️ If Nifty breaks 26,300 — profit booking likely
⚠️ Low VIX = sudden spikes possible
🛢 Crude & Currency movement — key drivers
👍10❤6
09:15 से 03:30, सिर्फ समय नहीं
इसके पीछे एक वजह है
अगर आपको पता है तो comment कीजिए 👇🏻
http://youtube.com/post/UgkxGeSo2zDisdxnS8qZWdTvqNtxONPmtLnK?si=M2U6Ag8hOTt5kFpQ
इसके पीछे एक वजह है
अगर आपको पता है तो comment कीजिए 👇🏻
http://youtube.com/post/UgkxGeSo2zDisdxnS8qZWdTvqNtxONPmtLnK?si=M2U6Ag8hOTt5kFpQ
❤10
तारीख 1 ते 5 उत्साह, तारीख 20 नंतर शांतता
हा अनुभव तुमचाही आहे का
हो की नाही comment करा 👇
http://youtube.com/post/UgkxpdbdDYZPsbI0bn6Zlk1l85DuzdxveHA1?si=GhJGJR2xTWJzY5gy
हा अनुभव तुमचाही आहे का
हो की नाही comment करा 👇
http://youtube.com/post/UgkxpdbdDYZPsbI0bn6Zlk1l85DuzdxveHA1?si=GhJGJR2xTWJzY5gy
❤15
📈 DAILY MARKET UPDATE
📅 Date – 6 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 26,250 (-78 pts)
• Resistance – 26,334 → 26,400 / 26,500
• Support – 26,200 → 26,118 / 26,000
📌 Note:
Nifty failed to hold new alltimehigh and profitbooking came in.
Daily chart shows shortterm pause / consolidation.
✔️ Bank Nifty:
• Previous Close – 60,044 (-107 pts)
• Longs unwound → sentiment weakening
✔️ FIIs & DIIs:
• FII longshort ratio = 0.13 → FIIs still defensive
✔️ Sector Trend:
• Top Gainer – Realty (+2.1%)
• Weak – IT
• Overall – Mixed market
✔️ Volatility:
• India VIX ↑ 6.1% → 10.02 (Risk sentiment rising)
✔️ Options Data (Important):
• Heavy CALL OI at 26,400 → Strong Resistance
• Strong PUT OI at 26,000 → Key Support
📌 Market likely rangebound: 26,000 – 26,400
✔️ Stock Setups to Watch:
• Momentum: PGL (+4.5%)
• Weakness: Premier Energy (7%)
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 +0.6%
• Nasdaq +0.7%
• Dow +1.2% (Alltime high)
📌 Boost from positive US business outlook & oillinked optimism
✔️ Asian Markets:
• Japan Nikkei +1.12%
• TOPIX +1.48%
• Overall mixed start
✔️ Crude Oil (WTI):
• $58.12 → up ~2%
✔️ Gold:
• Up ~2.6% → Safehaven buying
✔️ Volatility Index (US VIX):
• Higher → Risk sentiment cautious
✔️ Data to Watch Today:
• US ISM numbers – may move global markets
🎯 Quick Summary (For Day Traders)
• Nifty facing strong resistance near 26,334–26,400
• Support zone 26,200 → 26,000
• Rangebound bias likely unless breakout happens
• FIIs still defensive → avoid overbullish bets
• Watch 26,000 level closely – breakdown may trigger selling
• Realty strong, IT weak
• Global mood: Cautious but positive US trend
📅 Date – 6 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 26,250 (-78 pts)
• Resistance – 26,334 → 26,400 / 26,500
• Support – 26,200 → 26,118 / 26,000
📌 Note:
Nifty failed to hold new alltimehigh and profitbooking came in.
Daily chart shows shortterm pause / consolidation.
✔️ Bank Nifty:
• Previous Close – 60,044 (-107 pts)
• Longs unwound → sentiment weakening
✔️ FIIs & DIIs:
• FII longshort ratio = 0.13 → FIIs still defensive
✔️ Sector Trend:
• Top Gainer – Realty (+2.1%)
• Weak – IT
• Overall – Mixed market
✔️ Volatility:
• India VIX ↑ 6.1% → 10.02 (Risk sentiment rising)
✔️ Options Data (Important):
• Heavy CALL OI at 26,400 → Strong Resistance
• Strong PUT OI at 26,000 → Key Support
📌 Market likely rangebound: 26,000 – 26,400
✔️ Stock Setups to Watch:
• Momentum: PGL (+4.5%)
• Weakness: Premier Energy (7%)
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 +0.6%
• Nasdaq +0.7%
• Dow +1.2% (Alltime high)
📌 Boost from positive US business outlook & oillinked optimism
✔️ Asian Markets:
• Japan Nikkei +1.12%
• TOPIX +1.48%
• Overall mixed start
✔️ Crude Oil (WTI):
• $58.12 → up ~2%
✔️ Gold:
• Up ~2.6% → Safehaven buying
✔️ Volatility Index (US VIX):
• Higher → Risk sentiment cautious
✔️ Data to Watch Today:
• US ISM numbers – may move global markets
🎯 Quick Summary (For Day Traders)
• Nifty facing strong resistance near 26,334–26,400
• Support zone 26,200 → 26,000
• Rangebound bias likely unless breakout happens
• FIIs still defensive → avoid overbullish bets
• Watch 26,000 level closely – breakdown may trigger selling
• Realty strong, IT weak
• Global mood: Cautious but positive US trend
❤24