Investor price नहीं देखते, तो फिर वो क्या देखते हैं?
Comment में बताओ 👇
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✍6❤3🕊1
हा प्रश्न पुस्तकातला नाही, हा तुमच्या आयुष्यातला आहे.
आर्थिक स्वातंत्र्य म्हणजे नेमकं काय?
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आर्थिक स्वातंत्र्य म्हणजे नेमकं काय?
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❤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 👇🏻।
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एक trading का निर्णय लेते हैं, जबकि दूसरा investment का।
सोच में इतना अंतर क्यों आता है।
अपनी राय Comment करें 👇🏻।
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👏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 👇🏻
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इसके पीछे एक वजह है
अगर आपको पता है तो comment कीजिए 👇🏻
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❤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
डोक्यात सगळ्यात जास्त काय फिरतं, काम की खर्च
Comment करून सांग 👇🏻
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Comment करून सांग 👇🏻
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❤7
सब market में पैसा कमाने आते हैं, पर पैसा आता कहाँ से है.
क्या आपने कभी सोचा है.
आपकी राय comment में लिखिए 👇🏻
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क्या आपने कभी सोचा है.
आपकी राय comment में लिखिए 👇🏻
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❤10
📈 DAILY MARKET UPDATE
📅 Date – 7 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 26,079 (72 pts)
• Support – 26,125 / 26,040
• Resistance – 26,274 / 26,350
• View – Volatile but positive bias above 26,274
✔️ Bank Nifty:
• Close – 60,118 (+74 pts)
• Strong buying with rising Open Interest
• Outperformance vs Nifty continues
✔️ FIIs & DIIs:
• FIIs – Small Net Selling (~₹108 Cr)
• Sentiment – Neutral to Mild Positive
✔️ Sector Trend:
• Top Gainer – Pharma (+1.7%)
• Weak Sector – Media (1.1%)
• 9 of 12 sectors closed positive
✔️ Volatility:
• India VIX ~ 10 — Stable & Low Risk Tone
✔️ Options Data:
• PCR indicates mild bullish tone
• Premiums remain positive — Long positions still active
✔️ Stock Setups to Watch:
• IEX – Strong Move + High Momentum
• Banking Stocks – Positive Bias
• Avoid – Media & weak consumption names
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 – +0.6% (New AllTime High)
• Dow Jones – +1% (New High)
• Nasdaq – +0.7%
• Tone – Bullish
✔️ SGX / Gift Nifty:
• Flat to Mild Positive
✔️ Crude Oil:
• Slightly Lower (~0.8%) — Supply concerns easing
✔️ Dollar Index:
• Stable
✔️ Volatility Index (US VIX):
• Low – Riskon sentiment
✔️ Other Notes:
• Precious Metals Strong – Gold + Silver Up
• Geopolitical risk elevated
🎯 Quick Summary (For Day Traders)
• Nifty support at 26,125 – Below this profitbooking may increase
• Upside opens above 26,274 – target 26,350 zone
• Bank Nifty stronger than Nifty
• Volatility low – Trend Trading environment
• Pharma & Banking look positive
• Use dips for selective buying — but stay stockspecific
📅 Date – 7 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 26,079 (72 pts)
• Support – 26,125 / 26,040
• Resistance – 26,274 / 26,350
• View – Volatile but positive bias above 26,274
✔️ Bank Nifty:
• Close – 60,118 (+74 pts)
• Strong buying with rising Open Interest
• Outperformance vs Nifty continues
✔️ FIIs & DIIs:
• FIIs – Small Net Selling (~₹108 Cr)
• Sentiment – Neutral to Mild Positive
✔️ Sector Trend:
• Top Gainer – Pharma (+1.7%)
• Weak Sector – Media (1.1%)
• 9 of 12 sectors closed positive
✔️ Volatility:
• India VIX ~ 10 — Stable & Low Risk Tone
✔️ Options Data:
• PCR indicates mild bullish tone
• Premiums remain positive — Long positions still active
✔️ Stock Setups to Watch:
• IEX – Strong Move + High Momentum
• Banking Stocks – Positive Bias
• Avoid – Media & weak consumption names
🌍 GLOBAL MARKET
✔️ US Markets:
• S&P 500 – +0.6% (New AllTime High)
• Dow Jones – +1% (New High)
• Nasdaq – +0.7%
• Tone – Bullish
✔️ SGX / Gift Nifty:
• Flat to Mild Positive
✔️ Crude Oil:
• Slightly Lower (~0.8%) — Supply concerns easing
✔️ Dollar Index:
• Stable
✔️ Volatility Index (US VIX):
• Low – Riskon sentiment
✔️ Other Notes:
• Precious Metals Strong – Gold + Silver Up
• Geopolitical risk elevated
🎯 Quick Summary (For Day Traders)
• Nifty support at 26,125 – Below this profitbooking may increase
• Upside opens above 26,274 – target 26,350 zone
• Bank Nifty stronger than Nifty
• Volatility low – Trend Trading environment
• Pharma & Banking look positive
• Use dips for selective buying — but stay stockspecific
❤20
Market demand और supply से चलता है, ये theory नहीं reality है
सवाल बस इतना है, आप इसे देखते हैं या समझते हैं
Comment करके बताइ 👇🏻
http://youtube.com/post/UgkxLExydWb9SUk0dTZrT6anthEp3cxjIMVG?si=tJ1cpCjPSksNixIl
सवाल बस इतना है, आप इसे देखते हैं या समझते हैं
Comment करके बताइ 👇🏻
http://youtube.com/post/UgkxLExydWb9SUk0dTZrT6anthEp3cxjIMVG?si=tJ1cpCjPSksNixIl
✍8
📈 DAILY MARKET UPDATE
📅 Date – 8 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 26,041 (down ~38 pts)
• Pattern – Doji candle → Market indecision
• Trend – Trading near lower band of rising channel
• Key Levels:
🔺 Upside breakout above 26,188 → Target 26,274
🔻 Support 26,039 (20Day SMA)
⚠️ Break below 26,039 → 25,900 → 25,700 possible
✔️ Bank Nifty:
• Close – 59,991 (down ~128 pts)
• Weak due to selling in financial stocks
✔️ FIIs & DIIs:
• FII Cash Sell – ₹1,528 Cr
• Monthly outflow now ~₹3,200 Cr
✔️ Sector Trend (Key Movers):
• Top Gainer – Tata Alexi +9.5%
• Top Loser – Cipla −4.3%
✔️ Volatility:
• India VIX – 9.95 (Calm, low fear)
✔️ Options Data:
• Nifty PCR – 0.89 → Caution tone
• Nifty – Short buildup seen
• Bank Nifty – Long unwinding
• Retail traders still net bullish (risk of squeeze)
✔️ Stock Setups to Watch:
• Bullish Momentum: Tata Alexi
• Weakness: Pharma space (Ciplaled)
🌍 GLOBAL MARKET
✔️ US Markets (Overnight):
• S&P 500 – −0.3%
• Dow Jones – −0.9%
• Nasdaq – +0.2% (helped by Alphabet +2.4%)
✔️ US Equity Futures:
• Flat / little changed
✔️ Asia Markets:
• Nikkei – −0.46%
• Topix – −0.27%
• Overall – Mixed opening
✔️ Crude Oil (WTI):
• −1.4% on demand & policy concerns
✔️ Gold:
• Slight profitbooking after recent rally
✔️ Dollar / Rupee:
• INR strengthened to ~89.83
✔️ Volatility Index (US VIX):
• Stable / mild risk tone
✔️ Data to Watch Today:
• GDP estimates (Key for Budget outlook)
🎯 Quick Summary (For Day Traders)
• Sentiment – Cautious / Riskoff
• Key Nifty Zone – 26,039 → CRITICAL SUPPORT
• Holding above → Bounce possible
• Breaking below → Weakness toward 25,900 – 25,700
• FIIs continue heavy selling
• Bank Nifty weak due to financial stock pressure
• Retail traders still long → volatility risk
• Global markets mixed with mild pressure
📅 Date – 8 Jan 2026
🇮🇳 INDIAN MARKET
✔️ Nifty Levels:
• Previous Close – 26,041 (down ~38 pts)
• Pattern – Doji candle → Market indecision
• Trend – Trading near lower band of rising channel
• Key Levels:
🔺 Upside breakout above 26,188 → Target 26,274
🔻 Support 26,039 (20Day SMA)
⚠️ Break below 26,039 → 25,900 → 25,700 possible
✔️ Bank Nifty:
• Close – 59,991 (down ~128 pts)
• Weak due to selling in financial stocks
✔️ FIIs & DIIs:
• FII Cash Sell – ₹1,528 Cr
• Monthly outflow now ~₹3,200 Cr
✔️ Sector Trend (Key Movers):
• Top Gainer – Tata Alexi +9.5%
• Top Loser – Cipla −4.3%
✔️ Volatility:
• India VIX – 9.95 (Calm, low fear)
✔️ Options Data:
• Nifty PCR – 0.89 → Caution tone
• Nifty – Short buildup seen
• Bank Nifty – Long unwinding
• Retail traders still net bullish (risk of squeeze)
✔️ Stock Setups to Watch:
• Bullish Momentum: Tata Alexi
• Weakness: Pharma space (Ciplaled)
🌍 GLOBAL MARKET
✔️ US Markets (Overnight):
• S&P 500 – −0.3%
• Dow Jones – −0.9%
• Nasdaq – +0.2% (helped by Alphabet +2.4%)
✔️ US Equity Futures:
• Flat / little changed
✔️ Asia Markets:
• Nikkei – −0.46%
• Topix – −0.27%
• Overall – Mixed opening
✔️ Crude Oil (WTI):
• −1.4% on demand & policy concerns
✔️ Gold:
• Slight profitbooking after recent rally
✔️ Dollar / Rupee:
• INR strengthened to ~89.83
✔️ Volatility Index (US VIX):
• Stable / mild risk tone
✔️ Data to Watch Today:
• GDP estimates (Key for Budget outlook)
🎯 Quick Summary (For Day Traders)
• Sentiment – Cautious / Riskoff
• Key Nifty Zone – 26,039 → CRITICAL SUPPORT
• Holding above → Bounce possible
• Breaking below → Weakness toward 25,900 – 25,700
• FIIs continue heavy selling
• Bank Nifty weak due to financial stock pressure
• Retail traders still long → volatility risk
• Global markets mixed with mild pressure
❤23👍1