Chart Commando
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All information & Charts are given only for educational purpose.You can paper trade only.I am not a SEBI Registered analyst.

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13
📈 DAILY MARKET UPDATE

📅 Date – 13 May 2026

1️⃣ VERY IMPORTANT NEWS

• US April inflation came higher than expected at 3.8%, increasing global inflation concerns.
• Brent crude surged near $108–110 due to escalating US-Iran tensions and Strait of Hormuz supply fears.
• Indian CPI inflation remained under RBI target at 3.48%, but future inflation risk is rising due to crude oil and weak rupee.

🌍 GLOBAL MARKET

✔️ US Markets:
• Dow Jones +0.11%, S&P 500 -0.16%, Nasdaq -0.71% as tech stocks remained weak.

✔️ Asia Market Update:
• Asian markets traded weak. Nikkei -0.52%, ASX 200 -0.56% amid inflation and oil price worries.

✔️ Gift Nifty Signal:
• Gift Nifty near 23,369 indicating around 70-point gap down opening.

✔️ Crude Oil:
• Brent Crude near $108–110/barrel, WTI above $102 due to Middle East tensions.

✔️ Dollar Index:
• Dollar remained strong amid higher US inflation and safe-haven demand.

✔️ Volatility Index (VIX US):
• US VIX cooled slightly near 18 from 18.5 levels.

🇮🇳 INDIAN MARKET OVERVIEW

✔️ Sector Trend:
• IT and Realty remained weakest sectors. Metal showed relative strength.

✔️ Market Sentiment / Trend:
• Overall sentiment remains bearish with strong FIIs selling, weak rupee and high crude prices.

✔️ Volatility (India VIX):
• India VIX moved above 19 showing rising market fear and volatility.

💰 FII & DII DATA

✔️ FIIs:
• FIIs net sold around ₹8,500 Cr for fifth consecutive session.

✔️ DIIs:
• DIIs net bought around ₹6,000 Cr providing partial support.

📊 COMMODITIES UPDATE

✔️ Crude:
• Crude oil continues strong bullish momentum due to geopolitical tensions.

✔️ Gold:
• Gold slightly weak near $4,714/oz amid volatility and inflation concerns.

✔️ Silver:
• Silver traded mixed with cautious sentiment in global commodity markets.

📊 OPTIONS DATA (OI BUILD-UP)

✔️ Call OI:
• Highest Call OI at 24,000 followed by 23,500 and 23,800.

✔️ Put OI:
• Highest Put OI at 23,000 followed by 22,800 and 23,500.

✔️ PCR:
• PCR improved to 0.89 from 0.77 but sentiment still cautious.

📈 NIFTY LEVELS

✔️ Trend:
• Bearish

• Immediate Support: 23,200
• Major Support: 23,000

• Immediate Resistance: 23,400
• Strong Resistance: 23,550 – 23,800

📉 BANK NIFTY LEVELS

✔️ Trend:
• Bearish

• Immediate Support: 53,000
• Major Support: 52,500

• Immediate Resistance: 54,000
• Strong Resistance: 54,200

📊 STOCKS / SECTORS IN NEWS

• IT stocks under pressure after AI-related concerns and weak guidance.
• Oil & Gas stocks may remain strong due to rising crude prices.
• Cipla, TVS Motor, HPCL, Oil India, PFC and CARE Ratings Q4 results today.

📊 STOCK SETUPS TO WATCH

• Oil India – Strong momentum due to crude rally.
• HPCL – Oil sector focus amid rising crude prices.
• Metal stocks – Showing relative outperformance versus broader market.

🎯 EXPECTED TRADING RANGE TODAY

✔️ Nifty Range:
• 23,000 – 23,500

✔️ Bank Nifty Range:
• 53,000 – 54,200

📅 IMPORTANT DATA / EVENTS TODAY

• OPEC Monthly Report
• US PPI Inflation & Crude Oil Inventory Data

🎯 INTRADAY TRADING VIEW

👉 Market sentiment remains weak. Traders should avoid aggressive long positions until Nifty sustains above 23,400. Focus may remain on defensive and oil-linked sectors while IT could continue under pressure.

📌 QUICK SUMMARY

• Higher US inflation and rising crude oil are hurting global sentiment.
• FIIs continue aggressive selling while volatility remains elevated.
• Nifty and Bank Nifty trend remain bearish unless key resistance levels are reclaimed.
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9
📈 DAILY MARKET UPDATE

📅 Date – 14 May 2026

1️⃣ VERY IMPORTANT NEWS

• US April Wholesale Inflation (PPI) came much higher than expected at 6%, increasing future US rate hike fears.
• US markets stayed positive due to strong AI & Tech stocks and optimism around Donald Trump–Xi Jinping meeting.
• Iran announced service fees and selective passage rules for ships through Strait of Hormuz; crude oil remains volatile.

🌍 GLOBAL MARKET

✔️ US Markets:
• Dow Jones -0.14%, S&P 500 +0.58%, Nasdaq +1.2% (record highs led by tech stocks).

✔️ Asia Market Update:
• Mixed Asian markets — Nikkei +0.27%, Kospi +0.38%, ASX 200 slightly negative.

✔️ Gift Nifty Signal:
• Trading near 23,567 indicating strong gap-up opening of 100+ points.

✔️ Crude Oil:
• Brent near $106/barrel, WTI near $101/barrel.

✔️ Dollar Index:
• Dollar remained strong due to higher US inflation concerns.

✔️ Volatility Index (VIX US):
• US VIX remained mostly flat despite inflation worries.

🇮🇳 INDIAN MARKET OVERVIEW

✔️ Sector Trend:
• Metal, Oil & Gas strong; IT weak; selective positivity in Pharma.

✔️ Market Sentiment / Trend:
• Sentiment improved slightly after 4-session selling, but overall market remains cautious due to oil price, inflation risk and FII selling.

✔️ Volatility (India VIX):
• India VIX remained elevated near 19.43.

💰 FII & DII DATA

✔️ FIIs:
• Net Sellers ₹4,700 Cr (7th straight selling session).

✔️ DIIs:
• Net Buyers ₹6,850 Cr.

📊 COMMODITIES UPDATE

✔️ Crude:
• Slight cooling in oil prices after recent sharp rally.

✔️ Gold:
• Gold slipped for second straight session due to reduced rate-cut hopes.

✔️ Silver:
• Silver remained volatile with mixed global sentiment.

📊 OPTIONS DATA (OI BUILD-UP)

✔️ Call OI:
• Highest Call OI at 24,000 followed by 23,500 & 23,900.

✔️ Put OI:
• Highest Put OI at 23,000 followed by 23,500 & 23,400.

✔️ PCR:
• PCR dropped to 0.91 indicating cautious sentiment.

📈 NIFTY LEVELS

✔️ Trend:
• Cautious to mildly bullish above 23,400.

• Immediate Support: 23,400
• Major Support: 23,200 – 23,000

• Immediate Resistance: 23,600 – 23,700
• Strong Resistance: 24,000

📉 BANK NIFTY LEVELS

✔️ Trend:
• Weak to range-bound.

• Immediate Support: 53,200
• Major Support: 53,000

• Immediate Resistance: 53,900
• Strong Resistance: 54,300

📊 STOCKS / SECTORS IN NEWS

• Bharti Airtel Q4 results positive; announced ₹24 dividend.
• Securities and Exchange Board of India proposed easier short-term borrowing rules for mutual funds.
• Pharma stocks in focus after Dr. Reddy's Laboratories ADR gained around 4%.

📊 STOCK SETUPS TO WATCH

• JSW Steel
• Muthoot Finance
• Indian Railway Finance Corporation

🎯 EXPECTED TRADING RANGE TODAY

✔️ Nifty Range:
• 23,200 – 23,800

✔️ Bank Nifty Range:
• 53,000 – 54,000

📅 IMPORTANT DATA / EVENTS TODAY

• UK GDP Data at 12:30 PM.
• India April WPI Inflation data after market hours.

🎯 INTRADAY TRADING VIEW

👉 Gap-up opening expected. Traders should watch whether Nifty sustains above 23,400. Sustaining above this level can trigger further short covering towards 23,700–23,800, while failure may again bring selling pressure.

📌 QUICK SUMMARY

• US inflation remains a major concern for global markets.
• Tech stocks are supporting US indices despite macro pressure.
• Indian market sentiment improved slightly, but FIIs selling and oil prices remain key risks.
16
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12👍1
📈 DAILY MARKET UPDATE

📅 Date – 18 May 2026

1️⃣ VERY IMPORTANT NEWS

• Middle East tensions escalated after Iran drones targeted UAE, increasing global war fears.
• Brent Crude surged near $110/barrel after Russian oil sanction waiver expiry and Hormuz concerns.
• US bond yields jumped sharply after higher US inflation data, increasing fear of US rate hike.

🌍 GLOBAL MARKET

✔️ US Markets:
• S&P 500 fell 1.3%, Nasdaq dropped 1.5%, Dow Jones down more than 1%.

✔️ Asia Market Update:
• Asian markets opened weak amid geopolitical tensions and rising oil prices. Nikkei down 0.2%, ASX 200 down 0.76%.

✔️ Gift Nifty Signal:
• Indicating weak to gap-down opening around 150 points lower.

✔️ Crude Oil:
• Brent Crude near $110.5/barrel, WTI above $102/barrel.

✔️ Dollar Index:
• Dollar remained strong due to rising US bond yields and rate hike expectations.

✔️ Volatility Index (VIX US):
• US VIX jumped near 18.5, up around 7%.

🇮🇳 INDIAN MARKET OVERVIEW

✔️ Sector Trend:
• Weakness expected in Auto, Banking, Paints, Aviation and Oil-sensitive sectors.
• Semiconductor and Defense-related stocks may stay in focus after India-Netherlands agreements.

✔️ Market Sentiment / Trend:
• Overall sentiment remains cautious to bearish due to crude oil spike, weak rupee and geopolitical tensions.

✔️ Volatility (India VIX):
• India VIX rose near 18.8 indicating higher market volatility.

💰 FII & DII DATA

✔️ FIIs:
• FIIs were net buyers of around ₹1,350 Cr on Friday.

✔️ DIIs:
• DIIs were net sellers of around ₹2,000 Cr.

📊 COMMODITIES UPDATE

✔️ Crude:
• Crude prices surged sharply due to Middle East conflict fears.

✔️ Gold:
• Gold corrected sharply last week amid stronger US dollar and rate hike expectations.

✔️ Silver:
• Silver remained under pressure with weak global sentiment.

📊 OPTIONS DATA (OI BUILD-UP)

✔️ Call OI:
• Highest Call OI at 24,000 followed by 23,800 and 24,300.

✔️ Put OI:
• Highest Put OI at 23,000 followed by 23,500 and 23,400.

✔️ PCR:
• PCR dropped to 0.97 from 1.11 indicating weaker market sentiment.

📈 NIFTY LEVELS

✔️ Trend:
• Bearish to Rangebound Below 24,000

• Immediate Support:
• 23,500

• Major Support:
• 23,400 – 23,250

• Immediate Resistance:
• 23,800

• Strong Resistance:
• 24,000 – 24,300

📉 BANK NIFTY LEVELS

✔️ Trend:
• Bearish

• Immediate Support:
• 53,300 – 53,200

• Major Support:
• 53,000

• Immediate Resistance:
• 54,000

• Strong Resistance:
• 54,200 – 54,500

📊 STOCKS / SECTORS IN NEWS

• Tata Electronics & semiconductor-related stocks in focus after India-Netherlands agreements.
• IOC, Indraprastha Gas, JSW Cement, Ola Electric and Triveni Turbine due to earnings today.
• Oil & Gas stocks likely active due to sharp rise in crude oil prices.

📊 STOCK SETUPS TO WATCH

• Tata Elxsi / Semiconductor Theme Stocks
• ONGC / Oil & Gas Stocks
• Defense Stocks on global geopolitical tensions

🎯 EXPECTED TRADING RANGE TODAY

✔️ Nifty Range:
• 23,250 – 23,850

✔️ Bank Nifty Range:
• 53,000 – 54,200

📅 IMPORTANT DATA / EVENTS TODAY

• China Industrial Production & Unemployment Data
• Global updates regarding Iran-US geopolitical tensions

🎯 INTRADAY TRADING VIEW

👉 Market sentiment remains weak due to rising crude oil prices, weak rupee and geopolitical tensions. Traders should stay cautious and avoid aggressive long positions unless Nifty sustains above 23,800.

📌 QUICK SUMMARY

• Global sentiment negative due to Middle East tensions.
• Rising crude oil and weak rupee remain major concerns for Indian markets.
• Nifty below 24,000 keeps overall trend cautious to bearish.
17👍1
आपको market अभी risky लग रहा है या opportunity? 👇🏻
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6
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