Nifty Range Setup -16th Jun : Wait for range breakMarket Opening : Gapup expected
Overall Structure : Sideways (Oversold)
FGI Sentiments : Neutral - 17.48↓ Indian & 18↓ Global
Index components : good correlation
Insider Data : Neutral, PCR: 0.59↑ , IVP: 97↑, IV: 35.7↑ High
↑Up : 15900, 16000, 16100, 16200, 16350
↓Down : 15650, 15550, 15450, 15250, 15050
Activity : Short Covering. Probability of short correction. Buy on deep down if opens gapup, or may opens flat/gapdown then go for trend side.
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Papertrading
Nifty range setup-15th juneMarket Opening : Flat expected
Overall Structure : Range down/Oversold
FGI Sentiments : Negative - 16.62↓ Indian & 18↓ Global
Index components : Negative correlation
Insider Data : Bearish , PCR: 0.55↑ , IVP: 90↑, IV: 26.7↑ High
↑Up : 15900, 16000, 16100, 16200, 16350
↓Down : 15650, 15550, 15450, 15250, 15050
Activity : Probability of break last day's low/high. Suggested to go with trend side. (as same as last analysis)
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Nifty Range Setup - 14th JuneMarket Opening : Flat expected
Overall Structure : Downtrend/Oversold
FGI Sentiments : Negative - 24.58↓ Indian & 18↓ Global
Index components : Negative correlation
Insider Data : Bearish, PCR: 0.51↓, IVP: 88↑, IV: 25.8↑ High
↑Up : 15900, 16000, 16100, 16200, 16350
↓Down : 15650, 15550, 15450, 15250, 15050
Activity : High volatility, Short buildup with negative continuation
Verdict : If open as positive/gapup , market may fall at any time at any level. Market may show more bearish.
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Nifty range setup for 13th JunMarket Opening : Flat expected
Overall Structure : Downtrend
FGI Sentiments : Negative - 42.85↓ Indian & 28↓ Global
Index components : Negative correlation
Insider Data : Bearish, PCR: 0.65↓, IVP: 65↑, IV: 18.2↑
↑Up : 16300, 16400, 16500, 16600
↓Down: 16150, 16050, 16000, 15900
Activity: Short buildup with negative continuation
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Nifty range setup -10th Jun Market Opening: Gapdown/Gapup to down ward;
Overall Structure: Uptrend but not Bullish;
FGI Sentiments: Neutral - 45% Indian↑ & 34% Global↑ ;
Insider Data: Positive , PCR: 1.18↑, IVP: 60↓, IV: 17.3↓ ;
↑Up : 16500, 16600, 16650, 16750 ;
↓Down: 16350, 16250, 16150, 16100 ;
Comparison of other Indices: Relational;
Activity: Observed Bullish Piercing line and Market was closed at crucial resistance. Let's buy above 16550 after break the upper level by following nearest bottom level. In other terms, ignore If opens gapdown.
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Nifty: Range setup for 9th JuneMarket Opening: Flat (indecisive);
Overall Structure: Downtrend;
FGI Sentiments: Negative - 40% Indian↓ & 33% Global↑ ;
Insider Data: Bearish, PCR: 0.51-85↓, IVP: 72-69↓, IV: 19.4↓ ;
↑Up : 16450, 16550, 16600, 16700 ;
↓Down: 16280, 16200, 16150, 16100, 16000 ;
Comparison of other Indices: Relational;
Activity: Short buildup/short covering
Verdict: Probability of Pullback or impulsive move
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Nifty: Range setup for 8th JunMarket Opening: Gapdown/Flat;
Overall Structure: Downtrend;
FGI Sentiments: Negative - 41% Indian↓ & 30% Global↓ ;
Insider Data: Negative, PCR: 0.55↓, IVP: 81↑, IV: 21.9↑ High;
↑Up : 16500, 16600, 16700, 16800 ;
↓Down: 16300, 16200, 16100, 16000 ;
Comparison of other Indices: Relational;
Activity: Short buildup, Positional
Verdict: Market is at crucial support. Probability of upmove to fill last gap. Sell if support breaks down the previous low.
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Sym Indication: Moving up(↑), Moving down(↓), Up n Down from Base(↨), Neutral(↛), Gapup(↱), Gapdown(↳), Reversal(↬).
Nifty: Range Setup for 07th JuneMarket Opening: Flat;
Overall Structure: Sideways;
FGI Sentiments: Negative - 41% Indian↓ & 31% Global↑;
Insider Data: Neutral, PCR: 0.75↑, IVP: 77↑, IV: 21.2↑ High;
↑Up : 16700, 16800, 16900, 17000 ;
↓Down: 16450, 16350, 16250, 16150 ;
Compare to other Index: Relational;
Activity: Short buildup/Short covering ↨
Verdict: Go with trend side after spending range between(16550-700↑) or (16550-450↓)
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Sym Indication: Moving up(↑), Moving down(↓), Up n Down from Base(↨), Neutral(↛), Gapup(↱), Gapdown(↳), Reversal(↬).
Nifty: Range setup for 6th JuneMarket Opening: Flat to Downward/Gapdown to Upward;
Overall Structure: Downtrend after Breakout failed;
FGI Sentiments: Negative - 44% Indian & 27% Global Fear;
Insider Data: Neutral, PCR: 0.74, IVP: 61, IV: 17.4;
Up : 16750, 16920, 17030, 17170 ;
Down: 16450, 16350, 16230, 16100 ;
Activity: Short buildup,
Verdict: Market may fall down to retest at 16400.
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
NIFTY range setup for 31st JunMarket Opening: Flat/Gapdown to Upward;
Overall Structure: Breakout Uptrend;
Sentiments: Neutral-Corrective mode;
Market Mood(FGI): Bottoms out (49% Indian, 21% Global);
Insider Data: Bullish, PCR: 1.27, IVP: 80, IV: 21 High;
Up : 16800, 16950, 17050, 17150 ;
Down: 16500, 16350, 16200, 16050 ;
Activity: Short buildup
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Nifty 20th May Range SetupMarket Opening: Flat/Gapup;
Overall Structure: Downtrend;
Sentiments: Neutral;
Market Mood(FGI): Crucial (29% Indian, 10% Global);
Insider Data: Bearish , PCR: 0.71, IVP: 87, IV: 23 High;
Up : @15950, @16100, @16250, @16400 ;
Down: @15700, @15550, @15450, @15250 ;
Expected Activity: Short buildup
Verdict: Market is at a crucial level. If Gapup sustains above @16050, then go for long towards @16200-250. Whereas If Flat open then go for short after breakdown @17050 towards @15500.
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
NIFTY range setup for 19th May Market Opening: Gapdown;
Overall Structure: Range down;
Sentiments: Neutral;
Market Mood(FGI): Crucial (31% Indian, 13% Global);
Insider Data: Bearish, PCR: 0.74, IVP: 54, IV: 21 High;
Up : 16400, 16500, 16650, 16900 ;
Down: 16150, 16050, 15900, 15800 ;
Expected Activity: Probability of Gapdown by falling towards 16000-15800. If Gapup/Flat opens, might go sideways expiry.
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*P.S: Identify the B/S zone, Follow the trend direction, and Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
NIFTY range setup for 18th MayMarket Opening: Gapup 60%, Gapdown 40%;
Overall Structure: Uptrend;
Sentiments: Positive;
Market Mood(FGI): Recovering (29% Indian, 15% Global);
Options Data: Partial Bullish, PCR: 1.09, IVP: 56, IV: 23 High;
Up : 16400, 16500, 16650, 16900 ;
Down: 16200, 16100, 15950, 15800 ;
Expected Activity: If gapup to downward, buy on deep suggested at day close point 16200. WHEREAS if gapdown by taking support, may move upward towards 16500-16600.
More Correction Required. But the Day might more challenging and volatile.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
NIFTY Range Setup for 17th MayMarket Opening: Flat/Partial Gapup;
Overall Structure: Downtrend/Oversold;
Sentiments: Neutral/Range
Market Mood(FGI): Fear in Mart (26% Indian, 12% Global);
Options Data: Bearish, PCR: 0.51, IVP: 59, IV: 25 High;
Up : 15950, 16050, 16150, 16250 ;
Down: 15750, 15650, 15550, 15450 ;
Expected Activity: After following sideways, might turn upward for a Correction.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 16th May, Things to know before Opening BellMarket Opening: Gapup;
Overall Structure: Downtrend/Oversold;
Sentiments: Neutral - Correction needed
Market Mood(FGI): Fear in Mart (22% Indian, 12% Global);
Options Data: Bearish , PCR: 0.45, IVP: 55, IV: 21 High;
Up : 15900, 16100, 16250, 16400 ;
Down: 15700, 15550, 15300, 15150 ;
Activity: Market might turn upward for a Correction. If Gapup opening sustains at 15900 then go for positive as much as buy on deep suggested.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 13th May, Things to know before Opening BellMarket Opening: Gapdown/Partial Gapup;
Overall Structure: Downtrend/Oversold;
Sentiments: Negative Continuation-Fear in Market;
Market Mood(FGI): Extreme Fear (25% Indian, 6% Global);
Options Data: Bearish, PCR: 0.41, IVP: 58, IV: 23 High;
Up : 15900, 16100, 16250, 16400 ;
Down: 15700, 15600, 15450, 15250 ;
Activity: Markets are likely to be oversold and might turn upward. Wait for a good time to open fresh positions.
Another Big fall may happen to test at 15000.
If Opens Flat/Gapdown, Buy on Deep; WHEREAS If Gapup, Probability of short covering
Thought of the Week: "Be fearful when others are greedy & greedy when others are fearful!"
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 12th May, Things to know before Opening BellMarket Opening: Gapdown/Flat;
Overall Structure: Downtrend/Rangedown;
Sentiments: Oversold/Low Volatility ;
Market Mood(FGI): 30% Indian, 20% Global;
Options Data: Negative, PCR: 0.50, IVP: 58, IV: 23 High;
Target: 16350, 16480, 16600, 16700 ;
Stoploss: 16100, 16000, 15900, 15750 ;
Activity: Expecting gapdown to upward.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 11th May, Things to know before Opening BellMarket Opening: Gapdown/Negative;
Overall Structure: Downtrend/Rangedown;
Sentiments: Oversold/Low Volatility;
Market Mood(FGI): 31% Indian, 23% Global;
Options Data: Negative, PCR: 0.59, IVP: 60, IV: 25 High;
Target: 16340, 16460, 16580, 16710
Stoploss: 16150, 16030, 15900, 15680
Activity: Market is in low volatility. Avoid fresh buying, Sell Below 16150 by following levels.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 1st May, Things to know before Opening BellMarket Opening: Gapdown/Flat;
Overall Structure: Neutral;
Sentiments: Neutral;
Market Mood(FGI): 54% Indian, 27% Global;
Options: Neutral, PCR: 0.70, IVP: 45, IV: 16.8;
Target: 17200, 17350, 17500
Stoploss: 17000, 16850, 16650
Activity: May Breakdown under 17050; Ignore Fresh Buying.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 29 April, Things to know before Opening BellMarket Opening: Gapup/Flat;
Overall Structure: Uptrend;
Sentiments: Neutral/Short Buildup;
Market Mood(FGI): 55% Greed Indian, 39% Global;
Options: Neutral, PCR: 1.11, IVP:45%, IV: 16.7;
Target: 17350, 17450, 17650, 17750;
Stoploss: 17150, 17050, 16950, 16850;
Activity: Time to open a fresh position;
Verdict: If Flat Opens, might turn upwards with a breakout.
WHEREAS If Gapup, Buy on Deep or May fall down at mentioned key level.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 27 April, Things to know before Opening BellMarket Opening: Gapdown/Flat;
Overall Structure: Downtrend;
Sentiments: Bearish (31%);
Market Mood(FGI): 59% Greed;
Options: Neutral, PCR: 0.90, IVP:53%, High IV;
Target: 17300, 17350, 17450, 17500;
Stoploss: 17050, 16950, 16850, 16700;
Activity: Likely to be oversold, time to open a fresh position soon.
Verdict: Probabilities of Huge Gapdown with low volume or may fall at 16900-16700.
If Flat Opens, might turn upwards with a breakout.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 26 April, Things to know before Opening BellMarket Opening: Partial Gapup/Flat;
Overall Structure: Downtrend;
Sentiments: Negative (33%);
Market Mood(FGI): 59% Greed;
PCR: 0.65 Bearish , IVP:59%;
Target: 17150, 17300, 17450, 17650;
Stoploss: 16850, 16720, 16600, 16450, 16250;
Activity: Short Buildup;
Verdict: The market may run in low volatility till Month's expiry.
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.
Range setup for 25 April, Things to know before Opening BellMarket Opening: Gapdown/Flat;
Overall Structure: Downtrend;
Sentiments: Negative (40%);
Market Mood(FGI): 67% Greed,
PCR: 0.72 Bearish , IVP:43%;
Target: 17200, 17300, 17450, 17600, 17750;
Stoploss: 17000, 16900, 16800, 16700;
Verdict: Market may run in low volatility
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*P.S: Identify the B/S zone, Follow the trend direction, Trade after trend confirmation.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge purposes only & is subjected to market risk.