Nifty range setup for 14th July | Retesting for a impulsive moveOverall Structure : Bearish Neutral
Index components : Negative Correlation
FGI Sentiments : Neutral - 69.52↓ Indian & 24↓ Global
Insider Data : Bearish, PCR: 0.60↓, IVP: 82↑, IV: 23.7↑, VIX: 18.52↓(27/33)↑
↑Up : 16030, 16100, 16150, 16200, 16300.
↓Down : 15900, 15850, 15800, 15750, 15700.
Market Opening(*Expected): Gapdown to Upward
Activity : Short Buildup/Short Covering (rebalancing)
Factor Impacts: High Inflation and Interest rate hikes, Operating margin declines, political election scenario, Employment risks
Conclusion: Avail on request.
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***Note: Identify the B/S zone, Follow the trend direction with strong confirmation.
Nothing works 100% of the market. It depends on 50% weightage of technical chart, 25% to OI, and 25% to FII data.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge point of view only & is subjected to market risk.
(Data source@23:30 IST)***
Pivotline
Nifty range setup for 5th July | Seeks a Corrective moveOverall Structure : Neutral
Index components : Neutral correlation
FGI Sentiments : Neutral - 50.93↑ Indian & 24↑ Global
Insider Data : Neutral, PCR: 1.10↑, IVP: 70↑, IV: 20.8↑ High, VIX: 20.97(27/34)↓
↑Up : 15900, 15960, 16010, 16080, 16170.
↓Down : 15750, 15670, 15610, 15510, 15420.
Market Opening : Gapdown (Expected*)
Activity : Short Buildup/Short Covering (rebalancing)
Factor Impacts: High Inflation and Interest rate hikes, Operating margin declines scenario.
Conclusion: N/A
~~~~~~~~~~~~~~~~~~~~~~~~~
***Note: Identify the B/S zone, Follow the trend direction with a confirmation.
Nothing works 100% of the market. It depends on 50% weightage of technical chart, 25% to OI, and 25% to FII data.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge point of view only & is subjected to market risk.
(Data source@20:30 IST)***
Nifty range setup for 4th July | High volatility for p-inflationOverall Structure : Neutral
Index components : Neutral correlation
FGI Sentiments : Neutral - 46.82↑ Indian & 24↑ Global
Insider Data : Neutral, PCR: 1.07↑, IVP: 66↓, IV: 19.1↓ High, VIX: 21.25(26/34)↓
↑Up : 15850, 15920, 16010, 16080, 16170.
↓Down : 15700, 15630, 15570, 15510, 15450.
Market Opening : Flat/Partial gap (Expected*)
Activity : Short Buildup/Short Covering (rebalancing)
Factor Impacts: High Inflation and Interest rate hikes, Operating margin declines scenario
Conclusion: N/A
~~~~~~~~~~~~~~~~~~~~~~~~~
***Note: Identify the B/S zone, Follow the trend direction with a confirmation.
Nothing works 100% of the market. It depends on 50% weightage of technical chart, 25% to OI, and 25% to FII data.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge point of view only & is subjected to market risk.
(Data source@20:30 IST)***
Nifty range setup for 1st July | High volatility for p-inflationOverall Structure : Neutral
Index components : Neutral correlation
FGI Sentiments : Neutral - 45.69↑ Indian & 23↓ Global
Insider Data : Neutral, PCR: 1.06↑, IVP: 74↓, IV: 21.7↓ High, VIX: 21.84(29/36)↑
↑Up : 15850, 15920, 16010, 16080, 16170.
↓Down : 15700, 15630, 15570, 15510, 15450.
Market Opening : Gapdown (Expected*)
Activity : Short Buildup/Short Covering (rebalancing)
Factor Impacts: High Inflation and Interest rate hikes, Operating margin declines scenario
Conclusion: N/A
~~~~~~~~~~~~~~~~~~~~~~~~~
***Note: Identify the B/S zone, Follow the trend direction with a confirmation.
Nothing works 100% of the market. It depends on 50% weightage of technical chart, 25% to OI, and 25% to FII data.
We rigorously tested the strategy and is 88.6% accurate. This strategy is for knowledge point of view only & is subjected to market risk.
(Data source@20:30 IST)***
EURJPY and SELL AREA After Target ReachedHappy we are, today our target just hit by Mr Price.
Mr Price is still in an UP TREND moving, and has consolidating in STRONG RESISTANCE AREA.
How about BUY NOW..? I do not recommend, bro..
I think Mr Price will have two scenarios.
Climbing up into our SELL AREA and then falling down. Like usual, I like to create a trap:
SELL LIMIT with SL at 121.260 and TP 115.300.
OR..falling down and break our pivot line.
Lets see..
Thank you.
New Yorkarto City
Negeri di atas awan.