S&P CNX NIFTY INDEX FUTURES
Short
Updated

bearish side nifty ?

274
NIFTY Futures (1H) – Current Structure
Market Context


Price is around 25,410.


Strong impulsive drop from ~25,750 → 25,410.


Structure shows:


Lower high


Strong bearish momentum


No clear bullish reversal yet.





Key Levels


Resistance: 25,600
(Sell zone / supply)


Immediate Support: 25,410


Next Downside Targets:


TP1: 25,186


TP2: 25,036


Extended: ~24,930





Possible Scenarios
Scenario 1: Pullback Sell (High Probability)


If price retraces to 25,550 – 25,600


Look for rejection → Sell


Targets:


25,410


25,200


25,050




Scenario 2: Direct Breakdown


If 25,400 breaks with strong candle


Momentum sell toward:


25,200


25,050


24,900




Scenario 3: Bullish Only If


Price sustains above 25,650


Then short covering toward 25,800


Until then, bias = Sell on rise



Reading the Chart Psychology


Sharp fall = institutional distribution


Weak pullbacks expected


Your drawn path (pullback → fall) matches current momentum.



Trade Plan (Simple)


Bias: Bearish


Strategy: Sell on pullback


Risk area: Above 25,650


Reward zone: 25,200 – 25,000
Trade closed: target reached
full target reached

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