Parameter Data Data
Asset Name Silver Futures (MCX) (Mar 2026 Contract)
Price Movement 🟩 Explosive Positive Momentum (LTP \sim ₹1,88,064/kg / +3.48\% change)
Current Trade 🟩 STRONG BUY / PARABOLIC (Trading near All-Time Highs)
SMC Structure 🟩 Explosive/Parabolic Move (Historic breakout above ₹1,90,000)
Trap/Liquidity Zones Liquidity Target: Above ₹1,92,400 / Potential Trap: Aggressive shorting below ₹1,86,600 (Major Support Failure)
Probability 🟩 Very High (85%) for testing ₹1,92,400 - ₹1,95,000.
Risk Reward (R:R) 1 : 1.5 [ breakout above ₹1,92,000 & Breakdown below ₹1,86,600]
Confidence 🟩 High (Strong technical and fundamental support)
Max Pain 🟨 N/A (Requires latest options data)
DEMA Levels 🟩 Extreme Bullish (Price is significantly above all major DEMAs)
Supports 🟩 S1: ₹1,86,600 (Immediate Pivot/Key Support), S2: ₹1,85,000 (Psychological Support), S3: ₹1,83,000 (Crucial Short-Term Base)
Resistances 🟥 R1: ₹1,90,000 (Psychological/Recent High), R2: ₹1,92,400 (Next Target Zone), R3: ₹1,95,000
ADX/RSI/DMI 🟩 RSI (14): \sim 75+ (Overbought/Extreme Strength) / ADX (14): \sim 45+ (Extreme Trend Strength)
Market Depth 🟨 N/A (Requires live data feed)
Volatility 🟩 Extremely High (ATR confirms a massive expansion phase)
Source Ledger 🟩 Verified (MCX Futures Data, Dec 10, 2025 Close)
OI 🟩 High (Long positions are aggressively being built)
PCR 🟥 Extremely Bullish/Overbought (\sim 2.21 - Dec 23 Expiry) - Indicates high Put writing, suggesting traders are heavily positioned for no drop.
VWAP 🟩 Strong Bullish (Price trading significantly above VWAP)
Turnover 🟩 Exceptional (Volume confirms the breakout's validity)
Harmonic Pattern 🟨 N/A (Strong momentum wave)
IV/RV 🟩 Implied Volatility (IV): Extremely High / Realized Volatility (RV): Record High
Options Skew 🟩 Bullish Bias (Call premiums are high)
Vanna/Charm 🟨 N/A (Requires dedicated options data feed)
Block Trades 🟨 N/A (Requires dedicated institutional data feed)
COT Positioning 🟩 Strong Bullish (Global COT supports long-term structural demand)
Cross-Asset Correlation 🟩 Strong Positive (Inverse correlation with weakening USD Index)
ETF Rotation 🟩 Strong Bullish (Massive ETF inflows)
Sentiment Index 🟩 Euphoria/Greed (Driven by the record breakout)
OFI 🟩 Strong Positive (Institutional Order Flow is positive)
Delta 🟨 N/A (Requires dedicated options data feed)
VWAP Bands 🟩 Extreme Bullish (Price trading outside the upper band)
Rotation Metrics 🟩 Strong Momentum (Highest tier of rotational strength)
Market Phase 🟩 Expansion/Parabolic Uptrend
Asset Name Silver Futures (MCX) (Mar 2026 Contract)
Price Movement 🟩 Explosive Positive Momentum (LTP \sim ₹1,88,064/kg / +3.48\% change)
Current Trade 🟩 STRONG BUY / PARABOLIC (Trading near All-Time Highs)
SMC Structure 🟩 Explosive/Parabolic Move (Historic breakout above ₹1,90,000)
Trap/Liquidity Zones Liquidity Target: Above ₹1,92,400 / Potential Trap: Aggressive shorting below ₹1,86,600 (Major Support Failure)
Probability 🟩 Very High (85%) for testing ₹1,92,400 - ₹1,95,000.
Risk Reward (R:R) 1 : 1.5 [ breakout above ₹1,92,000 & Breakdown below ₹1,86,600]
Confidence 🟩 High (Strong technical and fundamental support)
Max Pain 🟨 N/A (Requires latest options data)
DEMA Levels 🟩 Extreme Bullish (Price is significantly above all major DEMAs)
Supports 🟩 S1: ₹1,86,600 (Immediate Pivot/Key Support), S2: ₹1,85,000 (Psychological Support), S3: ₹1,83,000 (Crucial Short-Term Base)
Resistances 🟥 R1: ₹1,90,000 (Psychological/Recent High), R2: ₹1,92,400 (Next Target Zone), R3: ₹1,95,000
ADX/RSI/DMI 🟩 RSI (14): \sim 75+ (Overbought/Extreme Strength) / ADX (14): \sim 45+ (Extreme Trend Strength)
Market Depth 🟨 N/A (Requires live data feed)
Volatility 🟩 Extremely High (ATR confirms a massive expansion phase)
Source Ledger 🟩 Verified (MCX Futures Data, Dec 10, 2025 Close)
OI 🟩 High (Long positions are aggressively being built)
PCR 🟥 Extremely Bullish/Overbought (\sim 2.21 - Dec 23 Expiry) - Indicates high Put writing, suggesting traders are heavily positioned for no drop.
VWAP 🟩 Strong Bullish (Price trading significantly above VWAP)
Turnover 🟩 Exceptional (Volume confirms the breakout's validity)
Harmonic Pattern 🟨 N/A (Strong momentum wave)
IV/RV 🟩 Implied Volatility (IV): Extremely High / Realized Volatility (RV): Record High
Options Skew 🟩 Bullish Bias (Call premiums are high)
Vanna/Charm 🟨 N/A (Requires dedicated options data feed)
Block Trades 🟨 N/A (Requires dedicated institutional data feed)
COT Positioning 🟩 Strong Bullish (Global COT supports long-term structural demand)
Cross-Asset Correlation 🟩 Strong Positive (Inverse correlation with weakening USD Index)
ETF Rotation 🟩 Strong Bullish (Massive ETF inflows)
Sentiment Index 🟩 Euphoria/Greed (Driven by the record breakout)
OFI 🟩 Strong Positive (Institutional Order Flow is positive)
Delta 🟨 N/A (Requires dedicated options data feed)
VWAP Bands 🟩 Extreme Bullish (Price trading outside the upper band)
Rotation Metrics 🟩 Strong Momentum (Highest tier of rotational strength)
Market Phase 🟩 Expansion/Parabolic Uptrend
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The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
