Nifty View For Monday 27.01.25On January 24, 2025, the Nifty 50 index closed at 23,092.20, marking a decline of 113.15 points or 0.49% from the previous day. ( (m.economictimes.com))
Throughout the trading session, the index reached an intraday high of 23,347.30 and a low of 23,050.00. ( (finance.yahoo.com))
The broader market also experienced a downturn, with the BSE Sensex dropping 329.93 points, or 0.43%, to close at 76,190.46. ( (www.angelone.in))
Sector-wise, declines were observed in Media, Realty, and Pharma, each falling by approximately 2%. In contrast, FMCG and IT sectors outperformed during the session. ( (www.angelone.in))
In the derivatives market, the Nifty January 2025 futures closed at 23,114, maintaining a premium of 21.8 points over the cash market closing. ( (www.business-standard.com))
Overall, the market faced a downturn, with profit booking observed in several sectors, leading to a decline in key indices.
X-indicator
kotak bank bullish for swinghello everyone i have analysed in this video that how kotak bank
post breakout has consolidated , and is now looking poised to hit 1950-1970
since this expiry is very close, i would advice to buy
1920ce of feb expiry
buy 1 lot now and avg 2 more near 1850
sl will be trendline break on 30 minute chart(trendline which i have explained in the video)
Nifty Prediction for Tuesday 21 January 25Hello Early Investor,
Our objective at #HELPINGSTOCKINVESTOR is to build financial discipline in traders by simplifying Stock Market Education and Financial concepts with an expertise knowledge in Derivative Analysis, Market Trend Analysis and Technical analysis of a Stock. Here you can learn different trading strategies along with market fundamentals. Daily Market Analysis on this channel is most helpful for traders. #Experience of almost 7+ years in the market. Happy Trading!
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biocon weekly breakout, todays option tradehello everyone
biocon is showing weekly breakout on charts.
long formation is going on from past one week , with result on 30th some goood move may come
i have shown which trades i took today and why. also i invested todays profit in aarti ind.
for portfolio building. disclaimer, i am holding biocon 400 ce 8 lots
Nifty Prediction for Monday 20 January 25Hello Early Investor,
Our objective at #HELPINGSTOCKINVESTOR is to build financial discipline in traders by simplifying Stock Market Education and Financial concepts with an expertise knowledge in Derivative Analysis, Market Trend Analysis and Technical analysis of a Stock. Here you can learn different trading strategies along with market fundamentals. Daily Market Analysis on this channel is most helpful for traders. #Experience of almost 7+ years in the market. Happy Trading!
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Free Complete Candlestick Patterns Course | Episode 1 | All Single Candlesticks | Technical Analysis
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Nifty Bank View 17.01.25 Ke LiyeThe **Bank Nifty** is a stock market index that represents the performance of the 12 most significant and liquid banks listed on the National Stock Exchange of India (NSE). The index is a subset of the broader Nifty 50 index, focusing specifically on the banking sector. It is widely used to gauge the health and performance of India's banking sector.
### Constituents of Bank Nifty:
As of January 2025, the Bank Nifty index consists of the following 12 banks:
1. **HDFC Bank**
2. **ICICI Bank**
3. **Axis Bank**
4. **State Bank of India (SBI)**
5. **Kotak Mahindra Bank**
6. **IndusInd Bank**
7. **Bank of Baroda**
8. **Punjab National Bank (PNB)**
9. **Bandhan Bank**
10. **Federal Bank**
11. **IDFC First Bank**
12. **RBL Bank**
These banks are selected based on their liquidity, market capitalization, and overall contribution to the banking sector. The index is weighted by free-float market capitalization, meaning that the more valuable banks have a higher weight in the index.
### Key Characteristics:
- **Representation**: Bank Nifty represents a broad cross-section of the banking industry in India, covering both private and public sector banks.
- **Sectoral Performance**: It reflects the overall health and performance of the banking and financial services sector in India.
- **Market Usage**: Investors and traders use the Bank Nifty index as a benchmark for the banking sector, and it is also traded through exchange-traded funds (ETFs) and futures contracts.
The performance of the Bank Nifty index can be a good indicator of the broader economic conditions, particularly in terms of credit growth, interest rates, and the overall health of the financial system in India.
Hindustan Unilever Ltd Shar Analysis Part 2Hindustan Unilever Limited (HUL) is one of India's largest and most prominent fast-moving consumer goods (FMCG) companies. It is a subsidiary of the British-Dutch multinational consumer goods company Unilever. Established in 1933, HUL's product portfolio spans categories such as home care, personal care, food and beverages, and health and wellness.
### Key Aspects of Hindustan Unilever:
1. **Product Portfolio**: HUL offers a wide range of products including popular brands like Surf Excel, Dove, Lipton, Bru, Lifebuoy, and TRESemmé.
2. **Headquarters**: Located in Mumbai, India.
3. **Revenue and Market Leadership**: HUL is a market leader in the FMCG sector in India, with a significant share across its product segments.
4. **Sustainability**: The company focuses on sustainable practices, including water conservation, waste management, and reducing carbon emissions.
5. **Innovation and Growth**: HUL continuously innovates and adapts to changing consumer preferences, driving growth with a mix of premium and mass-market products.
6. **Corporate Social Responsibility**: The company is also involved in numerous social initiatives, focusing on areas like health, hygiene, education, and women's empowerment.
HUL is a key player in India's economy, contributing significantly to employment and socio-economic development.
how to use crisis for investment..to gain multifold returnshello every one,
this video is with respect to how to utilize the crisis in different
sectors to invest, this helps in generating multifold returns
i have explained in the video regarding past crisis and their returns
and some current sectors suffering from crisis which can be utilized for investment
in a staggered way. video is a bit big but please watch full to gain immense knowledge.
Sector AnalysisHello & welcome to this analysis
In this video I have covered
Nifty Next 50
Nifty Small Cap Index
Nifty Mid Select Index
Nifty Energy Index
Bank Nifty
Nifty Metal Index
All analysis are based on the multi time frame study of Ichimoku and Harmonic Trading Patterns
Hope it helps you in identifying trend direction with support and resistance for the coming days and weeks
Best Regards
Profitable Trading The defining feature of day trading is that traders do not hold positions overnight; instead, they seek to profit from short-term price movements occurring during the trading session.It can be considered one of the most profitable trading methods available to investors.
The Rule of 90 is a grim statistic that serves as a sobering reminder of the difficulty of trading. According to this rule, 90% of novice traders will experience significant losses within their first 90 days of trading, ultimately wiping out 90% of their initial capital.
Advance divergence Strong divergence is the most reliable type of divergence, often signaling a significant reversal. It occurs when the price makes a new high or low, but the indicator fails to do so, indicating weakening momentum.
Traders use divergence to assess the underlying momentum in the price of an asset, and for assessing the likelihood of a price reversal. For example, investors can plot oscillators, like the Relative Strength Index (RSI), on a price chart.
Technical trading Technical trading is a broader style that is not necessarily limited to trading. Generally, a technician uses historical patterns of trading data to predict what might happen to stocks in the future. This is the same method practiced by economists and meteorologists: looking to the past for insight into the future.
Option and Database trading Options data captures information on options contracts, including pricing and trading volumes, useful for investment strategies. Discover our guide and top options data providers. Options are a type of contract that gives the buyer the right to buy or sell a security at a specified price at some point in the future.
PCR in trading The Put-Call Ratio (PCR) is a popular technical indicator used by investors to assess market sentiment. It is calculated by dividing the volume or open interest of put options by call options over a specific time period. A higher PCR suggests bearish sentiment, while a lower PCR indicates bullish sentiment.
GOLD XAUUSD uptrend movement with target 2713 2728 and 2835TImeframe Day timeframe
After up trend, there is a consolidation. We can witness break out in a Day time frame and we can expect a target up to 2713 2728 and 2835
HOPE our analysis is adding value to your Trading Journey.
NOTE: Published Ideas are for ‘’EDUCATIONAL PURPOSE ONLY’’ trade at your own risk.
NOTE: RESPECT The risk. SL should not be more than 2% of the capital.
MACD divergence Description. The Moving Average Convergence/Divergence indicator is a momentum oscillator primarily used to trade trends. Although it is an oscillator, it is not typically used to identify over bought or oversold conditions. It appears on the chart as two lines which oscillate without boundaries.