SWING (KEP WATCH)Script opened huge gap up bouncing after clearing parallel channel (bottom near support area -1750) right now trading at another swing area -1900 level. 1935 can be levels to watch out for further continuation by CompoundingWithSwingNSESTOCKS0
KOTAKBANK for 1500 and below? Accumulation or Distribution?They say results are super Duper, but what does the chart say? Chart with Monthly and weekly counts: To me, looks like the price is headed lower in WXY wave. W and X being done with, Y will take it below 1500 is my primary view. Rest is up to the market makers.. I am not a SEBI registered Analyst. Views are personal and for educational purpose only. Please consult your Financial Advisor for any investment decisions. Please consider my views only to get a different perspective (FOR or AGAINST your views). Please don't trade FNO based on my views.Shortby Murthy_Santhosh1
Kotak Mahindra Bank Projection For Next 6 months### Kotak Mahindra Bank - **Founded**: 1985 (as Kotak Mahindra Finance Ltd.), became a bank in 2003 - **Headquarters**: Mumbai, Maharashtra, India - **Founder**: Uday Kotak - **CEO**: - **Industry**: Banking, Financial Services - **Products**: Personal banking, corporate banking, investment banking, insurance, wealth management, and treasury services - **Stock Listing**: Listed on the Bombay Stock Exchange (BSE) and the National Stock Exchange (NSE) of India. ### Overview: - **1985**: Founded as Kotak Mahindra Finance Ltd., a non-banking financial company (NBFC). - **2003**: Became the first NBFC in India to convert into a commercial bank, known as Kotak Mahindra Bank. - **Expansion**: Kotak Mahindra Bank has grown rapidly, offering a wide range of banking and financial services to individuals, businesses, and institutions. - **Digital Banking**: The bank is known for its innovative digital banking solutions and customer-centric approach. Kotak Mahindra Bank is recognized as one of the leading private sector banks in India, with a strong presence in retail and corporate banking, along with a significant focus on wealth management and investment banking.Shortby TheGoldenFarmsofEquity1
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. Education07:54by SkyTradingZone333
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. Education11:21by SkyTradingZone2
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. Education16:05by SkyTradingZone113
Advance divergence Seeing divergence increases profitability by alerting a trader to protect profits. Technical traders generally use divergence when the price moves in the opposite direction of a technical indicator. 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. Educationby SkyTradingZone68
market analysis in tradingThe goal of a market analysis is to determine the attractiveness of a market, both now and in the future. Organizations evaluate the future attractiveness of a market by gaining an understanding of evolving opportunities and threats as they relate to that organization's own strengths and weaknesses. Market analysis refers to the process of analyzing financial markets. This process encompasses various types of analysis, often assigned to two categories, technical analysis and fundamental analysis. Education14:01by SkyTradingZone19
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. An option holder is essentially paying a premium for the right to buy or sell the security within a certain time frame. Education15:55by SkyTradingZone16
RSI in trading The relative strength index (RSI) is a momentum indicator that measures recent price changes as it moves between 0 and 100. The RSI provides short-term buy and sell signals and is used to track the overbought and oversold levels of an asset. Education11:04by SkyTradingZone15
On January 14, 2025, the Indian stock markets rebounded On January 14, 2025, the Indian stock markets rebounded after a four-day losing streak, with both the Nifty 50 and Bank Nifty indices closing higher. **Nifty 50 Performance:** - **Closing Level:** The Nifty 50 gained 90.10 points (0.39%) to close at 23,176.05. - **Intraday Movement:** The index fluctuated between a high of 23,264.95 and a low of 23,134.15 during the trading session. **Bank Nifty Performance:** - **Closing Level:** The Bank Nifty index rose by 688 points (1.43%) to end at 48,729.15. - **Intraday Range:** It traded between a high of 49,007.35 and a low of 48,235.20 throughout the day. **Significance of the Closing Levels:** - **Market Sentiment:** The positive closing of both indices indicates a potential shift in market sentiment, suggesting renewed investor confidence after a period of decline. - **Sectoral Performance:** The banking sector, as reflected by the Bank Nifty's performance, outperformed the broader market, highlighting its pivotal role in driving the market's recovery. - **Technical Analysis:** Closing levels are crucial for technical analysts who assess support and resistance levels, trend directions, and market momentum to inform trading strategies. - **Economic Indicators:** These indices serve as barometers of the Indian economy's health. A rebound may signal positive economic developments or improved corporate earnings, influencing future investment decisions. In summary, the upward movement and closing levels of the Nifty 50 and Bank Nifty on January 14, 2025, are significant as they reflect improved market sentiment, sectoral strength, and provide insights for technical analysis and economic assessment. 20:00by TheGoldenFarmsofEquity1
RSI divergenceAn RSI divergence occurs when the indicator and price begin to reach different levels, indicating a change in momentum that precedes a change in price direction. For example, a bullish divergence occurs when the security makes a lower low but the indicator forms a higher low. Education11:18by SkyTradingZone18
Technical trading Technical analysis is a trading strategy used by investors to identify new investment possibilities. To anticipate future price movements of stocks or other assets, for example, past price and volume data is studied and shown on graphic charts, where trends, patterns, and technical indicators can be identified. 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. Education18:18by SkyTradingZone24
KOTAKBANK on a 1-Day Chart: KOTAKBANK on a 1-Day Chart: Support Levels (on 1-day chart): Recent Lows: Look at the most recent significant low points where the price of KOTAKBANK reversed and moved higher. Previous Swing Lows: The last swing low from the prior days or weeks may act as support. Psychological Levels: Round numbers (such as ₹1500, ₹1600) often act as support. Resistance Levels (on 1-day chart): Recent Highs: Identify the previous day's or week’s highs, as these will likely act as resistance points. Previous Swing Highs: These are the levels where the stock faced selling pressure previously. Psychological Resistance Levels: Round numbers (such as ₹1700, ₹1750) can act as resistance.Longby EmpireCrown1
Technical trading Technical traders analyze price charts to attempt to predict price movement. The two primary variables for technical analysis are the time frames considered and the particular technical indicators that a trader chooses to utilize. 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.Education18:13by SkyTradingZone3336
lecture for option traderOption trading gives the buyer the right but not the obligation to buy (call option) or sell (put option) a certain underlying asset at a predetermined price within a stipulated period. Options trading involves strategies that provide traders with various market positions to make gains or mitigate the spot market risk. You don't need a considerable sum of money to become an options trader. You can start small with a capital of less than Rs 2 lakhs too. However, as you start small, you need to be a careful trader so that you can cut down on the possibility of losses and enhance the return potential of your trades.Education08:56by SkyTradingZone3318
Kotak Bank Positional Buy Trade Setup!Kotak bank successfully hold their ~ 50, 200 day moving average and close above resistance zone ~ 1813. Buy positional with stop ~ 1800, for target ~ 1950. (Time frame 5 to 6 day's) Longby diceytrade3
2nd jan kotak bank for intradaySome good inflow of news is there with respect to kotak bank so, today for intraday its a buy, buy half at open half on dip stop loss will be 1770 target will be 1844-1860++Longby casualtrader_ctUpdated 0
kotakbankits just a view ,educational purpose only,, simple candlestick ORB strategy with volume based, i will buy above the blue line tomorrow EOD may be (3:25PM) TARGET NEXT RESISTENCE check the target. my SL BELOW THE RED LINE CLOSE PRICE I WILL COME OUT SHORT TERM SWING STOCK I'M NOT SEBI REGISTER ANALYSIST THIS VIDEOS PURELY EDUCATIONAL PURPOSE ONLY Longby RAMKUMMAR441
KOTAK Bank Please consult your financial advisor before investing.This is only for learning purpose of chart. We are NISM certified EQ and MCX trader but not SEBI register investment advisor. Longby premganatraa1
Kotak Mahindra Bank Ltd view for Intraday 31th September #KOTAKBKotak Mahindra Bank Ltd view for Intraday 31th September #KOTAKBANK Buying may witness above 1875 Support area 1895-1900. Below ignoring buying momentum for intraday Selling may witness below 1854 Resistance area 1920 Above ignoring selling momentum for intraday Charts for Educational purposes only. Please follow strict stop loss and risk reward if you follow the level. Thanks,Longby EmpireCrown1
Learn ADX Key takeaways. Average directional index (ADX) is a short-term chart indicator. It can be used to help you evaluate the market or an investment's strength. ADX currently suggests the short-term momentum behind stocks may be strong, with a caveat The ADX is widely used and is considered by many traders to be very reliable as a gauge of trend strength. Traders can easily alter the time period to meet their needs. Education08:43by SkyTradingZone19
Option and database trading ow Options Trading Is Different. Relative Strength Index (RSI) Bollinger Bands. Intraday Momentum Index (IMI) Money Flow Index (MFI) Put-Call Ratio (PCR) Indicator. Open Interest (OI) FAQs. An option chain, sometimes referred to as an option matrix, is a fundamental tool in the world of options trading. It provides traders and investors with a comprehensive view of available options for a particular underlying asset, such as stocks, indices, or commodities. Education08:05by SkyTradingZone19