GOLD WILL NOT MOVE… UNTIL THIS CONDITION IS MET**4500 IS A TRAP ZONE 🚨 GOLD IS HUNTING BOTH SIDES BEFORE A MASSIVE MOVE 💀📈**
Whenever gold trades around a major key area where both buyers and sellers are highly active, the market usually becomes choppy and highly volatile.
In such zones, the real move doesn’t happen immediately. Instead, the market first wipes out maximum traders—those who are chasing trades or those who are unprepared. Only after that does the actual directional move begin.
And right now, we’re seeing a very similar situ
Fundamental Analysis
National AluminiumDate 19.05.2026
National Aluminium
Timeframe : Day Chart
"A long Term Investment" - AI Data Centrers + Deficit + Production Cap (China) + EV
The global market has flipped from an anticipated surplus into an acute structural deficit:
(1) The Deficit: Projected aluminium market deficit between 1.7 million and 2.4 million tonnes for 2026. Impact on Prices, highly Inflationary.
(2) China's Capacity Cap: China produces over half the world's aluminium but is hitting its strict 45 million met
BUY TODAY SELL TOMORROW for 5%DON’T HAVE TIME TO MANAGE YOUR TRADES?
- Take BTST trades at 3:25 pm every day
- Try to exit by taking 4-7% profit of each trade
- SL can also be maintained as closing below the low of the breakout candle
Now, why do I prefer BTST over swing trades? The primary reason is that I have observed that 90% of the stocks give most of the movement in just 1-2 days and the rest of the time they either consolidate or fall
Round Bottom Breakout in GESHIP
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Gold Looks Ready For Another Major Breakdown ! Weekly analysis.Gold is no longer showing the same bullish strength it had during the previous rally phase. The market is slowly shifting into a clear bearish structure where every recovery is getting sold aggressively. Buyers are failing to sustain momentum, and the overall price action is starting to look more like distribution before another leg down.
The major damage was already done once the key support structure broke. Since then, that entire zone has flipped into resistance, and every retest is facing r
Database Trading Part-1Trading is not a shortcut to riches. It requires:
Discipline
Emotional control
Risk management
Continuous learning
Most beginners fail because they treat trading like gambling rather than a skill-based profession.
Key Principles
Long-term perspective
Compounding returns
Diversification
Risk management
Beat Inflation
Inflation reduces the purchasing power of money. Investing helps grow wealth faster than inflation.
Compounding Power
Compounding allows your money to grow exponentially over
Option Analysis With Education and Logic Part-1TATASTEEL
Immediate Support: ₹162 – ₹158
Major Support Zone: ₹152 – ₹148
Immediate Resistance: ₹170 – ₹174
Strong Breakout Zone: ₹178+
Market Structure
As long as the stock holds above ₹158, bullish sentiment may continue.
Sustaining above ₹170 can trigger fresh upside momentum toward ₹178–₹185.
If ₹158 breaks with volume, short-term weakness toward ₹152 can appear.
FII and DII: These Two Groups Move Your Market Every DayFIIs and DIIs: The Two Giants You Cannot See But Always Feel
Retail traders look at charts. Smart traders also watch who is moving behind them.
On any given day, retail traders collectively move ₹500–₹1,000 crore in the Indian market.
On the same day, FIIs (Foreign Institutional Investors) may buy or sell ₹5,000–₹15,000 crore — in a single session. Understanding FII and DII activity is not optional for serious traders. It is the difference between swimming with the current and fighting it.
XAUUSD: Recovery meets strong resistance.XAUUSD: Recovery Faces Heavy Resistance
Gold is attempting to recover from its lowest level since 30 March, but the rebound still looks fragile as price continues trading below the 4550 region during the early European session. From Kelly’s perspective, the current bounce remains corrective rather than a confirmed bullish reversal, especially while macro pressure continues supporting the US Dollar.
Ongoing geopolitical uncertainty, stronger crude oil prices, and expectations of a more hawkish
BUY TODAY SELL TOMORROW for 5%DON’T HAVE TIME TO MANAGE YOUR TRADES?
- Take BTST trades at 3:25 pm every day
- Try to exit by taking 4-7% profit of each trade
- SL can also be maintained as closing below the low of the breakout candle
Now, why do I prefer BTST over swing trades? The primary reason is that I have observed that 90% of the stocks give most of the movement in just 1-2 days and the rest of the time they either consolidate or fall
Trendline Breakout in SENORES
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Nifty-50 and Reliance Option TradingNIFTY 50 and Reliance Industries Option Trading
NIFTY 50 Option Trading
Why Traders Prefer NIFTY Options
High liquidity
Tight bid-ask spread
Smooth price movement
Suitable for scalping and intraday trading
Best Strategy for NIFTY
Trend Following Strategy
Buy CE when:
Price above VWAP
Put writing increases
Resistance breakout confirmed
Buy PE when:
Price below VWAP
Call writing increases
Support breakdown confirmed
Bank Nifty Swing Long Technical Analysis- BNF is down 13% from its ATH and is currently trading below its equilibrium range
- BNF might soon fill the void near 52,800 and maybe deviate a little more than usual to trap more retailers
- Crude topping out will be the biggest bullish confluence for BNF if Crude continues to move higher we might see a free fall drop in BNF
- In my opinion we might max drop 2-3% and then BNF might purge 58,000 invalidation of this idea sits below 52,796
Nifty Reversal Technical Analysis - Bullish- Nifty is currently down 10.34% from its ATH and 3.93% from its recent swing high
- Major reasons behind Nifty dropping is readily available on media outlets but from a technical perspective it looks bears are slowly losing control
- Nifty might possibly deviate below 23,265 and possibly tap the bullish fair value gap it created before gapping up
- Nifty will trap many sellers below that and then with that Crude might also top out and this will present a strong rally in Nifty
- Invalidation
Silver weekly analysis !Good day guys, silver is clearly shifting into a bearish trend after failing to sustain the breakout momentum near the upper supply zone. The recent rally lost strength and sellers are now stepping in aggressively. The key validation zone remains around 79–80, and as long as price stays below this area, the structure favors selling pressure on every rise. This opens the path towards 74–72 initially, with the major breakeven zone near 70 becoming the next larger downside target if weakness contin
Massive Macro Shift Triggering Global Risk-Off Move | BTC 72K–52A major macro-economic shift is unfolding across global markets, and it’s starting to reflect across nearly every asset class.
Money appears to be rotating aggressively out of risky assets. What’s important here is that not only equities and crypto are under pressure, but even gold is struggling — which signals broader liquidity stress rather than a normal correction.
At the same time, bond markets across multiple countries witnessed a sharp 2–3% single-day rally on Saturday. Moves like this u
Basics of Options TradingOptions Trading is one of the most popular segments of the stock market. It allows traders and investors to take positions based on the future movement of stocks or indices. Options are mainly used for trading opportunities, risk management, and hedging strategies. With proper knowledge, traders can participate in the market with limited capital while managing their risk effectively.
1. What is Options Trading?
An option is a financial contract that gives the buyer the right, but not the oblig
Tata Steel LtdAbout
Tata Steel Ltd is Asia's first integrated private steel company setup in 1907.
The company has presence across the entire value chain of steel manufacturing from mining and processing iron ore and coal to producing and distributing finished products.
The company has a target to increase domestic steelmaking capacity to 30 MnTPA by 2025.
Key Points
Products and Brands
The company manufactures flat products like HR coils, CR coils, galvanised steel, and long products like wire rods, rebars
Technical Analysis VS. Institutional TradingKey Option Trading Terms
- Call: Right to buy an asset.
- Put: Right to sell an asset.
- Strike Price: Fixed price to buy/sell.
- Premium: Price paid for the option.
- Expiry: Last day to exercise.
- In-the-money (ITM): Option has intrinsic value.
- Out-of-money (OTM): Option has no intrinsic value.
- Lot Size: Number of shares per contract.
India's Silent Bear Market. Millions Lost Quietly. No Headlines.What's Actually Happening
This is not a crash. There are no breaking headlines, no panic on TV. Just a slow, quiet erosion that only becomes visible when you open your holdings.
Most portfolios are sitting 17–19% below their peak right now. The real damage never shows up on the index — it shows up on your screen.
The Numbers Beneath the Surface
The Nifty 500 breadth tells the truth the index hides:
→ Feb 2025 — 81% of stocks below 200 DMA
→ Jan 2026 — 70% below
→ Mar 2026 — 67% below
84 stocks
AUDUSD_DThe AUD/USD pair appears to have completed a five-wave Elliott structure on the Daily timeframe, while a clear bearish divergence is visible on both the Daily and Weekly timeframes.
In addition, a bearish Butterfly harmonic pattern is forming on the Weekly chart, increasing the probability of a medium-term downside correction.
As long as price remains below the invalidation level, the market outlook stays bearish, and we expect a decline toward the following targets:
0.69229
0.68254
0.67055
Intrday AnalysisOption Chain Analysis: Decoding Open Interest (OI) to find where the "Big Players" are positioned.
FII/DII Data: Understanding institutional activity and its impact on market direction.
Intraday Strategies: Scalping and swing setups using Price Action and key EMAs.
Global Market Cues: How GIFT Nifty and US Markets might influence our opening.
When the Rupee Falls, Your Wallet Feels It TooWhy the USD/INR Rate Affects Every Indian — Even If You Never Trade Forex
The Silent Tax in Your Pocket
Most Indian retail investors never look at the USD/INR exchange rate. It feels like a Forex trader's problem. Not theirs. This is one of the most expensive misunderstandings in personal finance.
In 2000, 1 USD bought ₹44. Today, it buys ₹95.6. That is a depreciation of over 112% in 25 years. You did not have to trade a single dollar for this to affect your life.
Why? Because India Is an
BUY TODAY SELL TOMORROW for 5%DON’T HAVE TIME TO MANAGE YOUR TRADES?
- Take BTST trades at 3:25 pm every day
- Try to exit by taking 4-7% profit of each trade
- SL can also be maintained as closing below the low of the breakout candle
Now, why do I prefer BTST over swing trades? The primary reason is that I have observed that 90% of the stocks give most of the movement in just 1-2 days and the rest of the time they either consolidate or fall
Resistance Breakout in ALKYLAMINE
BUY TODAY SELL TOMORROW for 5%






















