Bitcoin chart analysis May 26Hello
It's a Bitcoin Guide.
My analysis is optimized for TradingView.
If you press the Replay button, you can check real-time movements.
This is the Bitcoin 30-minute chart.
*Long Position Strategy: Before and after the purple finger touch at the top
1) After confirming the touch of the purple finger at zone 1 at the top,
Red finger at $77,132.1 is the entry point for a long position / Stop loss if the purple support line is broken.
2) $79,037.4 is the 1st target for a long position -> G
Gann
DLFFor DLF, the stock is currently in a recovery phase after correcting from its highs near ₹886. Recent trading has been range-bound around ₹560–₹620, with important breakout and support zones visible on charts.
Above ₹616: bullish momentum can extend toward ₹625 and ₹650.
Sustaining above ₹650: medium-term trend reversal confirmation.
Below ₹585: weakness may drag price toward ₹570 support.
Breakdown below ₹560: could revisit ₹520–₹500 zone.
Swing Trading Setup
Buy on dip: ₹570–₹585
Aggressive
Power GridHere’s a technical view on Power Grid Corporation of India based on recent price action around ₹292–300 zone and current momentum signals.
Support Zones
₹291–292 → Immediate support (important demand zone)
₹285–287 → Strong support / swing support
₹278–280 → Breakdown zone if selling increases
Resistance Zones
₹300–303 → First resistance (near pivot area)
₹306–310 → Major breakout zone
₹318–325 → Positional target zone if momentum returns
TVS MotorTVS Motor remains structurally bullish on higher timeframes due to strong EV growth, premium bike demand, exports, and market-share gains. Analysts continue to maintain positive outlooks after strong FY26 results.
Immediate Support Zones
₹3380–3400 → Strong near-term demand zone
₹3300 → Major swing support
₹3220 → Positional breakdown support
Resistance Zones
₹3540 → Immediate resistance
₹3620–3630 → Breakout zone
₹3700+ → Strong momentum resistance
These pivot-based technical levels are curre
Pidilite IndustriesTrend: Bullish to sideways bullish on short-term charts. Stock is showing strength after recent Q4 results and holding above major moving averages.
CMP Zone: ₹1460–1480
Immediate Resistance: ₹1505
Major Resistance: ₹1530 / ₹1550
Support Zone: ₹1440–1435
Strong Support: ₹1415
Positional Support: ₹1385–139
REC REC has been under corrective pressure after failing to sustain above the ₹360–370 zone. Price is currently trading near the major demand area around ₹335–345, while several technical indicators remain weak in the short term
Support Levels
🔹 S1: ₹335–340 (Immediate support)
🔹 S2: ₹325–330 (Strong demand zone)
🔹 S3: ₹302–310 (Major positional support)
Key Resistance Levels
🔸 R1: ₹352–355
🔸 R2: ₹365–370
🔸 R3: ₹382–390
🔸 Major Breakout Zone: ₹420+ (would confirm a stronger bullish structur
BTCUSD Retesting Zone & W Structure Analysis
The market structure is currently moving in an overall bullish trend, so I am following the “Trend Is Your Friend” concept while analyzing this setup.
First, the market successfully broke the previous high and then delivered a very strong bullish impulse move. However, in my view, the move looked slightly aggressive and potentially fake because the price pushed upward with a single strong candle.
After that move, the market created a clean W-Type Structure around the reversal area, which cl
Bitcoin chart analysis May 22Hello
It's a Bitcoin Guide.
My analysis is optimized for TradingView.
If you press the Replay button, you can check real-time movements.
This is the Bitcoin 30-minute chart.
On the left, I have maintained the strategy exactly as it was at the entry point of the long position entered on May 21st (marked by the purple finger) at $76,990.5.
*This is a two-way neutral strategy before and after touching the first zone marked by the light blue finger at the top.
1) After confirming the touch
Intraday 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.
Technical AnalysisCore of Technical Analysis
Technical Analysis is the study of past price movements, volume, and market trends to predict future price direction.
3 Main Principles:
Market Discounts Everything
All news, emotions, and fundamentals are already reflected in price.
Prices Move in Trends
Markets usually move in uptrend, downtrend, or sideways trends.
History Repeats Itself
Human psychology creates repeating chart patterns.
Key Tools:
Charts (Candlestick, Line, Bar)
Support & Resistance
Trendlin
Option Trading #2NIFTY 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
Option Trading #1PCR means Put Call Ratio
It tells us how many Put options and Call options people are buying or trading.
Why it matters for institution trading
Big players mostly use options. So PCR helps us understand what big money may be thinking.
If PCR is high
More puts than calls.
Means traders are scared or taking protection.
Sometimes big players expect weakness.
If PCR is low
More calls than puts.
Means confidence in upside.
Sometimes market is bullish.
Why learn this
Price only shows movement.
PCR sho
Institution Option Trading Part-3PCR means Put-Call Ratio
It compares how many Put options are traded versus Call options.
Simple formula: Put Volume ÷ Call Volume.
This helps understand market mood.
Institutions use options heavily
Big players like banks, hedge funds, mutual funds often use options for hedging and positioning.
So PCR can give clues about what smart money may be doing.
Shows fear vs confidence
High PCR = More puts than calls = Fear, protection, bearish mood.
Low PCR = More calls than puts = Confidence, bullish
Institution Option Trading Part-2PCR (Put-Call Ratio) – Institutional Trading Strategy
What is PCR?
PCR = Put OI ÷ Call OI
It shows market sentiment of big players in indices like NIFTY 50.
Institutional Psychology
2. How Big Players Use PCR
Retail buys options randomly
Institutions control PCR zones to trap traders
👉 You follow PCR = You follow smart money
📈 PCR Levels (Game Changer)
3. Key Zones
PCR < 0.7 → Bearish sentiment (too many Calls) → ⚠️ Reversal possible
PCR 0.7 – 1 → Neutral zone
PCR > 1.2 → Bullish sentiment
Institution Option Trading Part-1PCR means Put Call Ratio
It tells us how many Put options and Call options people are buying or trading.
Why it matters for institution trading
Big players mostly use options. So PCR helps us understand what big money may be thinking.
If PCR is high
More puts than calls.
Means traders are scared or taking protection.
Sometimes big players expect weakness.
If PCR is low
More calls than puts.
Means confidence in upside.
Sometimes market is bullish.
Why learn this
Price only shows movement.
PCR sho
BELSupport Zones
₹423–425 → Immediate support zone; important for short-term trend.
₹418–420 → Strong demand area; if price dips here and holds, rebound possible.
₹410–413 → Major support / structure-saving zone. Below this, trend may weaken further.
Resistance Zones
₹434–440 → First breakout zone; stock needs sustained move above this for momentum.
₹445–450 → Strong resistance and breakout confirmation area.
₹460–465 → Next target zone if breakout sustains with volume.
Hindustan Aeronautics LimitedSupport Zones
₹4500–4480 → Immediate support
₹4400–4380 → Strong demand zone
₹4240–4200 → Major positional support
Resistance Zones
₹4660–4700 → Near-term resistance
₹4760–4800 → Breakout zone
₹5000–5050 → Major psychological resistance
Pivot-based technical levels from recent market data also place strong support near ₹4500 and resistance near ₹4760–5020.
Fineotex ChemicalCMP Zone: ₹26–28
Immediate Resistance (R1): ₹28.90
Major Resistance (R2): ₹30.30
Breakout Zone: Above ₹30.50 can trigger fresh rally toward ₹33–35
Immediate Support (S1): ₹27.40
Strong Support (S2): ₹26.60
Positional Support (S3): ₹24.00–24.50
Technical Structure
Trend is positive above ₹26.
20 EMA and 50 EMA both showing uptrend strength.
RSI near 75–82 indicates strong momentum but slightly overheated conditions.
Sustaining above ₹28.80 can give momentum breakout.
Bullish Scenario
If stock cl
Surya RoshniImportant Support Levels
243 – 240 → Immediate support zone
235 → Strong demand zone
223 – 220 → Positional support
Resistance Levels
252 – 257 → Near-term resistance
265 – 275 → Major breakout zone
293+ → Strong positional target if breakout sustains
Trading Setup
Above 257 → bullish momentum can continue toward 275
Above 275 → fresh breakout possible toward 290+
Below 240 → weakness may increase toward 223
Swing Trading Plan
Buy zone: 242 – 248
Stop loss: 234
Targets:
257
275
290
Positional Vi
BPCLBPCL recently bounced strongly from the ₹280–285 demand zone and is now trading around the ₹300–308 area. Lower crude oil prices and strong Q4 earnings have improved sentiment in oil marketing stocks, helping BPCL outperform in recent sessions.
Support Zones
₹301–298 (immediate support)
₹292–290 (major swing support)
₹284–280 (strong demand zone)
Resistance Zones
₹315–318 (immediate hurdle)
₹328–330 (breakout zone)
₹345+ (next major target if momentum continues)
BANK NIFTY - 4H CHART STUDY EDUCATIONAL ANALYSIS_______________________________________
BANK NIFTY - 4H EDUCATIONAL STUDY
_______________________________________
CMP: 55,390
CHART OBSERVATIONS:
• Downtrend line breakout visible
• Price above EMA 50
• Higher Low formed at 54,381
• 46 days time cycle completed
KEY LEVELS TO OBSERVE:
Resistance Zone: 56,164
Support Zone: 54,381
POSSIBLE SCENARIO FOR STUDY:
Price may test 56,164 resistance zone
where supply can emerge as per chart.
If rejection occurs, pullback towards
54,381 support
How FIIs & DIIs Move the Option MarketHow FIIs & DIIs Move the Option Market
Institutional Positioning and Market Impact
Introduction
In the Indian stock market, institutional participants play a major role in deciding short-term momentum, volatility, and overall market direction. Among them, Foreign Institutional Investors (FIIs) and Domestic Institutional Investors (DIIs) are considered the biggest market-moving forces.
Their activity in the futures and options (F&O) segment directly impacts:
Index movement
Option premiums
Vo
Option Selling vs Option BuyingOption Selling vs Option Buying
Compare Risk, Reward & Capital Requirements
Introduction
In the options market, traders mainly use two approaches: Option Buying and Option Selling. Both strategies can generate profits, but they work very differently in terms of risk, reward, probability, and capital requirement.
Many beginners are attracted toward option buying because of small capital and high-return potential, while experienced traders often prefer option selling because of higher probabil
Adani Ports and Special EconomicSwing Trading View
Above ₹1780 with strong volume → bullish breakout possible toward ₹1825–1860.
If price fails near resistance and slips below ₹1725, expect consolidation toward ₹1700.
Aggressive traders may trail stop-loss near ₹1690–1700.
For long-term investors:
Bullish above ₹1700
Strong accumulation zone: ₹1650–1720
Long-term trend weakens only below ₹1550
Trading Setup Example
Buy zone: ₹1725–1760
Breakout buy: Above ₹1780 with volume
Targets: ₹1825 / ₹1860 / ₹1900
Stop-loss: ₹1690 (swi























