Jubilant FoodWorks Ltd (WTF) โ Bullish Harmonic Reversal Setup### **Jubilant FoodWorks Ltd (Weekly Time Frame) โ Bullish Harmonic Reversal Setup**
๐ **Stock:** Jubilant FoodWorks Ltd (NSE)
Jubilant FoodWorks has completed a **Bullish Harmonic Pattern** near the **D point**, where the price is taking support from a strong long-term demand zone around **โน410โโน380**. After an extended downtrend, the stock is showing signs of buying interest, indicating a potential medium-term trend reversal.
### **Technical Outlook**
* โ
Bullish Harmonic Pattern completed.
* โ
Price is holding above the Potential Reversal Zone (PRZ).
* โ
Strong support established in the **โน410โโน380** demand zone.
* โ
Recent bullish candle suggests buyers are defending the support area.
* โ
A weekly close above the immediate resistance could confirm the start of a new uptrend.
### **Trading Plan**
* **Missed Proper Entry:** โน415โโน420
* **Entry:** โน455โโน470 (after bullish confirmation)
* **Stop Loss:** Below โน380
* **Target 1:** โน525
* **Target 2:** โน600
* **Target 3:** โน633
### **Risk Management**
Maintain a strict stop-loss below **โน380**. A weekly close below this level would invalidate the bullish harmonic setup and could lead to further downside.
> **Conclusion:**
> Jubilant FoodWorks is trading near a significant long-term support after completing a bullish harmonic pattern on the weekly timeframe. The recent bounce from the demand zone indicates that buyers are gradually regaining control. If the stock sustains above the breakout level and buying momentum strengthens, it has the potential to rally towards the **โน600โโน633** resistance zone over the coming weeks to months. Wait for confirmation before initiating fresh long positions.
**Disclaimer:** This analysis is for educational purposes only and should not be considered investment advice. Always conduct your own research and follow proper risk management before investing or trading.
Harmonic Patterns
NIFTY Short Term OutlookNIFTY Short Term Outlook
NIFTY has been sideways since last 2 months, hovering near 24000. Index has been trying to stabilize after first ceasefire of Iran-Us Declared. Market breadth has been improving since then. Along with that FIIs have slowed their selling drastically in the month of July, in fact overall FPI data has turned positive.
24600 has been the level, market has been consolidating beneath. On breakout of 24600 index will head towards 26k zone as per XABCD pattern. For a safer side one can wait for 'breakout pullback breakout' structure. If the momentum is strong then 20 EMA can be used to trail and 50 EMA as trend evaluator.
Previous swing low is placed at 23600 which will be the downside gateway for NIFTY.
==========
I am Not SEBI Registered
This is my personal analysis for my personal trading. Kindly consult your financial advisor before taking any actions based on this.
NIFTY- Intraday Levels :- 3rd August 2026 NIFTY sustain above 24430 then 24461/66 above this bullish then 24498/24514/530 or 24569 important range and hedging level for comming expiry above this more bullish then 24674/90/24722 above this wait more level are marked on chart
If NIFTY sustain below 24312/290/82 below this bearish then around 24259 then 24213/168 then 24070/50 OR 24011/22971 very important range below this more bearish below this wait.
My view :-
"My viewpoint, offered purely for analytical consideration, The trading thesis is: Nifty expect both side movements view depends on the opening price if managed to open about 24530/69 then buy on dip.
This analysis is highly speculative and is not guaranteed to be accurate; therefore, the implementation of stringent risk controls is non-negotiable for mitigating trade risk."
Consider some buffer points in above levels.
Please do your due diligence before trading or investment.
**Disclaimer -ย
I am not a SEBI registered analyst or advisor. I does not represent or endorse the accuracy or reliability of any information, conversation, or content. Stock trading is inherently risky and the users agree to assume complete and full responsibility for the outcomes of all trading decisions that they make, including but not limited to loss of capital. None of these communications should be construed as an offer to buy or sell securities, nor advice to do so. The users understands and acknowledges that there is a very high risk involved in trading securities. By using this information, the user agrees that use of this information is entirely at their own risk.
Thank you.
XAUUSD GOLD ANALYSIS ON (02 AUG 2026)#XAUUSD UPDATE...!!!
Current price = 4045
BUY LIMITED - 4020-4000
If price stay above 3980 then next target 4050,4080 and 4100 and below that 3960
Plan1;If price break 4020-4000 area,and stay above 4010 we will placed buy order in gold with target of 4050,4080 and 4100 & stop loss should be placed at 3980
Bitcoin btcusd weekly Updates 2.8.2026..8.8.2026*๐ก BTCUSDย โ WEEKLY UPDATE ๐ก โฐ*
*Validity: 2-08-26 to 8-08-26*
*๐น Bullish Scenario (BUY)*
*โข Trend Confirmation: Above 65700*
*โข Targets: 67000 โ 68300*
*๐ป Bearish Scenario (SELL)*
*โข Trend Confirmation: Below 61000*
*โข Targets: 60000 โ 58000*
*๐ Key Reversal / Entry Level: 63500*
Xauusd gold today update 3.8.2026.*๐ก XAU USD (GOLD) โ TODAY UPDATE ๐ก โฐ*
*Validity: 3-08-26*
*๐น Bullish Scenario (BUY)*
*โข Trend Confirmation: Above 4115*
*โข Targets: 4148โ 4185*
*๐ป Bearish Scenario (SELL)*
*โข Trend Confirmation: Below 3998*
*โข Targets: 3970- 3915*
*๐Key Reversal /Entryย : 4057*
Xauusd gold weekly Updates 3.8.2026..7.8.2026*๐ก XAUUSD(GOLD)ย โ WEEKLY UPDATE ๐ก โฐ*
*Validity: 3-08-26 to 7-08-26*
*๐น Bullish Scenario (BUY)*
*โข Trend Confirmation: Above 4124*
*โข Targets: 4175 โ 4230*
*๐ป Bearish Scenario (SELL)*
*โข Trend Confirmation: Below 3970*
*โข Targets: 3930 โ 3862*
*๐ Key Reversal / Entry Level: 4052*
Core of 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
Trendlines
Indicators (RSI, MACD, Moving Averages)
Volume Analysis
Patterns (Head & Shoulders, Double Top, Triangle)
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
Trendlines
Indicators (RSI, MACD, Moving Averages)
Volume Analysis
Trading Road Mapoptions trading and institutional trading are important parts of modern financial markets. Options trading offers flexibility and opportunities for profit, while institutional trading provides liquidity and stability to the market. However, beginners should learn market concepts carefully before entering options trading because losses can occur quickly without proper knowledge and risk management. Education, practice, and disciplined investing are essential for long-term success in trading.
Gabriel India Limited - Breakout Setup, Move is ON...#GABRIEL trading above Resistance of 1429
Next Resistance is at 1913
Support is at 1112
Here are previous charts:
Chart is self explanatory. Levels of breakout, possible up-moves (where stock may find resistances) and support (close below which, setup will be invalidated) are clearly defined.
Disclaimer: This is for demonstration and educational purpose only. This is not buying or selling recommendations. I am not SEBI registered. Please consult your financial advisor before taking any trade.
Xauusd GOLD MONTHLY UPDATES 1.8.2026..31.8.2026*๐ก XAUUSD(GOLD)ย โ MONTHLY UPDATE ๐ก โฐ*
*Validity: 1-08-26 to 31-08-26*
*๐น Bullish Scenario (BUY)*
*โข Trend Confirmation: Above 4205*
*โข Targets: 4310 โ 4420*
*๐ป Bearish Scenario (SELL)*
*โข Trend Confirmation: Below 3920*
*โข Targets: 3840 โ 3690*
*๐ Key Reversal / Entry Level: 4068*
EURUSD MONTHLY UPDATES 1.8.2026..31.8.2026*๐ก EURUSDย โ MONTHLY UPDATE ๐ก โฐ*
*Validity: 1-08-26 to 31-08-26*
*๐น Bullish Scenario (BUY)*
*โข Trend Confirmation: Above 1.162*
*โข Targets: 1.167 โ 1.179*
*๐ป Bearish Scenario (SELL)*
*โข Trend Confirmation: Below 1.135*
*โข Targets: 1.129 โ 1.122*
*๐ Key Reversal / Entry Level: 1.148*
Why Trading Less Can Help You Make MoreWhy Trading Less Can Help You Make More
Most new traders believe that making more money requires taking more trades. They constantly search for signals, chase price after it has already started moving, and quickly enter another position immediately after taking a loss. But the more frequently they trade, the easier it becomes to lose focus, abandon their plan, and make decisions driven by emotion. After years of observing the markets, I have realized that profitability does not come from being constantly active on the charts. It comes from having the patience to wait and acting only when a genuine edge appears.
๐ More Opportunities Do Not Mean More Profit
The market is always moving, but not every movement is worth trading.
There are times when the price structure is clear, the trend is stable, the entry is well defined, and the risk-to-reward ratio is attractive. However, there are also periods when price moves sideways, volatility becomes unpredictable, and false signals appear repeatedly.
Professional traders do not ask:
โHow many trades can I take today?โ
They ask:
โIs this opportunity truly good enough to risk my capital?โ
๐ฏ Trading Less Helps Protect Your Edge
A strategy only performs well when it is used under the right market conditions.
When you patiently wait for the correct structure and confirmation, every trade is based on a specific advantage. On the other hand, when you enter because you are bored, afraid of missing out, or eager to make money quickly, you are adding unnecessary trades to your system.
Even a good strategy can become unprofitable when it is used everywhere and at all times.
๐ง Fewer Trades, Fewer Emotional Mistakes
Every trade creates a certain level of pressure. It may be the fear of losing money, regret after exiting too early, greed while a position is profitable, or the urge to recover immediately after a loss.
When trading frequency becomes too high, these emotions begin to build up and gradually take control of your decisions.
Trading less allows you to observe the market more objectively, wait for clearer confirmation, and follow your risk-management plan more consistently.
โ๏ธ Being Selective Does Not Mean Being Afraid to Trade
A selective trader does not stay out of the market because they are afraid of losing. They stay out because the market has not yet met their conditions.
When a high-quality setup appears, they still act decisively. The difference is that they do not try to turn every price movement into an opportunity to make money.
Patience is not indecision. It is the ability to protect your capital until the odds genuinely move in your favor.
โ
Three Questions to Ask Before Entering a Trade
Before every trade, ask yourself:
Is the market structure truly clear?
Does the entry offer a reasonable risk-to-reward ratio?
Am I entering because of the setup, or simply because I am afraid of missing out?
These three simple questions can eliminate many trades that are driven by emotion rather than logic.
๐ Conclusion
The market does not pay you for the number of hours you spend watching charts, nor does it care how many trades you have taken today. It rewards quality decisions made at the right time and protected by disciplined risk management. Sometimes, the biggest step forward for a trader is not finding another strategy, but learning to ignore opportunities that are not good enough. Because once you no longer feel the need to trade every day, you finally begin to recognize the opportunities that are truly worth waiting for.
Will your next trade appear because the market has genuinely presented an opportunity, or simply because you no longer want to remain on the sidelines?
BTCUSD MONTHLY UPDATES 1.8.2026..31.8.2026*๐ก BTCUSDย โ MONTHLY UPDATE ๐ก โฐ*
*Validity: 1-08-26 to 31-08-26*
*๐น Bullish Scenario (BUY)*
*โข Trend Confirmation: Above 67500*
*โข Targets: 71500 โ 76400*
*๐ป Bearish Scenario (SELL)*
*โข Trend Confirmation: Below 57500*
*โข Targets: 53500 โ 49000*
*๐ Key Reversal / Entry Level: 62500*
XAUUSD: Awaiting the Next MoveGold has just come through a sharp sell-off, but the decline is now losing momentum as price settles into a tight sideways range.
This pause may be more than simple hesitation. The support zone below continues to absorb selling pressure, suggesting that sellers are losing control while buyers gradually rebuild strength.
The key trigger is a decisive break above the top of the range. Such a move would signal a shift in momentum and could open the door to a stronger recovery.
My preferred scenario is further consolidation, followed by an upside breakout once the remaining supply has been absorbed. The next objective would be 4,385.
Institutional Trading MasterclassCore Structure of Institutional Option Trading
Institutions focus on 4 pillars:
A. Direction
Will market go up, down, sideways?
B. Volatility
Will movement increase or decrease?
C. Time Decay
How much premium melts daily?
D. Risk Exposure
How much capital at risk?
Rules to Become Consistent
Never trade without plan
Institution Option Trading Part-2PCR (Put-Call Ratio) โ Institutional Trading Strategy
What is PCR?
PCR = Put OI รท 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
๐ You follow PCR = You follow smart money
๐ PCR Levels (Game Changer)
3. Key Zones
PCR < 0.7 โ Bearish sentiment (too many Calls) โ โ ๏ธ Reversal possible
PCR 0.7 โ 1 โ Neutral zone
PCR > 1.2 โ Bullish sentiment (too many Puts) โ โ ๏ธ Reversal possible
Ethereum Next Move Will Decide Everything: $10K Rally or $1K ?Ethereum Next Move Will Decide Everything: $10K Rally or $1K Crash?
CRYPTOCAP:ETH is currently trading around $1,900, delivering a strong recovery from the $1,500 accumulation zone that I highlighted earlier. The $1,500โ$1,600 accumulation range has now produced approximately 30% upside, exactly as anticipated. I hope many of you were able to capitalize on the setup.
Now the focus shifts to the next major high-timeframe hurdle.
The $2,400โ$2,500 region remains the most critical resistance on the chart. This area represents a major structural pivot where bulls must prove control. A high-volume breakout followed by a weekly (HTF) close above $2,500 would confirm a macro bullish trend reversal and significantly increase the probability of a move toward $7,000โ$10,000 over the coming cycle.
However, traders should remain objective.
If Ethereum fails to reclaim this resistance and gets rejected, the market could revisit the $1,500 support, with an extended downside toward $1,000 remaining possible in the event of a major macro or crypto-specific negative catalyst.
From a long-term investment perspective, any retracement into the $1,500โ$1,000 range would, in my view, represent a high-conviction accumulation opportunity for investors targeting the next macro expansion toward $10,000.
Always prepare for both scenarios. The market rewards disciplined risk management, not bias.
NFA & Always DYOR






















