Indeks Nifty 50
Pembelian

NIFTY STRATEGY

113
๐Ÿ”น MTF Demand Zones (All Showing BUY Bias)

Yearly Demand: 18,887 โ€“ 15,183 (Avg 17,035) โ†’ BUY

6 Month Demand: 21,801 โ€“ 18,837 (Avg 20,319) โ†’ BUY

Quarterly Demand: 24,226 โ€“ 21,964 (Avg 23,095) โ†’ BUY

Monthly Demand: 24,174 โ€“ 21,281 (Avg 22,728) โ†’ BUY

Weekly Demand: 24,365 โ€“ 23,847 (Avg 24,106) โ†’ BUY

Daily Demand: 24,164 โ€“ 23,935 (Avg 24,050) โ†’ BUY

โžก๏ธ Bias: Strongly bullish across all higher timeframes (HTF, MTF, ITF).

๐Ÿ”น GANN Analysis

Stay Long Above: 23,452 โ€“ 23,362.5 โ†’ Support Zone

Stay Short Below: 23,362.5 โ€“ 23,273 โ†’ Breakdown Zone

Current Status: NIFTY is in Weekly Supply Zone (24,180 โ€“ 24,792) โ†’ Expect resistance.

๐Ÿ”น Trade Setups
Entry 1 (Aggressive Long at Weekly Demand)

Entry: 24,365

SL: 23,935

Risk: 430

Target: 25,655

Reward: 1,290

RR: 3.0

Entry 2 (Conservative Long at Daily Demand)

Entry: 24,164

SL: 23,935

Risk: 229

Target: 25,454

Reward: 1,290

RR: 5.6

Combined Average Plan

Entry Avg: 24,265

SL: 23,935

Risk: 330

Target: 25,555

Reward: 1,290

RR: 3.9

โœ… NIFTY Strategy Conclusion

Trend Alignment:

HTF, MTF, ITF all show BUY DEMAND zones โ†’ bias is bullish.

GANN View:

Stay Long above 23,452โ€“23,362 (strong base support).

Risk of short only if breaks below 23,273.

Trade Execution:

Best Risk-Reward: Entry 2 at 24,164, RR = 5.6

Average Plan balances both: RR = 3.9

Target Zones:

Near-term target = 25,454โ€“25,655

Beyond that โ†’ watch for breakout >25,655 for trend continuation.

๐Ÿ‘‰ My take: The higher conviction trade is Entry-2 (24,164), since it has the tightest SL (229 pts) with the highest RR (5.6), while still aligning with all demand zones.

Pernyataan Penyangkalan

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