Monday, December 22, 2025

NIFTY INDEX FUTURES OVERVIEW

 



ALL TARGET DONE IT MAKE HIGH  26242 

NIFTY INDEX FUTURES – TARGET · STOP-LOSS · TREND ANALYSIS (TRUE VALUE & FACT VIEW)

๐Ÿ”น CURRENT TREND Overall Bias: BULLISH with consolidation

Price is holding above short & medium moving averages

Higher-low structure visible → demand intact

Pullbacks are getting bought → trend supports BUY side

๐Ÿ”น TECHNICAL VIEW Price Zone: ~26,180

VWAP / Short EMA: Below price → intraday strength

50–100 EMA (Blue zone): Strong dynamic support

Volume: Expansion on upside candles → genuine buying

➡️ Momentum favors BUY on dips, not aggressive SELL

๐Ÿ”น KEY SUPPORT & RESISTANCE ๐ŸŸข SUPPORT (Buy Zone) S1: 26,170 – 26,165 (Intraday base)

S2: 26,135 – 26,120 (Strong positional support)

S3: 26,050 (Trend breakdown level)

๐Ÿ”ด RESISTANCE (Target Zone) R1: 26,200 – 26,215 (Immediate hurdle)

R2: 26,250 – 26,280 (Breakout zone)

R3: 26,350+ (Positional extension)

๐Ÿ”น TRADE SETUP (WHICH SIDE MAKE PROFIT) ✅ BUY SETUP – HIGH PROBABILITY Buy Above: 26,185

Target 1: 26,215

Target 2: 26,250

Target 3: 26,280+

Stop-Loss: 26,150 (strict)

๐Ÿ‘‰ Risk-reward favorable, aligned with trend

❌ SELL ONLY IF Price breaks & sustains below 26,120

Volume expansion on downside

Sell Below: 26,115

Target: 26,050 → 26,000

SL: 26,165

⚠️ Counter-trend trade — only for experienced traders

๐Ÿ”น TIME-FRAME VIEW ๐Ÿ“Œ SHORT TERM (Intraday – 1-2 days) Bias: BUY on dips

Volatility: Moderate

Profit side: BUY

๐Ÿ“Œ MEDIUM TERM (1–3 weeks) Bias: BULLISH

Holding above 26,000 keeps upside open

Targets: 26,350 – 26,500

๐Ÿ“Œ LONG TERM (1–3 months) Trend: POSITIVE

Major support: 25,800 – 25,900

Upside potential: 26,700+

๐Ÿ”น FINAL VERDICT Trend + Structure + Momentum = BUY SIDE DOMINANT

Sell only on clear breakdown

Discipline with stop-loss is key

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