Intraday Watchlist —
- Many large-caps showing distribution on higher TFs, MACD trending down and RSI below mid in several counters. VPVR pockets near recent lows indicate support areas — if broken, continuation likely. - Intraday approach: trade with bias, prefer short on failed recovery below pivot; for longs wait for clear reclaim of the daily CPR or high-volume level.
సారాంశం: మార్కెట్ తాత్కాలికంగా బేర్ టెండ్లో కనిపిస్తున్నది. మొదటి 30 నిమిషాల బలాన్ని గమనించి ట్రేడ్ చేయండి.1) RELIANCE (RELIANCE-EQ)
Bias: Neutral → Lean Short below pivot. ట్రెండ్: పివాట్ దిగువ ఉంటే షార్ట్కు ప్రాధాన్యం.
Intraday Setup 1 (Momentum Short): Entry below Pivot/CPR on rising volume. SL = above nearest R1; Target1 = S1; Target2 = S2.
Intraday Setup 2 (Long scalp): If price reclaims CPR with volume and RSI >50, look for quick long with tight SL under CPR.
Indicators: MACD turned down, RSI near mid. Respect high-volume nodes (VPVR) as magnet/resistance.
2) TCS (TCS-EQ)
Bias: Range → watch breakout from CPR zone. రిజ్: CPR పరిధి నుండి బ్రేక్అవుట్ను గమనించండి.
Trade: Buy on clean reclaim + MACD green histogram OR short on strong breakdown with volume. Use narrow SL intraday.
Prefer target: 1R to 2R; trail stop on momentum.
3) HDFC BANK (HDFCBANK-EQ)
Bias: Weakness near upper VPVR — short bias below pivot.
Entry: Short on breach of S1 with volume; SL above pivot. Targets at S1 and lower VPVR.
If price holds S1 on higher volume, reverse bias to long for scalp only.
4) MARUTI (MARUTI-EQ)
Bias: Slight Bearish — recent rejection at R1.
Setup: Watch for a failed breakout near R1 — enter short with SL above recent high. For longs, need clear reclaim + MACD cross up.
5) ULTRACEMCO (ULTRACEMCO-EQ)
Bias: Bearish — price testing lower range. లోయర్ రేంజ్ పరీక్షిస్తున్నది — బేర్ బైస్.
Trade: Short continuation on breakdown below S1; place SL near CPR or R1. Consider buying only on strong bullish divergence on RSI + MACD histogram shrinking negative.
6) ITC (ITC-EQ)
Bias: Neutral / range. Trade the edges: buy near lower CPR support, sell near upper CPR resistance.
Watch volume at POC — if price closes below POC on volume, short; if it reclaims POC with volume, long.
7) SBIN (SBIN-EQ)
Bias: Bearish to Neutral. Prefer short on breakdown or scalp long only on decisive reclaim.
SL tight; banks can reverse quickly — manage size accordingly.
8) INFY (INFY-EQ)
Bias: Slightly Bearish — prefer to wait for reclaim before buying. రిట్రేస్ తర్వాత బలంగా రిపై చేస్తున్నదో చూడండి.
If price retests pivot and holds, quick long scalp; if not, short to S1.
9) APOLLO HOSP (APOLLOHOSP-EQ)
Bias: Bearish — price near lower VPVR. Short bias until pivot reclaim.
Trade plan: short on breakdown of low-of-day; SL above pivot. Targets: next VPVR shelf and S1.
10) DIVIS LAB (DIVISLAB-EQ)
Bias: Range/bearish. Use tight SL and small size for intraday — equities in pharma show sudden moves.
Prefer trade from support to resistance with tight stops; avoid holding overnight.
- Check global cues & pre-open gaps → decide market bias (bull/bear/neuter).
- Note CPR (Central Pivot Range) daily and VPVR POC — these are primary levels.
- Trade with trend on 15m/1h — use 5m for execution. Prefer momentum + volume confirmation.
- Risk management: max risk per trade = X% of capital (replace with your rule). Use fixed SL, scale out at Target1, trail to breakeven then trail to Target2.
- Avoid revenge/averaging. If setup invalidates quickly — exit fast.
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