🔎 Nifty Market Structure Analysis
📍 Higher Timeframe (4H)
Trend Context: Price recently rejected from 25,200 supply and has been correcting lower.
Support Zone: 24,850 – 24,900 (immediate structure demand).
Resistance Zone: 25,150 – 25,200 (strong supply zone).
Bias: Currently testing demand after a sharp pullback. A 4H close below 24,850 will weaken bullish structure.
📍 Medium Timeframe (1H)
Structure: Clear lower highs from 25,200 with price consolidating at 24,850.
Support: 24,850 zone holding multiple times – if broken, momentum sellers will step in.
Resistance: 25,000 (psychological) and then 25,150.
Bias: Range-bound between 24,850 – 25,000. Breakout/breakdown will decide next leg.
📍 Lower Timeframe (15M)
Structure: Demand wicks visible at 24,850 but no strong reversal yet.
Short-term OB: Around 24,880 – 24,900, acting as intraday pivot.
Bias: Watching 24,850 carefully – bounce = scalp long, break = fast downside move.
📌 Trading Plan for 25th August
🔼 Long Setup (If 24,850 Holds)
Entry: On bullish rejection from 24,850 – 24,880 zone.
Targets:
T1: 24,950
T2: 25,050
T3: 25,150 (liquidity sweep).
Stop-loss: Below 24,820.
🔻 Short Setup (If Breakdown Happens)
Entry: On 15M/1H close below 24,850.
Targets:
T1: 24,750
T2: 24,650
T3: 24,400 (major demand zone).
Stop-loss: Above 24,920.
✅ Summary
Key Support: 24,850 (line in the sand).
Key Resistance: 25,000 → 25,150.
Bias: Bullish-to-Neutral unless 24,850 breaks strongly.
Gameplan: Simple – Buy the bounce from 24,850 OR sell the breakdown below it.
📍 Higher Timeframe (4H)
Trend Context: Price recently rejected from 25,200 supply and has been correcting lower.
Support Zone: 24,850 – 24,900 (immediate structure demand).
Resistance Zone: 25,150 – 25,200 (strong supply zone).
Bias: Currently testing demand after a sharp pullback. A 4H close below 24,850 will weaken bullish structure.
📍 Medium Timeframe (1H)
Structure: Clear lower highs from 25,200 with price consolidating at 24,850.
Support: 24,850 zone holding multiple times – if broken, momentum sellers will step in.
Resistance: 25,000 (psychological) and then 25,150.
Bias: Range-bound between 24,850 – 25,000. Breakout/breakdown will decide next leg.
📍 Lower Timeframe (15M)
Structure: Demand wicks visible at 24,850 but no strong reversal yet.
Short-term OB: Around 24,880 – 24,900, acting as intraday pivot.
Bias: Watching 24,850 carefully – bounce = scalp long, break = fast downside move.
📌 Trading Plan for 25th August
🔼 Long Setup (If 24,850 Holds)
Entry: On bullish rejection from 24,850 – 24,880 zone.
Targets:
T1: 24,950
T2: 25,050
T3: 25,150 (liquidity sweep).
Stop-loss: Below 24,820.
🔻 Short Setup (If Breakdown Happens)
Entry: On 15M/1H close below 24,850.
Targets:
T1: 24,750
T2: 24,650
T3: 24,400 (major demand zone).
Stop-loss: Above 24,920.
✅ Summary
Key Support: 24,850 (line in the sand).
Key Resistance: 25,000 → 25,150.
Bias: Bullish-to-Neutral unless 24,850 breaks strongly.
Gameplan: Simple – Buy the bounce from 24,850 OR sell the breakdown below it.
면책사항
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면책사항
이 정보와 게시물은 TradingView에서 제공하거나 보증하는 금융, 투자, 거래 또는 기타 유형의 조언이나 권고 사항을 의미하거나 구성하지 않습니다. 자세한 내용은 이용 약관을 참고하세요.