BANKNIFTY : Trading levels and Plan for 06-Feb-2025

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๐Ÿ“Œ BANKNIFTY TRADING PLAN โ€“ 06-Feb-2025

๐Ÿ”น Previous Close: 50,299.90

๐Ÿ”น Important Zones Identified:

๐ŸŸฅ Profit Booking Zone: 50,970 - 51,181
๐ŸŸง No Trade Zone / Opening Support: 50,133 - 50,375
๐ŸŸฉ Opening Support Zone: 49,871.00
๐ŸŸข Last Intraday Support: 49,503.00
๐Ÿ“ˆ Scenario 1: Gap-Up Opening (Above 200+ Points)
If BANKNIFTY opens with a strong gap-up above 50,500, it will approach the profit booking zone (50,970 - 51,181).

  • [] ๐Ÿ”น Bullish Strategy:
    1. [] If the price sustains above 50,970, we can look for a breakout trade targeting 51,181+.
      [] Ideal entry will be on retracement towards 50,970 with a stop loss below 50,800.
    [] ๐Ÿ”ป Bearish Scenario:
    1. [] If rejection is seen from 51,000 - 51,181, a short trade can be considered with targets back to 50,500 - 50,375.
      [] Stop loss for short trade above 51,250.


๐Ÿ“ Pro Tip: If a gap-up directly reaches the profit booking zone, avoid aggressive long positions. Wait for a breakout or a pullback entry.

๐Ÿ“Š Scenario 2: Flat Opening (Between 50,133 - 50,375)
A flat opening within the No Trade Zone (50,133 - 50,375) requires patience and confirmation before entering a trade.

  • [] ๐Ÿ”น Bullish Plan:
    1. [] If the price breaks above 50,375 with strong volume, a long trade can be taken targeting 50,600 - 50,970.
      [] Stop loss to be placed below 50,250.
    [] ๐Ÿ”ป Bearish Plan:
    1. [] If BANKNIFTY breaks below 50,133, expect a move toward 49,871.
      [] Short trade can be initiated with SL above 50,250.


๐Ÿ“ Pro Tip: Flat openings often lead to choppy price action in the first 15-30 minutes. Avoid impulsive trades; let the market establish direction.

๐Ÿ“‰ Scenario 3: Gap-Down Opening (Below 49,871)
If BANKNIFTY opens below 49,871, it will enter the Opening Support Zone, and we must evaluate price action carefully.

  • [] ๐Ÿ”น Buying Opportunity:
    1. [] A strong bullish reversal from 49,503 - 49,871 can give a long opportunity targeting 50,133 - 50,375.
      [] SL for longs should be below 49,400.
    [] ๐Ÿ”ป Breakdown Plan:
    1. [] If 49,503 breaks, expect further downside toward 49,200-49,000.
      [] Short trades can be taken with SL above 49,600.


๐Ÿ“ Pro Tip: If the market gaps down but quickly recovers above 49,871, it may indicate a trap for sellersโ€”watch for reversal signs.

โš ๏ธ Risk Management & Options Trading Tips
โœ” For Option Buyers: Choose strikes near ATM (At-the-Money) to avoid time decay. Enter only when price action confirms.
โœ” For Option Sellers: If IV (Implied Volatility) is high, consider selling OTM (Out-of-the-Money) options at key resistance/support levels.
โœ” Always use SL: Protect capital! A good R:R (Risk-to-Reward) ratio ensures long-term success.
โœ” Avoid Overtrading: Stick to planned tradesโ€”donโ€™t force setups.

๐Ÿ“Œ Summary & Conclusion
๐Ÿš€ Bullish above: 50,375 (Target 50,970+)
๐Ÿ“‰ Bearish below: 50,133 (Target 49,871-49,503)
โš ๏ธ Watch Key Zones: No Trade Zone & Profit Booking Area
๐Ÿ“Š Expect Volatility: Let the first 15-30 min settle before aggressive trades.
โš ๏ธ Disclaimer: I am not a SEBI-registered analyst. This analysis is for educational purposes only. Always do your own research before taking any trades. ๐Ÿ“ข๐Ÿ“Š

#BANKNIFTY #TradingPlan #StockMarket #OptionsTrading ๐Ÿš€

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