Inside the triangle we saw a triangle again
Pattern: Classic Broadening wedge —higher highs & lower lows = volatility + indecision
Microstructure: Within the Triangle, a smaller broadening wedge formed, signaling coiling price before potential range expansion.
Sideways & expanding = distribution or re-accumulation phase. (For 1D TF Macro Triangle outlook scroll ↧)
Markers:
🥵Resistance
🥶Pivot
🤢Support
💪🏼⚠️Key levels
💥 Order block from Supply Line breakdown
🪂 Our main Man
❓U-🔻Turn Fake Out, lets see how it goes!
🚀 Let me know your views
Technical Insight
Broadening wedge 📐:
Often signals high emotional volatility— smart money accumulates in the chaos while retail gets whipsawed. Market is struggling to agree on fair value — hence breakout/breakdown traps are common.
Progressively a rejection from the supply💥 line zone could result in a lower high, leading to sharp retracement toward 24,000 or lower → our main man 🪂
Liquidity Grab Setup:
If NIFTY dips near 🪂 23,844 and forms a V-reversal, it could be a liquidity spring towards 25,350 🚀
🚫 Critical Checks to Avoid False Breakouts
Watch out 🪂💥❓
Liquidity Trap: Ignore breakouts with volume < 1.5x avg.
Expiry Week: Reduce position size (PCR/OI noise increases).
VIX Filter: No shorts if VIX < 15 (low volatility traps).
📊 Fundamental Alignment
Macro Tailwinds:
Q2 GDP prints strong: India remains among the fastest-growing economies.
FIIs have returned in phases post-June; DII participation remains robust.
Inflation cooling (CPI near 5%) + expectation of status quo on rates by RBI = positive for equities.
💹Risk Catalysts
Global volatility from US yields, Fed guidance, and oil prices could influence near-term moves.
Upcoming domestic events (elections, fiscal data, monsoon trend) may impact sentiment around key supply zones.
🛠️ Strategic Outlook
Validated (Bullish Continuation)
Setup: Bounce off 24,178 → breakout above 25,118 → reclaim 25,565
Bias: Bullish breakout
Trigger: Daily close above 25,565 with volume
Invalidated (Fakeout then Breakdown)
Setup: Pop above 25,118 → rejection from OB → lower high → flush toward 23,844 and Lower
Bias: Bearish
Trigger: Bearish engulfing near 25,350
Always DYOR,
See you on the other side
💡 Reflective Close:
In expanding structures, the real edge isn’t prediction — it’s patience.
Are you managing risk through structure or emotion through bias?
Pattern: Classic Broadening wedge —higher highs & lower lows = volatility + indecision
Microstructure: Within the Triangle, a smaller broadening wedge formed, signaling coiling price before potential range expansion.
Sideways & expanding = distribution or re-accumulation phase. (For 1D TF Macro Triangle outlook scroll ↧)
Markers:
🥵Resistance
🥶Pivot
🤢Support
💪🏼⚠️Key levels
💥 Order block from Supply Line breakdown
🪂 Our main Man
❓U-🔻Turn Fake Out, lets see how it goes!
🚀 Let me know your views
Technical Insight
Broadening wedge 📐:
Often signals high emotional volatility— smart money accumulates in the chaos while retail gets whipsawed. Market is struggling to agree on fair value — hence breakout/breakdown traps are common.
Progressively a rejection from the supply💥 line zone could result in a lower high, leading to sharp retracement toward 24,000 or lower → our main man 🪂
Liquidity Grab Setup:
If NIFTY dips near 🪂 23,844 and forms a V-reversal, it could be a liquidity spring towards 25,350 🚀
🚫 Critical Checks to Avoid False Breakouts
Watch out 🪂💥❓
Liquidity Trap: Ignore breakouts with volume < 1.5x avg.
Expiry Week: Reduce position size (PCR/OI noise increases).
VIX Filter: No shorts if VIX < 15 (low volatility traps).
📊 Fundamental Alignment
Macro Tailwinds:
Q2 GDP prints strong: India remains among the fastest-growing economies.
FIIs have returned in phases post-June; DII participation remains robust.
Inflation cooling (CPI near 5%) + expectation of status quo on rates by RBI = positive for equities.
💹Risk Catalysts
Global volatility from US yields, Fed guidance, and oil prices could influence near-term moves.
Upcoming domestic events (elections, fiscal data, monsoon trend) may impact sentiment around key supply zones.
🛠️ Strategic Outlook
Validated (Bullish Continuation)
Setup: Bounce off 24,178 → breakout above 25,118 → reclaim 25,565
Bias: Bullish breakout
Trigger: Daily close above 25,565 with volume
Invalidated (Fakeout then Breakdown)
Setup: Pop above 25,118 → rejection from OB → lower high → flush toward 23,844 and Lower
Bias: Bearish
Trigger: Bearish engulfing near 25,350
Always DYOR,
See you on the other side
💡 Reflective Close:
In expanding structures, the real edge isn’t prediction — it’s patience.
Are you managing risk through structure or emotion through bias?
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.