\📊 NIFTY TRADING PLAN – 25-Jun-2025\
📍 \Previous Close:\ 25,071.55
📏 \Gap Opening Consideration:\ ±100 Points
🕒 \Time Frame Analyzed:\ 5-Min Chart
📦 \Volume Check:\ 9.16M (aiding intraday trend confirmation)
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\
📍 \Previous Close:\ 25,071.55
📏 \Gap Opening Consideration:\ ±100 Points
🕒 \Time Frame Analyzed:\ 5-Min Chart
📦 \Volume Check:\ 9.16M (aiding intraday trend confirmation)
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\
\[\*]\🚀 GAP-UP OPENING (Above 25,148):\
If Nifty opens above the \Opening Resistance Zone (25,128 – 25,158)\, it immediately faces \Last Intraday Resistance\ at \25,248\. Sustained buying above this level may push prices toward the \Profit Booking / Consolidation Zone (25,356 – 25,401)\.
✅ \Plan of Action:\
• Avoid jumping in at open — let first 15–30 minutes settle the tone
• Breakout above 25,248 = clear bullish structure
• Watch for profit booking at 25,356–25,401
🎯 \Trade Setup:\
– Long above 25,248 with volume confirmation
– Target: 25,356 → 25,401
– SL: Below 25,158
– Short only if rejection seen near 25,248–25,356
📘 \Pro Tip:\ Book partial profits at 1st target and trail rest.
\[\*]\⚖️ FLAT OPENING (Between 25,012 – 25,128):\
This is a reaction zone where Nifty may oscillate inside the \Opening Resistance/Support Band\. Directional clarity may only come post breakout from this zone.
✅ \Plan of Action:\
• Avoid early trades inside 25,012–25,128 zone
• Break above 25,128 = upside momentum
• Breakdown below 25,012 = weakness
🎯 \Trade Setup:\
– Long above 25,128 (strong bullish candle)
– Short below 25,012 (bearish breakdown confirmation)
– SL: 30–40 pts from entry depending on volatility
– Prefer confirmation candle with decent volume
📘 \Pro Tip:\ Stay flexible — it may be a sideways trap if no breakout happens in the first 45 mins.
\[\*]\📉 GAP-DOWN OPENING (Below 24,912):\
Gap-downs below \Opening Support (25,012)\ could test the critical \Buyer’s Support for Sideways Zone – 24,852 to 24,905\. This is a make-or-break area for the bulls.
✅ \Plan of Action:\
• Observe price behavior near 24,852
• Reversal from here offers intraday long opportunity
• Breakdown confirms bearish pressure
🎯 \Trade Setup:\
– Long near 24,852 (if bullish candle forms)
– Short below 24,852 (breakdown scenario)
– Target: 24,780 / 24,720
– SL: Above 25,012 for shorts, below 24,830 for longs
📘 \Pro Tip:\ This is where "smart money" often plays — watch candle structure, not emotions.
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\💡 OPTIONS TRADING – RISK MANAGEMENT TIPS:\
✅ \1. Avoid buying options near expiry without confirmation; theta will eat premiums fast.\
✅ \2. Use spreads (like bull call or bear put) in choppy markets.\
✅ \3. Always use Stop Loss based on structure — not emotions or PnL.\
✅ \4. Keep risk per trade below 2% of capital.\
✅ \5. Use 15-min chart candle closing to exit on SL breach.\
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\📌 SUMMARY – LEVELS TO MONITOR:\
🟥 \Last Intraday Resistance:\ 25,248
🟧 \Opening Resistance/Support:\ 25,128 – 25,158
🟩 \Opening Support:\ 25,012
🟦 \Sideways Support Zone:\ 24,852 – 24,905
🟫 \Breakdown Confirmation Target:\ Below 24,852 → 24,780
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\🎯 CONCLUSION:\
• 🔼 \Bullish Bias:\ Only above 25,248 with strength
• ⏸️ \Sideways Bias:\ 25,012–25,128 — avoid unless breakout confirmed
• 🔽 \Bearish Bias:\ Below 25,012 → Eyes on 24,852
\⚖️ Discipline + Risk Management > Prediction!\ Stay aligned with price structure and manage your capital smartly. 💰🧠📉
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\⚠️ DISCLAIMER:\
I am not a SEBI-registered analyst. This analysis is purely educational and intended to assist in structured thinking. Please consult your financial advisor before acting on any trading decisions. Always apply strict stop-loss and position sizing.
Penafian
Maklumat dan penerbitan adalah tidak bertujuan, dan tidak membentuk, nasihat atau cadangan kewangan, pelaburan, dagangan atau jenis lain yang diberikan atau disahkan oleh TradingView. Baca lebih dalam Terma Penggunaan.
Penafian
Maklumat dan penerbitan adalah tidak bertujuan, dan tidak membentuk, nasihat atau cadangan kewangan, pelaburan, dagangan atau jenis lain yang diberikan atau disahkan oleh TradingView. Baca lebih dalam Terma Penggunaan.
