Samvardhana Motherson price DivergenceEasily achieved first target of 118.9 following which RSI formed lower high whereas Price formed higher high making typical Divergence.
Even MACD started forming lower highs confirming the change in trend
Any high could have been used as exit from the stock in short term
Can still hold the trade partially till it breaks the support of 112 which is triangle high
Community ideas
SILVERM IntraSwing Levels for 13th JAN 2026๐ SILVERM Profit Booking Ahead.
๐๐ผ Monthly PCR.
Put OI: 33,811, Call OI: 20,181, PCR: 1.68
Intraday PCR Change data:
Put OI Chg: 263, Call OI Chg: 2,037, Ch. OI PCR: 0.13
๐ฅLevel Interpretation / description:
L#1: If the candle crossed & stays above the โBuy Genโ, it is treated / considered as Bullish bias.
L#2: Possibility / Probability of REVERSAL near RLB#1 & UBTgt
L#3: If the candle stays above โSell Genโ but below โBuy Genโ, it is treated / considered as Sidewise. Aggressive Traders can take Long position near โSell Genโ either retesting or crossed from Below & vice-versa i.e. can take Short position near โBuy Genโ either retesting or crossed downward from Above.
L#4: If the candle crossed & stays below the โSell Genโ, it is treated / considered a Bearish bias.
L#5: Possibility / Probability of REVERSAL near RLS#1 & USTgt
HZB (Buy side) & HZS (Sell side) => Hurdle Zone,
*** Specialty of โHZB#1, HZB#2 HZS#1 & HZS#2โ is Sidewise (behaviour in Nature)
Rest Plotted and Mentioned on Chart
Color code Used:
Green =. Positive bias.
Red =. Negative bias.
RED in Between Green means Trend Finder / Momentum Change
/ CYCLE Change and Vice Versa.
Notice One thing: HOW LEVELS are Working.
Use any Momentum Indicator / Oscillator or as you "USED to" to Take entry.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ ๏ธ DISCLAIMER:
The information, views, and ideas shared here are purely for educational and informational purposes only. They are not intended as investment advice or a recommendation to buy, sell, or hold any financial instruments. I am not a SEBI-registered financial adviser.
Trading and investing in the stock market involves risk, and you should do your own research and analysis. You are solely responsible for any decisions made based on this research.
"As HARD EARNED MONEY IS YOUR's, So DECISION SHOULD HAVE TO BE YOUR's".
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ๏ธ Follow notification about periodical View
๐ฅ Do Comment for Stock WEEKLY Level Analysis.๐
๐ Do you agree with this view?
โ๏ธ HIT THE PLANE ICON if this technical observation resonates with you. It will Motivate me.
Alkem Laboratories (D): Bullish (Rounding Bottom Breakout)Timeframe: Daily | Scale: Linear
The stock has confirmed a major structural breakout from a 6-month "Rounding Bottom" recovery pattern. The "Gap Up" above the key resistance of โน5,850 signals a shift in market sentiment from "Accumulation" to "Markup."
๐ 1. The Fundamental Catalyst (The "Why")
The breakout is fueled by strong operational tailwinds:
> US Business Boom: The 28% growth in US revenue (reported in H1 FY26) has re-rated the stock. Investors are rushing in ahead of Q3 results, expecting this momentum to sustain.
> Sector Rotation: Capital is shifting back to "Defensive Growth" (Pharma) as broader markets turn volatile.
๐ 2. The Chart Structure (The Recovery)
> The Pattern: This structure is a classic Rounding Bottom (Saucer) formation, which indicates a gradual shift of power from bears to bulls.
> The Breakout: The horizontal resistance at โน5,848 was the "Neckline" of this pattern.
- The Move: Yesterday's test and today's Gap Up opening confirm the breakout. A gap-up at resistance is a sign of aggressive institutional buying.
๐ 3. Volume & Indicators
> Volume: The "Volume Picking Up" recently is crucial. In rounding bottoms, volume typically dries up at the bottom (Feb 2025) and expands on the right side (Jan 2026). This confirms the validity of the move.
> RSI: Rising in all timeframes. Daily RSI entering the "Overbought" zone (>70) during a breakout is actually a sign of strength (momentum lock-in).
๐ฏ 4. Future Scenarios & Key Levels
The stock is now chasing its previous peak.
๐ Bullish Target (The Recovery):
- Target 1: โน6,440 (The ATH). Since there is no major resistance between โน5,900 and โน6,440, the move could be swift.
- Blue Sky: If it clears the ATH, the pattern target projects well towards โน7,000+ .
๐ก๏ธ Support (The "Must Hold"):
- Immediate Support: โน5,713 โ โน5,750 .
- Strategy: As long as the stock stays above โน5,848 , the breakout is valid. A dip to โน5,800 is a buying opportunity.
Conclusion
This is a High-Probability Setup .
> Refinement: The "Gap Up" is the key. It prevents retail traders from entering easily, which is often a hallmark of a genuine institutional move.
> Action: Hold for โน6,440 .
BUY TODAY SELL TOMORROW for 5%DONโT HAVE TIME TO MANAGE YOUR TRADES?
- Take BTST trades at 3:25 pm every day
- Try to exit by taking 4-7% profit of each trade
- SL can also be maintained as closing below the low of the breakout candle
Now, why do I prefer BTST over swing trades? The primary reason is that I have observed that 90% of the stocks give most of the movement in just 1-2 days and the rest of the time they either consolidate or fall
Resistance Breakout in IFCI
BUY TODAY SELL TOMORROW for 5%
$TAO PRICE PREDICTION | IS $3,000 POSSIBLE? | CRYPTOPATELGETTEX:TAO Is Trading At A Key HTF Accumulation Zone On The Weekly Chart After A Deep Correction From The 2024 Highs.
Market Structure Continues To Suggest Smart Money Re-Accumulation At Long-Term Demand.
Weekly Technical Structure:
โข Bullish Order Block Holding: $260โ$285
โข Strong Historical Reactions From This Demand Zone
โข Range Compression After Liquidity Sweep
โข Key Strength Trigger: Weekly Close Above $440 (S/R Flip)
CryptoPatel Targets:
$1,000 / $1,500 / $3,000+
As Long As TAO/USDT Holds Above $260, The Macro Bullish Bias Remains Intact.
A Clean Break Above The $700โ$800 Supply Zone Opens The Door For Price Discovery.
Invalidation: Weekly Close Below $260
TA Only. Not Financial Advice. DYOR.
AUUSD (ONDA) IntraSwing Levels for 13th - 14th JAN2026(3.30 am)XAUUSD (ONDA) IntraSwing Levels for 13th - 14th JAN2026(3.30 am)
๐ฅLevel Interpretation / description:
L#1: If the candle crossed & stays above the โBuy Genโ, it is treated / considered as Bullish bias.
L#2: Possibility / Probability of REVERSAL near RLB#1 & UBTgt
L#3: If the candle stays above โSell Genโ but below โBuy Genโ, it is treated / considered as Sidewise. Aggressive Traders can take Long position near โSell Genโ either retesting or crossed from Below & vice-versa i.e. can take Short position near โBuy Genโ either retesting or crossed downward from Above.
L#4: If the candle crossed & stays below the โSell Genโ, it is treated / considered a Bearish bias.
L#5: Possibility / Probability of REVERSAL near RLS#1 & USTgt
HZB (Buy side) & HZS (Sell side) => Hurdle Zone,
*** Specialty of โHZB#1, HZB#2 HZS#1 & HZS#2โ is Sidewise (behaviour in Nature)
Rest Plotted and Mentioned on Chart
Color code Used:
Green =. Positive bias.
Red =. Negative bias.
RED in Between Green means Trend Finder / Momentum Change
/ CYCLE Change and Vice Versa.
Notice One thing: HOW LEVELS are Working.
Use any Momentum Indicator / Oscillator or as you "USED to" to Take entry.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ ๏ธ DISCLAIMER:
The information, views, and ideas shared here are purely for educational and informational purposes only. They are not intended as investment advice or a recommendation to buy, sell, or hold any financial instruments. I am not a SEBI-registered financial adviser.
Trading and investing in the stock market involves risk, and you should do your own research and analysis. You are solely responsible for any decisions made based on this research.
"As HARD EARNED MONEY IS YOUR's, So DECISION SHOULD HAVE TO BE YOUR's".
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ๏ธ Follow notification about periodical View
๐ฅ Do Comment for Stock WEEKLY Level Analysis.๐
๐ Do you agree with this view?
โ๏ธ HIT THE PLANE ICON if this technical observation resonates with you. It will Motivate me.
Part 3 Learn Institutional Trading 1. How Option Buyers Earn Money
Option buyers profit when:
Price moves strongly in their direction
Volatility increases
Time to expiry is sufficient
The worst-case scenario is losing 100% of premium.
2. How Option Sellers Earn Money
Option sellers profit when:
Market remains sideways
Time decay reduces premium
Volatility drops
Price stays below (for call) or above (for put) the strike
Option selling is preferred by institutions because:
Premium income is consistent
Probability of profit is higher
Time decay always works in their favour
Part 2 Ride The Big Moves Understanding Market Conditions for Options
A. Trending Market
Best for option buyers (long calls/puts).
B. Sideways Market
Best for option sellers (iron condor, short strangle).
C. High Volatility
Best for straddles/strangles.
D. Low Volatility
Best for spreads and premium selling.
BTCUSD ยท 15M ยท SMC UpdateBuy-side liquidity above prior highs has been partially swept.
Rejection from supply shows acceptance failure in premium.
Market is now rotating back toward equilibrium.
LTF Structure
Impulsive move up completed.
Bearish response from supply with follow-through.
Current pullback is corrective, not impulsive.
Bias & Expectation
Favor shorts while price remains below the supply high.
Anticipate continuation lower toward:
Range low / EQ
Prior imbalance
HTF discount zone below
Sensex - Weekly expiry Jan 14The price was falling steadily in a descending channel, and now it is trying to move up by forming an ascending channel.
83500 is an important zone to decide the trend direction when it has a confluence with the channel trend line.
Buy above 83600 with the stop loss of 83480 for the targets 83720, 83860, 83980, 84100 and 83220.
Sell below 83300 with the stop loss of 83460 for the targets 83180, 83060, 82940, 82800 and 82640.
The expected expiry day range is 82900 to 83900.
Always do your analysis before taking any trade.
NIFTY Analysis for 14th JAN 2026 IntraSwing Spot levelsNIFTY Analysis for 14th JAN 2026 IntraSwing Spot levels
๐Follow GIFTNIFTY Post for NF levels
b]๐๐ผScreen shot of Todays (13th Jan 2026) trade
๐ฅLevel Interpretation / description:
L#1: If the candle crossed & stays above the โBuy Genโ, it is treated / considered as Bullish bias.
L#2: Possibility / Probability of REVERSAL near RLB#1 & UBTgt
L#3: If the candle stays above โSell Genโ but below โBuy Genโ, it is treated / considered as Sidewise. Aggressive Traders can take Long position near โSell Genโ either retesting or crossed from Below & vice-versa i.e. can take Short position near โBuy Genโ either retesting or crossed downward from Above.
L#4: If the candle crossed & stays below the โSell Genโ, it is treated / considered a Bearish bias.
L#5: Possibility / Probability of REVERSAL near RLS#1 & USTgt
HZB (Buy side) & HZS (Sell side) => Hurdle Zone,
*** Specialty of โHZB#1, HZB#2 HZS#1 & HZS#2โ is Sidewise (behaviour in Nature)
Rest Plotted and Mentioned on Chart
Color code Used:
Green =. Positive bias.
Red =. Negative bias.
RED in Between Green means Trend Finder / Momentum Change
/ CYCLE Change and Vice Versa.
Notice One thing: HOW LEVELS are Working.
Use any Momentum Indicator / Oscillator or as you "USED to" to Take entry.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ ๏ธ DISCLAIMER:
The information, views, and ideas shared here are purely for educational and informational purposes only. They are not intended as investment advice or a recommendation to buy, sell, or hold any financial instruments. I am not a SEBI-registered financial adviser.
Trading and investing in the stock market involves risk, and you should do your own research and analysis. You are solely responsible for any decisions made based on this research.
"As HARD EARNED MONEY IS YOUR's, So DECISION SHOULD HAVE TO BE YOUR's".
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ๏ธ Follow notification about periodical View
๐ฅ Do Comment for Stock WEEKLY Level Analysis.๐
๐ Do you agree with this view?
โ๏ธ HIT THE PLANE ICON if this technical observation resonates with you. It will Motivate me.
Nifty Analysis for Jan 13, 2026Wrap up:-
Nifty is heading towards wave c of y of 5. In wave C, Wave 1, 2 and 3 of major wave 1 of c were completed today and wave 4 is expected to be completed by tomorrow morning near 25800. Thereafter, Nifty will head towards wave 5 of major wave 1 of c.
What Iโm Watching for Jan 09, 2026 ๐
Buy Nifty near 25800 sl 25700 (15 min. candle closing basis) for a target of 25898-25960-26061.
Disclaimer: Sharing my personal market view โ only for educational purpose not financial advice.
"Don't predict the market. Decode them."
XAUUSD 1H โ Bearish Pullback From Recent Highs, Momentum WeakeniGold (XAUUSD) remains in a broader short-term uptrend, but price is currently in a corrective phase.
A descending trendline from the recent high is capping price, showing lower highs and loss of bullish momentum.
Current price (~4583) is consolidating below the recent peak near 4635โ4640, suggesting distribution rather than continuation.
Momentum Indicators
RSI (14): Around 50, indicating neutral momentum.
Previous bearish divergences near the top warned of the current pullback.
No strong bullish reversal signal yet.
Awesome Oscillator (AO):
Histogram has turned red and below zero, confirming bearish momentum in the short term.
MACD (12,26,9):
Bearish crossover completed.
Histogram is negative and expanding โ downside pressure still active.
Key Levels
Resistance:
4600โ4640 (trendline resistance & recent high)
Immediate Support:
4550โ4530
Deeper Support:
4480โ4450 (prior structure zone)
Bias & Scenarios
Short-term bias: Bearish / corrective
As long as price stays below the descending trendline, sellers control the market.
A break and close above 4600 would invalidate the bearish correction and reopen upside continuation.
A break below 4530 could accelerate selling toward 4480.
Summary
Gold is showing momentum exhaustion after a strong rally, with multiple indicators aligning bearish on the 1H timeframe. This favors short-term pullbacks or consolidation before the next major directional move. Trend continuation will require a clear bullish breakout; otherwise, downside correction remains the higher-probability scenario.