It is bound to react to supply zones, even the global indices have reached the supply areas and cannot proceed further without some selling in mid way and starting financial season of the year. Quarter results will make an impact for sure on the index but that is pretty far till now other than the buzzing headlines have already started. So as per me a little gap up will push Nifty Downwards and panic selling would be encountered. Other than that the long trendline also suggests it cannot move a long bullish move tomorrow.
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