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Contact- @dsk4u We are EQUITY RESEARCH ANALYST, Financial Advisor, TRAINER, Trader, Blogger. Providing various types of calls and Market related Information, updation in channel.All are for educational purposes only. Perfect Charting Is An Art 🍎🍎🍎🍎🍎
MCX 2600 pe
Buy near 125--35
SL 110
Nifty 25000 pe
Buy near 115--125
SL 98
TGT 140-146-154-160-175-180
GOODS LIKELY TO BECOME CHEAPER IN INDIA
• European machinery and industrial equipment -- tariff
reductions will lower production costs for Indian
industry
• High-end medical devices and aerospace parts
• Chemicals and specialty materials
• Luxury European goods (beauty, fashion accessories)
Position OPTION CALL
COFORGE 1620 PE February
Buy NEAR 41-45
SL 34.50
TGT 54--59--62-66-70-74++
ADANI PORT 1300 CE
104😍
First Target Achieved
🔥🔥🚀🚀🚀🚀
ADANI PORT 1300 CE
99.90
🔥🔥🚀🚀🚀🚀
BUY ADANIPORT
1300 CE February
near 92-95
SL 84
TGT 104--107-110
Position OPTION CALL
COFORGE 1620 PE February
Buy NEAR 48--52
SL 37
TGT 63-66-70-74-80
🍎🍎Open Account with below Brokers & Get our Premium Intraday call 100% free 😍😍
1. UPSTOX
http://upstox.com/open-account/?f=NVJD
IXIGO Q3
• Consolidated Net Profit up 56% at ₹24.2 Cr YoY, recovered from ₹3.1 Cr loss QOQ
• Revenue up 31% at ₹317.5 Cr YoY, up 12% QOQ
• EBITDA up 23% at ₹26.3 Cr YoY, recovered from ₹3.7 Cr loss QOQ
• Margins at 8.28% vs 8.81% YoY, 8.28% vs -1.31% QOQ
Position OPTION CALL
COFORGE 1620 PE February
Buy NEAR 52
Fryday for markets with volatility and Trump is famous for weekend news. Better to avoid BTST today 🙏 No trade is also a Trade
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*BIG NEGATIVE FOR PAYTM*
*RBI has ended the PIDF Scheme* (Payment Infrastructure Development Fund)
This was used to incentivize deployment of digital payment infrastructure
*This scheme ended in Dec 2025 and has not been extended*
For Paytm this was 20% of operating profit, BIG NEGATIVE
NOFTY 25200 PE
65
To
108
3 Targets Achieved
😍😍🔥🚀🚀🚀🍀🍀🍏🍏🍏
🚀🚀🚀✈️✈️
NIFTY
25200 pe
Trading between 60-70
Buy now
Details are in above call
NIFTY 25000 PE SL hits Exit
Читать полностью…
For the existing position wait till
9:30 am and then decide
Follow SL, Target strictly. As the market is big volatile 🙏
📌India EU trade deal updates:
Tariffs to drop to ZERO for the following sectors Vs (current EU tariffs)
🔸Marine sectors (26%)
🔸Footwear (17%)
🔸Chemicals (12.8%)
🔸Apparel (12%)
🔸Textiles (12%)
🔸Consumer goods (10.5%)
🔸Base metals (10%)
🔸Rail products, ships (7%)
🔸Toys and sports goods (4.7%)
🔸Gems and jewellery (4%)
Intraday option call
MCX 2300 PE February
BUY ABOVE 85
SL 66
TGT 105-110-114-120++
ADANI PORT 1300 CE
103😍
🔥🔥🚀🚀🚀🚀
Coforge PE SL hits Exit
Читать полностью…
BUY ADANIPORT
1300 CE February
near 92-95
SL 84
TGT 104--107-110
🇺🇸🇬🇱 Trump – Greenland मुद्दा : मुख्य मुद्दे
डोनाल्ड ट्रम्प यांनी Greenland अमेरिकेचा भाग बनवण्याबाबत
“मी किती दूर जाईन ते तुम्हाला कळेल” असे थेट सांगण्यास नकार दिला.
Greenland हा Denmark चा self-governing (स्वायत्त) भाग आहे, पण ट्रम्प अनेक वर्षांपासून तो अमेरिकेला हवा आहे.
ट्रम्प यांचा दावा: 👉 Arctic region मधील U.S. National Security साठी Greenland अत्यंत महत्त्वाचा आहे.
ट्रम्प यांनी युरोपियन देशांवर tariffs (आयात कर) लावण्याची धमकी दिली आहे
👉 जोपर्यंत Greenland अमेरिकेला दिला जात नाही तोपर्यंत.
या धमकीमुळे:
🇪🇺 युरोपियन नेते संतापले
📉 Financial markets अस्थिर झाले
युरोपने स्पष्ट सांगितले → Tariff आला तर आम्ही retaliation करू
ट्रम्प या आठवड्यात:
🇨🇭 Davos (World Economic Forum) ला जाणार
तिथे अनेक देशांच्या नेत्यांशी Greenland वर थेट चर्चा होणार
ट्रम्प म्हणाले:
“Greenland वर खूप meetings ठरलेल्या आहेत, आणि मला वाटतं सगळं आपल्या बाजूने जाईल.”
🌍 Greenland कडून प्रतिक्रिया
Greenland आणि Denmark मध्ये:
🇩🇰🇬🇱 मोठे protests
घोषणा: “Hands off Greenland”
Greenland चे PM म्हणाले: 👉 “सर्व शक्य परिस्थितीसाठी तयार राहा”
(Military action सुद्धा पूर्णपणे नाकारले नाही)
📉 Market Impact (Trading साठी महत्त्वाचे)
या geopolitical tension मुळे:
💵 U.S. Dollar कमजोर
🪙 Gold price spike
📉 U.S. Treasury bonds sell-off
“Sell America” sentiment वाढतोय
👉 Gold (XAUUSD), USD pairs, Index trading साठी हा खूप high-impact geopolitical news आहे
PREMIER ENERGIES – Q3 RESULTS
• Cons Net Profit: Up 54% YoY at ₹391.7 Cr, up 11% QoQ.
• Revenue: Up 13% YoY at ₹1,936 Cr, up 5% QoQ.
• EBITDA: Up 16% YoY at ₹593.5 Cr, up 6% QoQ.
• EBITDA Margins: 30.66% vs 29.98% YoY, 30.66% vs 30.50% QoQ.
.
Sorry for first call with typo error
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Also 26th January is a Trading Holiday
Читать полностью…
This morning I recommended a call
NIFTY 25200 PE
65
To
194
Tripple in a day only 😄
😍😍🔥🚀🚀🚀🍀🍀🌿☄🍏
🚀🚀🚀✈️✈️
Union Budget 2026
Important Market Update
1 फरवरी 2026, Sunday को Union Budget पेश किया जाएगा।
हालाँकि यह दिन Sunday है, फिर भी इस दिन Stock Market Open रहेगा।
Sunday को Market क्यों Open रहेगा?
Union Budget एक Major National Economic Event होता है।
Budget announcements का सीधा असर Index, Stocks, Bonds और Currency Market पर पड़ता है।
Sunday को Market Open रखने के reasons:
• Immediate Price Discovery के लिए
• Unnecessary Gap-Up / Gap-Down से बचने के लिए
• Market Volatility को controlled तरीके से absorb करने के लिए
• Investors और Traders को Real-Time Reaction का मौका देने के लिए
Union Budget क्या होता है?
Union Budget, Government Of India का Annual Financial Roadmap होता है, जिसमें बताया जाता है कि सरकार
Revenue कैसे Generate करेगी और Expenditure कहाँ करेगी।
इसका सीधा असर पड़ता है:
• Stock Market
• Economy
• Business & Industry
• Investors & Traders
• Salaried & Middle Class
Union Budget के मुख्य भाग
1. Government Revenue (Income Sources)
• Direct Taxes – Income Tax, Corporate Tax
• Indirect Taxes – GST, Customs Duty
• PSU & RBI Dividends
• Disinvestment & Asset Monetisation
Market यह देखता है कि Revenue Collection कितना Strong है।
2. Government Expenditure (Spending Plan)
• Infrastructure – Roads, Railways, Power, Housing
• Defence & Security
• Education & Healthcare
• Subsidy & Welfare Schemes
• Interest Payments
ज़्यादा Capital Expenditure (Capex) को Long-Term Growth Signal माना जाता है।
3. Fiscal Deficit & Borrowing Plan
• Government की Income और Spending के बीच का Gap
• Bonds के ज़रिए Government Borrowing
Controlled Fiscal Deficit Market के लिए Positive माना जाता है।
4. Tax Policy Announcements
• Income Tax Slabs में Changes
• Capital Gains Tax
• Corporate Tax Incentives
• Tax Simplification & Compliance
इससे Directly Consumption और Market Sentiment प्रभावित होता है।
5. Sector-Wise Budget Allocation
• Infrastructure & Construction
• Banking & Financial Services
• PSU & Defence
• Agriculture & Rural Economy
• MSME & Manufacturing
Budget Day पर Sector Stocks में तेज़ Volatility देखने को मिलती है।
6. Inflation & Price Stability
• Inflation Control पर Government का Focus
• Fuel, Food & Essential Commodities पर Impact
• RBI Policy के साथ Alignment
7. Interest Rate & Liquidity Impact
• Bond Yields पर असर
• Banking Liquidity Conditions
• Loan, EMI & Credit Growth पर प्रभाव
8. Disinvestment & Privatisation Roadmap
• PSU Disinvestment Targets
• Strategic Asset Sales
• Government Stake Reduction Plans
9. Agriculture & Rural Demand Push
• Farmer Income Support
• Rural Spending & Subsidies
• Consumption-Led Growth
10. Green Energy & ESG Focus
• Renewable Energy Investment
• EV Ecosystem Support
• Climate-Friendly Policy Signals
11. Digital Economy & Technology Push
• Digital Infrastructure Expansion
• FinTech & Startup Ecosystem
• AI, Data & Cyber Security Focus
12. Defence & Strategic Spending
• Defence Modernisation
• Indigenous Manufacturing Support
• Long-Term Defence Contracts
Market Expectations From Union Budget 2026
• Growth-Oriented Budget
• Strong Capex Push
• Middle Class Tax Relief
• Fiscal Discipline
• Policy Stability & Reforms
Budget Day & Market Behaviour
• High Intraday Volatility
• Gap Up / Gap Down Opening
• Options में IV Spike
• News-Driven Price Behaviour
Budget Day पर Prediction से ज़्यादा Risk Management ज़रूरी होता है।
Traders & Investors Takeaway
• Over-Leverage avoid करें
• Hedged Strategies use करें
• Post-Budget Trend का wait करें
• Headlines नहीं, Price Behaviour follow करें
NOFTY 25200 PE
83.25
🚀🚀🚀✈️✈️
BTST
SHARDACROP 841.5 from 833.25
GMBREW 992.8 from 985.4
TENNIND down from 528
INFOBEAN 923 from 913.25
GENESYS 342.45 from 338.85
🙏