Nifty Stock Analysis, Readymade. No AI. No tips. No hype.
Stop guessing. Stop getting trapped.
NSEI · CONSOLIDATION NEUTRAL
MIXED
VIX 13.9Normalprev 13.6
Auto24,513-2.5% 1d
Energy35,649-2.8% 1d
FinServ24,640-1.1% 1d
FMCG43,898-2.0% 1d
Infra8,504-2.6% 1d
IT27,737-0.1% 1d
Metal11,870-3.5% 1d
Pharma25,823-2.3% 1d
Realty797-3.2% 1d
ConsDur35,613-2.0% 1d
Defence8,961-2.8% 1d
Healthcare15,685-2.3% 1d
Services28,624-1.5% 1d
Nifty50021,616-2.0% 1d
BankNifty54,515-1.0% 1d
Nifty5022,232-1.6% 1d
Midcap15021,312-2.4% 1d
Smallcap25017,488-2.4% 1d
Oil91+2.4% 1d
Gold4,155+0.5% 1d
Trendbelow 10-month avg
▲ DefenseLeading #1
▲ IndustrialsLeading #2
▲ PharmaLeading #3
▼ FMCGLagging #16
▼ CementLagging #17
▼ InfrastructureLagging #18
FII Stk LONG+610K lots
N-PCR 0.62Neutral
BNF-PCR 0.87Neutral
► EXCLUDED — 26 symbols could not be scored (insufficient history, bad data, etc.) — not "scored and uninteresting", just unscoreable
BAGMANE — only 102 rows after cleaning (need 252)
BHARATCOAL — only 178 rows after cleaning (need 252)
CANHLIFE — only 240 rows after cleaning (need 252)
CLEANMAX — only 149 rows after cleaning (need 252)
CMPDI — only 131 rows after cleaning (need 252)
DUMMYHEG — pipeline timeout (>240s)
EMMVEE — only 220 rows after cleaning (need 252)
FRACTAL — only 159 rows after cleaning (need 252)
GROWW — only 224 rows after cleaning (need 252)
ICICIAMC — only 197 rows after cleaning (need 252)
JAINREC — only 251 rows after cleaning (need 252)
LENSKART — only 226 rows after cleaning (need 252)
LGEINDIA — only 243 rows after cleaning (need 252)
MEESHO — only 204 rows after cleaning (need 252)
ORKLAINDIA — only 228 rows after cleaning (need 252)
PINELABS — only 222 rows after cleaning (need 252)
PIRAMALFIN — only 217 rows after cleaning (need 252)
PWL — only 220 rows after cleaning (need 252)
RUBICON — only 241 rows after cleaning (need 252)
TATACAP — only 244 rows after cleaning (need 252)
TENNIND — only 219 rows after cleaning (need 252)
TMCV — only 214 rows after cleaning (need 252)
VAML — only 71 rows after cleaning (need 252)
VEDPOWER — only 71 rows after cleaning (need 252)
VISL — only 71 rows after cleaning (need 252)
VOGL — only 71 rows after cleaning (need 252)
By Tier: 272 Bottom Zone, 24 Breakdown, 190 Top Zone, 55 Neutral
By Cycle Stage: 46 Accumulating · 134 Forming · 7 In an Uptrend · 104 Distribution · 250 Neutral
Data gets refreshed next day around 5–7 AM. Telegram
SymbolName · Range · Price Turn Zone SignalWatch Bottom · Top Zone · Neutral StageVerdict · Phase · Track CESCoil Energy Smart MoneyIQ · delivery · ATS Long-Term CaseArchetype · Decline ValuationScore Fib / S·RNear support or resistance VerdictSignal state CoverageUpdate · Sources AI PDF
Nifty Auto ▼
23,56015%29,866
24,513
-2.5%
Weakening sector #11
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
15/150
FORMING
Weak Money Flow · 13
OBV↑MFI↑
A · Moderate
Real past decline — re-rating story
N/A
162.0% Fib ₹24,747 (+1.0%)
DZ +4.4%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Energy ▼
32,89031%41,829
35,649
-2.8%
Improving sector #8
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
16/150
FORMING
Weak Money Flow · 27
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
127.0% Fib ₹35,405 (-0.7%)
Darvas Box: ₹36,843 (tested 2×) – ₹39,119 (tested 2×)
DZ +7.5% SZ +6.9%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty FinServ ▼
23,37424%28,562
24,640
-1.1%
Improving sector #10
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
14/150
FORMING
Weak Money Flow · 16
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
89.0% Fib ₹24,604 (-0.1%)
IN DZ SZ +7.5%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty FMCG ▼
43,4423%57,445
43,898
-2.0%
Lagging sector #16
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
14/150
FORMING
Weak Money Flow · 4
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
89.0% Fib ₹43,768 (-0.3%)
SZ +5.5%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Infra ▼
8,4276%9,793
8,504
-2.6%
Lagging sector #18
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
16/150
FORMING
Weak Money Flow · 12
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
100.0% Fib ₹8,531 (+0.3%)
Darvas Box: ₹8,882 (tested 2×) – ₹9,573 (tested 2×)
IN DZ SZ +7.0%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty IT ▼
25,69914%40,301
27,737
-0.1%
Leading sector #5
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
18/150
FORMING
Weak Money Flow · 8
OBV↑MFI↑
A · Moderate
Real past decline — re-rating story
N/A
100.0% Fib ₹27,613 (-0.5%)
DZ +2.6% SZ +14.8%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Metal ▼
9,95248%13,931
11,870
-3.5%
Leading sector #6
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
9/150
FORMING
Mixed · 35
OBV↑MFI↑
A · Moderate
Real past decline — re-rating story
N/A
127.0% Fib ₹11,996 (+1.1%)
DZ +8.8% SZ +12.1%
RANGE
Range-bound
Evening Star
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Pharma ▼
21,15077%27,255
25,823
-2.3%
Leading sector #3
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
9/150
FORMING
Weak Money Flow · 32
OBV↑MFI↑
A · Moderate
Real past decline — re-rating story
N/A
127.0% Fib ₹25,661 (-0.6%)
Darvas Box: ₹25,855 (tested 3×) – ₹27,255 (tested 2×)
DZ +1.4% SZ +5.3%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Realty ▼
63947%974
797
-3.2%
Lagging sector #12
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
10/150
FORMING
Weak Money Flow · 16
OBV↑MFI↑
A · Moderate
Real past decline — re-rating story
N/A
100.0% Fib ₹806 (+1.1%)
Darvas Box: ₹806 (tested 2×) – ₹940 (tested 2×)
DZ +7.3% SZ +10.2%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Consumer Durables ▼
32,58836%40,965
35,613
-2.0%
Leading sector #4
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
18/150
FORMING
Weak Money Flow · 15
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
100.0% Fib ₹35,684 (+0.2%)
DZ +4.2% SZ +15.0%
RANGE
Range-bound
Bearish Marubozu
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty India Defence ▼
7,18562%10,067
8,961
-2.8%
Leading sector #1
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
14/150
FORMING
Weak Money Flow · 24
OBV↑MFI↑
—N/A
100.0% Fib ₹9,001 (+0.4%)
Darvas Box: ₹8,725 (tested 2×) – ₹10,067 (tested 2×)
DZ +2.6% SZ +6.3%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Healthcare ▲
13,53663%16,942
15,685
-2.3%
Weakening sector #15
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
10/150
FORMING
Mixed · 35
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
100.0% Fib ₹16,117 (+2.8%)
Darvas Box: ₹15,026 (tested 2×) – ₹16,942 (tested 2×)
DZ +4.2% SZ +7.8%
RANGE
Range-bound
Evening Star
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
Nifty Healthcare
15,684.65 −374.50 (-2.3%) 08-Oct-26
Sector: Weakening (15 of 18)
YTD +7.1%1Y +10.9%3Y +61.6%5Y +71.1%-7.4% from ATH
63% of 52-week range
13,536 (52W Low) 16,942 (52W High)
Stage
CONSOLIDATION RB RANGEINDEXphase: NONE NEUTRAL
Evidence
NONE Evidence 8✓/6✗
Pattern
Sqz↓ W↑ 52
Diagnostics
Trade & Risk
◯ UNANCHOREDNo panic-selling anchor — stage labels and BTZ G1 are structural estimates only.
Range-Bound — No Clear Setup·Consolidation in progress·No directional edge·Watch: a break above the range
◆ Trading Sideways — No Clear Edge Either Way · 63% of 52W range (4/6 indicators aligned)
Nifty Healthcare is trading sideways with no clear direction. It is 7% below its all-time high. No clear edge visible — Nifty Healthcare is trading in a neutral range, without confident signs of buying or selling pressure. Backdrop: consolidation.
Stage labels like this often change within weeks, so check back rather than relying on a single reading.. ⚠ Confirms above 16,903.65.
CONSOLIDATION
Neither accumulation nor distribution signals have crossed conviction thresholds (no clear directional edge — both sides below conviction thresholds). Wait for a breakout above resistance or breakdown below support to define the next move.
Recent Movement
Yesterday-2.3%
This week-2.8%
Past month-5.1% · vs Nifty +4% (3mo) · 52W range: 63%monthly trend bullish (updated slowly)
Stage checkSIDEWAYS RANGECES 10/150
✓ Monthly Trend (bullish): The monthly EMA-12 is above EMA-26 and close is above EMA-12 — macro institutional trend is up. Long-term structural tailwind in force. ✓ Monthly MACD (bullish): MACD histogram is positive on the monthly chart (hist=+61.133) — macro momentum is building upward. Institutional buying is accelerating at the macro level. ✓ Relative Strength (leading): Outperforming Nifty 50 by 22.9% over the past year — its RS vs Nifty is near a 1-year best (own-history percentile 97/100). Institutions are actively accumulating this stock; leaders recover faster and deeper than the broad market at turn-zone bottoms. ✗ Evening Star pattern on the weekly chart. ✗ Directed RC Breakdown: the 20-bar directed Range Classifier score crossed below the lower band (20th percentile) — price contraction is confirming bearish momentum. RC crossdowns frequently precede accelerated distribution phases.8✓ 6✗ — see full breakdown ↓
Market Alignment — No Active Setup
SUPPORTING 8
📊 Price & Structure
✓Relative Strength (leading): Outperforming Nifty 50 by 22.9% over the past year — its RS vs Nifty is near a 1-year best (own-history percentile 97/100). Institutions are actively accumulating this stock; leaders recover faster and deeper than the broad market at turn-zone bottoms.
✓Price testing prior swing low (15644, 0.3% below) — structural support
— Confirming indicators
〰 Momentum
✓Monthly MACD (bullish): MACD histogram is positive on the monthly chart (hist=+61.133) — macro momentum is building upward. Institutional buying is accelerating at the macro level.
✓Williams %R Oversold: -97 (below −80). Williams %R at extreme lower band confirms price is at the low end of its 14-bar range — secondary oscillator confirmation of oversold conditions alongside RSI and MACD.
✓Stochastic 17 — deeply oversold; confirms RSI bottom context
🌡 Regime
✓Hurst 0.44 — mean-reverting regime; bottom-fishing signals carry higher edge here
✓Weekly bullish (RSI 52)
🏛 Institutional
✓Monthly Trend (bullish): The monthly EMA-12 is above EMA-26 and close is above EMA-12 — macro institutional trend is up. Long-term structural tailwind in force.
CONTRADICTING / RISKS 6
RS: Bottom 36%▲ Evening Star (pattern)
📊 Price & Structure
✗Evening Star pattern on the weekly chart.
✗Market Structure: confirmed downtrend (LH+LL). ATR-adaptive swing analysis shows Lower Highs and Lower Lows — structural price trend is bearish, adding resistance to any rally.
📦 Volume & Flow
✗Fibonacci Resistance: nearest Fibonacci level is 2.8% above current price (at 16117). Price approaching a Fibonacci extension or retracement from below attracts institutional supply — the level acts as a distribution zone until broken with volume.
— Confirming indicators
〰 Momentum
✗Directed RC Breakdown: the 20-bar directed Range Classifier score crossed below the lower band (20th percentile) — price contraction is confirming bearish momentum. RC crossdowns frequently precede accelerated distribution phases.
✗TTM Squeeze firing ↓
🕯 Pattern
✗Weekly candle: Evening Star (bearish — sellers still in control)
Key watch: No clear directional thesis. Monitor for a panic-selling peak or false breakdown (bottom) or a buying frenzy peak / rally losing steam (top) to form a directional read. Macro backdrop: FII flows bearish over the last 4d (₹-27,458 Cr net); VIX 13.9 (normal).
Smart Money Footprint
PAST FALLS7% below its all-time high · deepest fall since 2021: 21% (2022)
Company-level money data (delivery, block deals, shareholding) does not exist for an index or commodity. Market-wide money flows (FII, options, VIX) are in the Macro backdrop line above.
Price & Critical Levels
Fibonacci Retracement
Below the base low — the pullback has broken below the swing's starting point
15,685
Base Low 16,117
Swing High 16,904
38.2%
50%
61.8%
38.2% SUPPORT
16,603
50% MIDPOINT
16,510
61.8% GOLDEN
16,417
DEMAND ZONE
15,026
-4.2%
15,140…15,026
SUPPLY ZONE
16,904
+7.8%
16,807…16,904
► CONFIRMATION LEVEL16,903.65 (+7.8%)
▼ BREAKDOWN TRIGGER15,025.95 (-4.2%)
SUPPLY ZONE
band 16,807…16,904
16,904+7.8%
DEMAND ZONE
band 15,140…15,026
15,026-4.2%
Structural reference levels from real chart history, not a guaranteed forecast — price can move well beyond, or reverse well before, reaching any of these.
Support, Resistance & EMAs
Key Levels — tested support & resistance
Type Level Distance Tests ⓘ Strength
Resistance16,904+7.8%05.0
Resistance16,942+8.0%14.0
Support15,026-4.2%13.1
Support13,551-13.6%15.0
Support13,536-13.7%02.5
ⓘ Tests = approach episodes counted from each zone's own formation date. A deeper zone formed earlier can have more tests than a shallower zone formed recently — this is expected.
EMA Trend Regime — ribbon & dynamic levels
ImmediateStrong Down
Mid-termDown
Long-termUp
EMALevelDistance
EMA 10 (immediate)16,162.1-3.0%
EMA 21 (immediate/mid)16,334.3-4.0%
EMA 63 (mid/long)16,334.4-4.0%
EMA 200 (long-term)15,655.5+0.2%
LOW CONFIDENCE
Hurst 0.44 (mean-reverting) · ADX 23 (weak/no trend) — both required above threshold for HIGH confidence
Darvas Box — 20wk range INSIDE BOX
Top: 16,942 (2× tested) Bottom: 15,026 (2× tested) Width: 12.7%
Price is trading inside the box (15,026 – 16,942). Watch: a confirmed close above the box top would validate a breakout; a close below the box bottom would invalidate the range.
Turn Zone & Institutional Quality Scores
Bottom Turn Zone
4/ 100—
W: COUNTER ↓
Top reasons
Monthly MACD has turned bullish
Stochastic is oversold and turning up
Volatility is unusually compressed versus its own recent history — energy is coiling for a move
Peak Turn Zone✓ Low = good
6 / 100 —
Top reasons
Monthly ADX confirms a strong uptrend is in force — top exhaustion is more likely from here
Volatility is compressed versus its own recent history
Coil Energy Score
10 / 150 —
FORMING
Top reasons
Volatility has stayed compressed for a sustained stretch, not just a single quiet day
The TTM Squeeze indicator has just fired — the compression is releasing, direction unclear yet
EMA Trend Regime
↔ Mixed
Mid: Down Long: Up
LOW CONFIDENCE
Technical Signals
EMA stack (10/21/63)Aligned bearish
vs EMA 200+0.2% above
RSI (daily)31
RSI (weekly)52
MACD (weekly)Bear cross
Monthly ADX23 — weak trend
Hurst exponent0.44 — mean-reverting
Weekly candleEvening Star
NEUTRAL Ranging / Sideways Trend NEUTRAL Mean-reverting (H=0.44) RSI 31
Evening Star: Three-candle top reversal: strong green, small indecision, then strong red. One of the most reliable bearish reversal signals.
Long-Term Compounding Case
A beaten-down business, but not yet at the depth where the framework's long-term turnaround case applies.
Long-Term Compounding — Full Detail
Past falls: 7% below its all-time high · deepest fall since 2021: 21% (2022)
Preconditions
Archetype
Historical Decline (Mild)
Currently Unloved
7% off ATH
Max Drawdown (vs Index)
-13%
Structural Tailwind
Not assessed
Only a mild prior decline: 13% peak-to-trough — not a real turnaround setup at this depth
Forward Case
Not shown for a stock in the “sideways range” pattern: returns from a weak-earnings period would make a forward-growth estimate misleading. Shown only for base forming, uptrend, pause in an uptrend.
Note: this framework cannot detect governance failures (auditor resignation, related-party concerns, delayed filings) — DHFL, Jet Airways, Reliance Capital and PC Jeweller all matched a "beaten-down, real business" profile and went to zero. Verify manually.
Nifty Services ▼
28,2336%34,550
28,624
-1.5%
Weakening sector #9
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
19/150
FORMING
Weak Money Flow · 10
OBV↑MFI↑
B-Compounder
No major past decline — quality compounder
N/A
100.0% Fib ₹28,620 (-0.0%)
DZ +1.4% SZ +19.1%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty 500 ▼
20,38633%24,144
21,616
-2.0%
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
17/150
FORMING
Weak Money Flow · 15
OBV↑MFI↑
B-Compounder
No major past decline — quality compounder
N/A
100.0% Fib ₹21,623 (+0.0%)
DZ +7.1% SZ +6.1%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Bank Nifty ▼
49,95539%61,765
54,515
-1.0%
Improving sector #14
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
12/150
FORMING
Weak Money Flow · 12
OBV↑MFI↑
A · Moderate
Real past decline — re-rating story
N/A
89.0% Fib ₹54,294 (-0.4%)
Darvas Box: ₹52,783 (tested 2×) – ₹58,706 (tested 2×)
DZ +1.3% SZ +7.5%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty 50 ▼
22,1801%26,373
22,232
-1.6%
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
20/150
FORMING
Weak Money Flow · 10
OBV↑MFI↑
A · Moderate
Real past decline — re-rating story
N/A
100.0% Fib ₹22,217 (-0.1%)
Darvas Box: ₹23,021 (tested 3×) – ₹24,774 (tested 2×)
IN DZ SZ +18.6%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Midcap 150 ▼
19,21847%23,648
21,312
-2.4%
Neutral
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
16/150
FORMING
Weak Money Flow · 23
OBV↑MFI↑
B-Compounder
No major past decline — quality compounder
N/A
100.0% Fib ₹21,375 (+0.3%)
DZ +8.9% SZ +7.6%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Nifty Smallcap 250 ▼
LT OPP
14,14376%18,551
17,488
-2.4%
LT Accumulation
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
13/150
FORMING
Weak Money Flow · 30
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
89.0% Fib ₹17,475 (-0.1%)
Darvas Box: ₹17,380 (tested 3×) – ₹18,551 (tested 2×)
DZ +0.6% SZ +5.3%
RANGE
Range-bound
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Crude Oil(Y) ▼
$55/bbl56%$119/bbl
$91/bbl
+2.4%
Neutral
⚡ HiVol 5%
Consolidation
Stopping the Decline — First signs of buying
RangeNo event
12/150
FORMING
Weak Money Flow · 32
OBV↑MFI↑
A · Severe
Deep past decline — re-rating story
N/A
79.0% Fib ₹91 (-0.1%)
DZ +26.5% SZ +17.1%
RANGE
Range-bound
3×Black Crows
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Gold(Y) ▼
$3,914/oz14%$5,586/oz
$4,155/oz
+0.5%
Watch Bottom
Watch · Possible Bottom
Stopping the Decline — First signs of buying
RangeNo event
33/150
BUILDING
Weak Money Flow · 27
OBV↑MFI↑
A · Mild
Shallow decline — weak turnaround signal
N/A
127.0% Fib ₹4,142 (-0.3%)
DZ +3.3% SZ +14.4%
BUILDING
Evidence fading
↓ SLOWING
08-Oct-26
Price
Deliv
FII
Shp
Fund
DQ 40 · Cov 10/20
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Data gets refreshed next day around 5–7 AM. Telegram
SymbolName · Range · Price Turn Zone SignalWatch Bottom · Top Zone · Neutral StageVerdict · Phase · Track CESCoil Energy Smart MoneyIQ · delivery · ATS Long-Term CaseArchetype · Decline ValuationScore Fib / S·RNear support or resistance VerdictSignal state CoverageUpdate · Sources AI PDF
Data gets refreshed next day around 5–7 AM. Telegram
SymbolName · Range · Price Turn Zone SignalWatch Bottom · Top Zone · Neutral StageVerdict · Phase · Track CESCoil Energy Smart MoneyIQ · delivery · ATS Long-Term CaseArchetype · Decline ValuationScore Fib / S·RNear support or resistance VerdictSignal state CoverageUpdate · Sources AI PDF
Data gets refreshed next day around 5–7 AM. Telegram
SymbolName · Range · Price Turn Zone SignalWatch Bottom · Top Zone · Neutral StageVerdict · Phase · Track CESCoil Energy Smart MoneyIQ · delivery · ATS Long-Term CaseArchetype · Decline ValuationScore Fib / S·RNear support or resistance VerdictSignal state CoverageUpdate · Sources AI PDF