🔎 Nifty Market Structure Analysis
📍 Higher Timeframe (4H)
Trend Context: Price recently rejected from 25,200 supply and has been correcting lower.
Support Zone: 24,850 – 24,900 (immediate structure demand).
Resistance Zone: 25,150 – 25,200 (strong supply zone).
Bias: Currently testing demand after a sharp pullback. A 4H close below 24,850 will weaken bullish structure.
📍 Medium Timeframe (1H)
Structure: Clear lower highs from 25,200 with price consolidating at 24,850.
Support: 24,850 zone holding multiple times – if broken, momentum sellers will step in.
Resistance: 25,000 (psychological) and then 25,150.
Bias: Range-bound between 24,850 – 25,000. Breakout/breakdown will decide next leg.
📍 Lower Timeframe (15M)
Structure: Demand wicks visible at 24,850 but no strong reversal yet.
Short-term OB: Around 24,880 – 24,900, acting as intraday pivot.
Bias: Watching 24,850 carefully – bounce = scalp long, break = fast downside move.
📌 Trading Plan for 25th August
🔼 Long Setup (If 24,850 Holds)
Entry: On bullish rejection from 24,850 – 24,880 zone.
Targets:
T1: 24,950
T2: 25,050
T3: 25,150 (liquidity sweep).
Stop-loss: Below 24,820.
🔻 Short Setup (If Breakdown Happens)
Entry: On 15M/1H close below 24,850.
Targets:
T1: 24,750
T2: 24,650
T3: 24,400 (major demand zone).
Stop-loss: Above 24,920.
✅ Summary
Key Support: 24,850 (line in the sand).
Key Resistance: 25,000 → 25,150.
Bias: Bullish-to-Neutral unless 24,850 breaks strongly.
Gameplan: Simple – Buy the bounce from 24,850 OR sell the breakdown below it.
📍 Higher Timeframe (4H)
Trend Context: Price recently rejected from 25,200 supply and has been correcting lower.
Support Zone: 24,850 – 24,900 (immediate structure demand).
Resistance Zone: 25,150 – 25,200 (strong supply zone).
Bias: Currently testing demand after a sharp pullback. A 4H close below 24,850 will weaken bullish structure.
📍 Medium Timeframe (1H)
Structure: Clear lower highs from 25,200 with price consolidating at 24,850.
Support: 24,850 zone holding multiple times – if broken, momentum sellers will step in.
Resistance: 25,000 (psychological) and then 25,150.
Bias: Range-bound between 24,850 – 25,000. Breakout/breakdown will decide next leg.
📍 Lower Timeframe (15M)
Structure: Demand wicks visible at 24,850 but no strong reversal yet.
Short-term OB: Around 24,880 – 24,900, acting as intraday pivot.
Bias: Watching 24,850 carefully – bounce = scalp long, break = fast downside move.
📌 Trading Plan for 25th August
🔼 Long Setup (If 24,850 Holds)
Entry: On bullish rejection from 24,850 – 24,880 zone.
Targets:
T1: 24,950
T2: 25,050
T3: 25,150 (liquidity sweep).
Stop-loss: Below 24,820.
🔻 Short Setup (If Breakdown Happens)
Entry: On 15M/1H close below 24,850.
Targets:
T1: 24,750
T2: 24,650
T3: 24,400 (major demand zone).
Stop-loss: Above 24,920.
✅ Summary
Key Support: 24,850 (line in the sand).
Key Resistance: 25,000 → 25,150.
Bias: Bullish-to-Neutral unless 24,850 breaks strongly.
Gameplan: Simple – Buy the bounce from 24,850 OR sell the breakdown below it.
Clause de non-responsabilité
Les informations et les publications ne sont pas destinées à être, et ne constituent pas, des conseils ou des recommandations en matière de finance, d'investissement, de trading ou d'autres types de conseils fournis ou approuvés par TradingView. Pour en savoir plus, consultez les Conditions d'utilisation.
Clause de non-responsabilité
Les informations et les publications ne sont pas destinées à être, et ne constituent pas, des conseils ou des recommandations en matière de finance, d'investissement, de trading ou d'autres types de conseils fournis ou approuvés par TradingView. Pour en savoir plus, consultez les Conditions d'utilisation.