⚡ SIGNAL SUMMARY
30-Apr-2026 03:15 IST
OI Signal△ BullishPut Build-up Dominant
FII / DII◯ MIXED / NEUTRALFII -1,866 / DII +690
Technical↔ SidewaysScore +0 / 6 signals
Strategy△ Mild BullScore +2 / 5 factors
PCR 0.85Bearish (<0.9)
Overall Verdict
NEUTRAL
📊
Change in Open Interest
Today's Direction Analysis
ATM ±10
Market Direction
Bullish
Put Build-up Dominant
Call OI Δ
+147,291
Put OI Δ
+227,737
Net OI Δ
-80,446
📖
Call OI +
Writers selling calls
Bearish
|
Call OI −
Unwinding
Bullish
|
Put OI +
Writers selling puts
Bullish
|
Net OI
+ = Bullish
− = Bearish
|
Bull % + Bear %
= 100% · relative dominance
📊 KEY LEVELS
| ▼ Strong Support | ₹23,975 |
| ▼ Support (S1) | ₹24,150 |
| ▶ NOW | ₹24,178 |
| 🎯 Max Pain | ₹24,200 |
| ▲ Resistance (R1) | ₹24,250 |
| ▲ Strong Resistance | ₹24,325 |
📍 To Resistance
+72 pts
📍 To Support
−27 pts
📌 OPTION CHAIN & PIVOT POINTS
🏮 FII / DII INSTITUTIONAL FLOW
● LIVE
Last 10 Trading Days · Apr 15 – Apr 28
FII
Sellers
-1,866 Cr/day avg
DII
Buyers
+690 Cr/day avg
15
+97
16
-3.0k
17
-4.0k
20
+1.9k
21
+302
22
-3.1k
23
-2.3k
24
-4.1k
27
+3.0k
28
-392
FII 10D Avg
-1,866
₹ Cr / day
DII 10D Avg
+690
₹ Cr / day
Net Combined
-1,176
₹ Cr / day
📊 10-DAY INSIGHT & DIRECTION
⚖️ MIXED / NEUTRAL
FII selling (avg ₹-1866 Cr/day) is partly offset by DII buying (avg ₹+690 Cr/day). Watch for 3+ consecutive days of FII buying for trend confirmation. Net combined flow: ₹-1176 Cr/day.
🧭 MARKET DIRECTION (Algorithmic)
Scoring Logic
BULLISH Diff ≥ +3
BEARISH Diff ≤ −3
SIDEWAYS −2 to +2
CONF HIGH ≥ 4 gap · OI: ATM ±10 only
🔍 TECHNICAL INDICATORS
RSI 1453.4Neutral
SMA 20₹23,796Above
SMA 50₹24,174Above
SMA 200₹25,105Below
MACD84Bullish
PCR0.849Bearish
🎯 OPTION CHAIN ANALYSIS (ATM ±10 Strikes Only)
Disclaimer|For EDUCATIONAL purposes only — NOT financial advice.|Always use stop losses & consult a SEBI registered advisor.|Past performance does not guarantee future results.
🟩 NIFTY 50 HEATMAP
Stock data as of: 30-Apr-2026 03:15 IST
⟳ OI chart auto-refreshes · Stock tiles update on script re-run
22
ADVANCE
11
DECLINE
17
NEUTRAL
50
STOCKS
MARKET BREADTH
Advancing
22
Declining
11
Neutral
17
COLOR SCALE
⚖️ HIGH WEIGHTAGE MOVERS
| SYMBOL | PREV CLOSE | PRICE | % CHG |
|---|---|---|---|
| RELIANCE | ₹1,388.90 | ₹1,425.40 | +2.63% |
| HDFCBANK | ₹782.55 | ₹779.00 | -0.45% |
| ICICIBANK | ₹1,292.00 | ₹1,281.00 | -0.85% |
| INFY | ₹1,152.10 | ₹1,167.50 | +1.34% |
| TCS | ₹0.00 | ₹0.00 | +0.00% |
| BHARTIARTL | ₹1,843.80 | ₹1,888.10 | +2.40% |
| LT | ₹0.00 | ₹0.00 | +0.00% |
| AXISBANK | ₹1,289.00 | ₹1,296.40 | +0.57% |
| KOTAKBANK | ₹0.00 | ₹0.00 | +0.00% |
| SBIN | ₹1,091.30 | ₹1,086.90 | -0.40% |
⚡ INTRADAY OI CHANGE
PCR: —
Call OI Change
Put OI Change
📊 INTRADAY OI TREND
AUTO-LOGGED EVERY RUN · IST
Source:
oi_log.json
LIVE · IST · Auto-refresh 30s
Last fetch: —
Latest PCR
—
Net OI Diff
—
Spot Price
—
OI Signal
—
LATEST DIFF
—
PE Δ − CE Δ
SESSION HIGH
—
Most bullish
SESSION LOW
—
Most bearish
TREND SIGNAL
—
Calculating...
SIGNAL HISTORY
NET OI DIFF (PE Δ − CE Δ) — INTRADAY SPARKLINE
Bullish Zone
Bearish Zone
Zero Line
NIFTY Live
TIME
PCR
Δ
VWAP
STK
LEVEL
RSI
CONF
VIEW
↔ Scroll to see all columns
| TIME (IST) | CALL OI Δ | PUT OI Δ | DIFF | PCR | OPTION SIGNAL | SPOT PRICE | SPOT Δ | NIFTY MOVE % | STREAK | NEAREST LEVEL | DISTANCE | RSI 15M | EMA 5/13 | VWAP | CONFLUENCE |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| ⌛ Loading oi_log.json… | |||||||||||||||
📖 HOW TO READ THIS TABLE
Call OI + Writers adding calls → Bearish pressure
Put OI + Writers adding puts → Bullish support
DIFF = PE Δ − CE Δ · +ve = Bullish −ve = Bearish
3/5/15 Min · 1 Hr filters raw rows or aggregates into time slots
SPOT Δ Price change since previous snapshot · ▲ up ▼ down → flat
NIFTY MOVE % % change from previous day close · ▲ green = up ▼ red = down → flat = ±0.1%
STREAK Consecutive snapshots with same signal · ×1 = just flipped · ×5+ = strong trend
RSI 15M 14-period RSI on 15-min candles · <30 = Oversold (OS) BUY zone >70 = Overbought (OB) SELL zone · 55+ = mild bull 45− = mild bear
EMA 5/13 15-min EMA crossover · ▲ BUY = EMA5 > EMA13 (uptrend) ▼ SELL = EMA5 < EMA13 (downtrend) · Gap = distance between EMAs (bigger = stronger trend)
VWAP Volume Weighted Avg Price · ▲ Above = Bullish bias ▼ Below = Bearish bias
CONFLUENCE Counts 5 signals (PCR, OI, VWAP, RSI, EMA) · 4-5/5 = STRONG 3/5 = Moderate <3 = WEAK — avoid trade
⚠ NOISY Signals at 9:15–9:20 and 3:25–3:30 are unreliable — opening/closing auction noise
Timestamps All times shown in IST (Asia/Kolkata)
WEEKLY OUTLOOK
Projected Support & Resistance
Confluence-based levels from Pivots · Fibonacci · ATR · VIX · OI Walls · SMA
₹24,177
SPOT PRICE
±681
ATR WEEKLY
±585
VIX RANGE
₹24,601
PREV WK HIGH
₹23,813
PREV WK LOW
304
ATR-14 DAILY
WEEKLY SCENARIO PROJECTIONS
📈 BULLISH SCENARIO
Target 1
₹24,250
WEAK OI Resistance
Target 2
₹24,328
MODERATE Strong OI ResCam R4
📉 BEARISH SCENARIO
Target 1
₹24,031
WEAK Fib 23.6%
Target 2
₹23,988
MODERATE Strong OI SupPE Wall (Max OI)
↔️ SIDEWAYS RANGE
Range High
₹24,763
MODERATE VIX/ATR implied upper bound
Range Low
₹23,593
MODERATE VIX/ATR implied lower bound
CONFLUENCE MAP
Each dot = a clustered level. Larger & brighter = more confluences.
● Support
● Resistance
● Current Price
₹23,593₹24,763
WEEKLY PIVOT POINTS
| Level | Price | Distance from Spot |
|---|---|---|
| R3 | ₹25,183 | ▲ 1005 pts (4.16%) |
| R2 | ₹24,892 | ▲ 714 pts (2.95%) |
| R1 | ₹24,395 | ▲ 217 pts (0.90%) |
| PP (Pivot) | ₹24,104 | ▼ 74 pts (0.30%) |
| S1 | ₹23,607 | ▼ 571 pts (2.36%) |
| S2 | ₹23,316 | ▼ 862 pts (3.56%) |
| S3 | ₹22,819 | ▼ 1359 pts (5.62%) |
| Level | Price | Distance from Spot |
|---|---|---|
| R3 | ₹24,892 | ▲ 714 pts (2.95%) |
| R2 | ₹24,591 | ▲ 413 pts (1.71%) |
| R1 | ₹24,405 | ▲ 227 pts (0.94%) |
| PP (Pivot) | ₹24,104 | ▼ 74 pts (0.30%) |
| S1 | ₹23,803 | ▼ 375 pts (1.55%) |
| S2 | ₹23,617 | ▼ 561 pts (2.32%) |
| S3 | ₹23,316 | ▼ 862 pts (3.56%) |
| Level | Price | Distance from Spot |
|---|---|---|
| R4 | ₹24,331 | ▲ 153 pts (0.63%) |
| R3 | ₹24,115 | ▼ 63 pts (0.26%) |
| R2 | ₹24,042 | ▼ 136 pts (0.56%) |
| R1 | ₹23,970 | ▼ 208 pts (0.86%) |
| PP (Pivot) | ₹24,104 | ▼ 74 pts (0.30%) |
| S1 | ₹23,826 | ▼ 352 pts (1.45%) |
| S2 | ₹23,753 | ▼ 425 pts (1.76%) |
| S3 | ₹23,681 | ▼ 497 pts (2.05%) |
| S4 | ₹23,465 | ▼ 713 pts (2.95%) |
FIBONACCI RETRACEMENT (20-DAY SWING)
Swing High: ₹24,602 ·
Swing Low: ₹22,183
| Level | Price | Distance from Spot |
|---|---|---|
| 23.6% | ₹24,031 | ▼ 147 pts (0.61%) |
| 38.2% | ₹23,678 | ▼ 500 pts (2.07%) |
| 50.0% | ₹23,392 | ▼ 786 pts (3.25%) |
| 61.8% | ₹23,107 | ▼ 1071 pts (4.43%) |
| 78.6% | ₹22,700 | ▼ 1478 pts (6.11%) |
LEVEL CONFLUENCE CLUSTERS
Levels within 50 pts are grouped. More confluences = stronger zone.
| Zone | Price | Strength | Confluences |
|---|---|---|---|
| Resistance | ₹24,250 | WEAK | OI Resistance |
| Resistance | ₹24,328 | MODERATE | Strong OI ResCam R4 |
| Resistance | ₹24,400 | MODERATE | Pivot R1Fib Pivot R1 |
| Resistance | ₹24,500 | WEAK | CE Wall (Max OI) |
| Resistance | ₹24,591 | WEAK | Fib Pivot R2 |
| ▶ CURRENT | ₹24,177 | ||
| Support | ₹24,031 | WEAK | Fib 23.6% |
| Support | ₹23,988 | MODERATE | Strong OI SupPE Wall (Max OI) |
| Support | ₹23,800 | MODERATE | SMA 20Fib Pivot S1 |
| Support | ₹23,680 | MODERATE | Fib 38.2%Cam S3 |
| Support | ₹23,606 | STRONG | VIX LowerPivot S1Fib Pivot S2 |
HOW TO READ THIS TAB
Scenario Cards: If the bias is BUY → check Bullish targets. SELL → check Bearish targets. SIDEWAYS → expect price to stay within the neutral range.
Confluence Map: Larger, brighter dots = zones where 3+ independent methods agree (e.g., Pivot R1 + Fibonacci 38.2% + OI Wall all near the same price). These are the highest-conviction levels.
STRONG Zones: 3+ confluences — price is very likely to stall here. MODERATE: 2 confluences. WEAK: single indicator only.
Pivot Types: Classic is the most widely used. Fibonacci adds golden-ratio precision. Camarilla is best for intraday reversal points.
Weekly Range (ATR/VIX): The market is expected to move within ± this many points from the current price over the week. If price hits this boundary, expect a slowdown.
Confluence Map: Larger, brighter dots = zones where 3+ independent methods agree (e.g., Pivot R1 + Fibonacci 38.2% + OI Wall all near the same price). These are the highest-conviction levels.
STRONG Zones: 3+ confluences — price is very likely to stall here. MODERATE: 2 confluences. WEAK: single indicator only.
Pivot Types: Classic is the most widely used. Fibonacci adds golden-ratio precision. Camarilla is best for intraday reversal points.
Weekly Range (ATR/VIX): The market is expected to move within ± this many points from the current price over the week. If price hits this boundary, expect a slowdown.
PCR (OI Ratio) AUTO
-1
0.849
PCR 0.849 → below 0.9 — excess call writing, bearish sentiment
RSI (14-Day) AUTO
0
53.4
RSI 53.4 → 40–60 zone — neutral, no overbought/oversold signal
MACD Signal AUTO
+1
Bullish Crossover
MACD crossed above signal line — bullish momentum
Market Trend (SMAs) AUTO
+1
Uptrend
Price above majority of SMAs — uptrend intact
OI Direction AUTO
+1
Bullish OI
Net OI change is bullish — put build-up / call unwinding dominant
Global Market Bias AUTO
0
Neutral
Global indices mixed — no directional edge
India VIX AUTO
0
17.4 (falling)
VIX 17.4 elevated — stable watch zone
🎯 SUGGESTED STRATEGY TYPES
For study & backtesting only — NOT financial advice
IV View: NORMAL
· Bias: MILDLY BULLISH
· 7 strategies found
PRIMARY
4
SECONDARY
3
ADVANCED
0
ATM: ₹24,200 · CE Wall: ₹24,500 · PE Wall: ₹24,000
01
Bull Call Spread
🎯 BUY 24200CE + SELL 24500CE (call wall)
›
STRATEGY TYPE
Debit / Credit
Directional
RISK : REWARD
1 : 1.00
⚠ Acceptable
RANK
PRIMARY
#01 of 7
🎯 Strike Rec: BUY 24200CE + SELL 24500CE (call wall)
02
Bull Put Spread
🎯 SELL 24150PE + BUY 24000PE (put wall hedge)
›
STRATEGY TYPE
Debit / Credit
Directional
RISK : REWARD
1 : 1.00
⚠ Acceptable
RANK
PRIMARY
#02 of 7
🎯 Strike Rec: SELL 24150PE + BUY 24000PE (put wall hedge)
03
Jade Lizard
🎯 SELL 24250CE + SELL 24150/24100PE spread
›
STRATEGY TYPE
Debit / Credit
Directional
RISK : REWARD
1 : 0.43
✕ Poor
RANK
PRIMARY
#03 of 7
🎯 Strike Rec: SELL 24250CE + SELL 24150/24100PE spread
04
The Wheel Strategy (CSP + Covered Call)
🎯 SELL 24000PE (cash-secured); on assignment SELL 24500CE
›
STRATEGY TYPE
Debit / Credit
Directional
RISK : REWARD
1 : 0.33
✕ Poor
RANK
PRIMARY
#04 of 7
🎯 Strike Rec: SELL 24000PE (cash-secured); on assignment SELL 24500CE
05
Call Ratio Spread
🎯 BUY 1× 24200CE + SELL 2× 24250CE
›
STRATEGY TYPE
Multi-leg
Experienced
RISK : REWARD
1 : 1.60
⚠ Acceptable
RANK
SECONDARY
#05 of 7
🎯 Strike Rec: BUY 1× 24200CE + SELL 2× 24250CE
06
Put Ratio Spread
🎯 BUY 1× 24200PE + SELL 2× 24150PE
›
STRATEGY TYPE
Multi-leg
Experienced
RISK : REWARD
1 : 1.60
⚠ Acceptable
RANK
SECONDARY
#06 of 7
🎯 Strike Rec: BUY 1× 24200PE + SELL 2× 24150PE
07
Christmas Tree Spread
🎯 BUY 24200PE + SELL 24150PE + SELL 24050PE (step-down strikes)
›
STRATEGY TYPE
Multi-leg
Experienced
RISK : REWARD
1 : 1.56
⚠ Acceptable
RANK
SECONDARY
#07 of 7
🎯 Strike Rec: BUY 24200PE + SELL 24150PE + SELL 24050PE (step-down strikes)
📋 TRADE PLAN — AUTO FILLED
Click any strategy card above to update this plan
PROFIT EXIT
₹24,250
Target 1 · 72 pts from spot
₹24,150
Target 2 (CE/PE wall)
💡 Take 50–60% profits at Target 1. Let the rest run to Target 2.
STOP LOSS EXIT
~₹24,057 (0.5% below spot)
Hard stop · 120 pts from spot
💡 Exit immediately when hit — no averaging down. Max 2% of capital at risk per trade.
TIME EXIT
40% DTE Rule
Exit if target not reached by 40% of expiry elapsed
💡 Theta decay accelerates after 40% DTE. A stalled trade is a losing trade — exit and preserve capital.
📚 SCORING LEGEND
HOW THE SCORE WORKS
+1 Signal is bullish — adds to bull case
−1 Signal is bearish — adds to bear case
0 Neutral signal — no directional contribution
N/A Data not available — excluded from score
≥ +3 Strongly Bullish · +1/+2 Mildly Bullish
≤ −3 Strongly Bearish · −1/−2 Mildly Bearish
AUTO Filled from live NSE + yfinance data
MANUAL Requires your input — shown as N/A if not set
Disclaimer
|
This checklist is for EDUCATIONAL purposes only — NOT financial advice.
|
Strategy suggestions are rules-based & have not been backtested.
|
Always validate with your own analysis & consult a SEBI-registered advisor.
✅ PRE-TRADE CHECKLIST
23 rules · Click to check / uncheck
CHECKLIST PROGRESS
0 / 23 checked
Complete the checklist before entering any trade.
⚙ Core Rules
Is R:R ratio ≥ 1.5? If not, skip this trade.
Is current price too close to resistance (bearish) or support (bullish)? If yes, wait.
Have I written down all 3 exit conditions above?
Am I risking ≤ 2% of total capital on this trade?
Is there a major event (RBI, earnings, expiry) before my time exit?
If halfway to target and stalled — take 50% profits and reassess.
🌐 Market Context
Is the broader market (Nifty/Sensex) trending in my trade direction?
Am I trading with the primary trend on the higher timeframe?
Is this a low-volume / holiday session? If yes, avoid or reduce size.
🎯 Setup Quality
Is there a clear confluence — volume, breakout, or pattern confirmation?
Have I waited for candle close confirmation — not just a wick touch?
Is this an A-grade setup, or am I forcing a trade out of FOMO?
⏱ Timing
Am I avoiding the first 15 minutes of market open?
Is there less than 1 hour left in the session? If yes, reduce size or avoid.
🧠 Psychology & Discipline
Have I already taken 2+ losses today? If yes — STOP trading.
Am I trading to recover a loss? Revenge trading check.
Am I in the right mental state — calm, not anxious or overconfident?
📐 Position & Execution
Is my position size pre-calculated before entry?
Will I place my stop-loss order immediately after entry?
Is my target based on structure — not wishful thinking?
📊 Options-Specific
Is IV (Implied Volatility) too high to buy options profitably?
Is theta (time decay) working for or against me?
Am I close to expiry with insufficient time for the move to play out?
TRADING MINDSET REMINDER
A loss that follows your rules is not a failure.
A loss without rules is. ·
Your job is not to be right — it is to manage risk.
· No setup = No trade.
Disclaimer
|
For EDUCATIONAL purposes only — NOT financial advice.
|
Always consult a SEBI-registered advisor before trading.