My expansion 90% bullish. Target 700. but completely consolidated 600 to 700 both (±20 points including )
But 10% bearish... This is my market prediction
My trade plan. morning 50+ points cap up opening in nifty, im Call side not big focus. (Reason :consolidated) But down opening im focus 560 to 580range, focus call side trade with manage risk... Target 700.
Next PUT side 10% only Chance. but Target high. Expiry chance also high... so 580 bellow close and sustain, im take low premium PE trade and full holding.
Down side Target 22300 to 260.... Posible 22100.