BAJAJ FINSERV – SELL CALL | Equity + F&O Strategy

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📉 BAJAJ FINSERV – SELL CALL | Equity + F&O Strategy🔥

SELL @ CMP: 2162
🎯 Targets:
• TP1 → 2140
• TP2 → 2120
⛔ Stop-Loss → 2188

Trade Type: Short-Term Positional / Intraday



📌 Technical Outlook

BAJAJ FINSV is showing bearish momentum after a failed breakout attempt near 2185–2195 zone.

Bearish confirmations:

✅ Price rejection from supply zone
✅ Lower-high structure forming — trend weakening
✅ Volume supported sell pressure on recent candles
✅ Banking & Financial sector sentiment soft → adds weight to downside

Break below 2140 likely to accelerate toward 2120 zone.



🔥 F&O View – Derivative Play

Index: F&O
Strategy: Short Futures OR Buy Put Options
Suggested contracts:
• 2150 PE / 2120 PE (weekly for faster move)
• Partial booking near 2140 is ideal ✅

Open Interest indicates short build-up, signaling smart money expectation of further decline.



⚠️ Risk Management
• Keep the SL strictly above 2188
• Book profits in parts if volatility expands
• Avoid chasing after a big drop — plan your entry



✅ Call to Action

If you like clear levels with price action logic —
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Comment “DONE ✅” after entering the trade!

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