Parameter Data Data
Asset Name Silver (SILVER1!) MCX Mar 2026 Futures
Current Trade 🟨 WAIT & WATCH / Buy on Dips (Wait for a clear bounce near S1)
Price Movement 🟨 Consolidation/Slightly Bearish (-0.29% approx. from previous close)
SMC Structure 🟩 Strong Bullish Order Flow / High-level consolidation phase.
Trap/Liquidity Zones Bullish Trap Zone: Above ₹1,84,400 (Falsi breakout possibility). Liquidity Target: ₹1,80,600 - ₹1,80,000 (Strong demand zone).
Supports 🟩 S1: ₹1,80,647 (Immediate Pivot/Demand) 🟩 S2: ₹1,78,942 (Key Technical Support) 🟩 S3: ₹1,76,894 (Major Structural Support/20 DEMA)
Resistances 🟥 R1: ₹1,84,400 (Immediate Resistance/Supply) 🟥 R2: ₹1,86,448 (Strong Supply Zone) 🟥 R3: ₹1,88,153 (Major High/Target)
Risk Reward 1 : 1.5 [ Breakout above ₹1,84,400 & Breakdown below ₹1,80,600]
Probability 🟨 58% Upside Continuation (Trend is strong, but correction due)
Confidence 🟨 22/30 (High structural conviction, low short-term momentum conviction)
Max Pain 🟨 N/A (Minimal relevance for commodity futures)
DEMA Levels 🟩 Price well above 20/50 DEMA (Strong long-term bullish trend)
ADX/RSI/DMI 🟨 RSI (14) \approx 70-73 range (Overbought/High Momentum) / ADX \approx 32 (Strong Trend)
Market Depth 🟩 Slightly Bullish (Low volume selling, quick absorption expected at supports)
Volatility (IV/RV) 🟥 High/Rising Volatility (Sharp, two-sided moves expected)
Source Ledger MCX, COMEX, Industrial Demand Data, COT Positioning
OI (Open Interest) 🟨 Flat/Minor Contraction (Short-covering ke baad, fresh long buildup ka intezaar hai)
PCR (Put-Call Ratio) 🟩 Favorable/Bullish (Options data lower support levels par strong buying dikha raha hai)
VWAP 🟩 Price trading above daily VWAP (Intraday bias positive)
Turnover 🟨 Moderate (Highs par volume kam hai)
Harmonic Pattern 🟨 N/A (Strong trending market)
IV/RV 🟨 IV Skew: Neutral (Options market mein koi extreme panic nahi)
Options Skew 🟨 Neutral-to-Positive (Call-side option demand hai)
Vanna/Charm 🟨 N/A (Advanced Options Greek Data)
Block Trades 🟩 Institutional Buys Detected (Lower levels par buying interest high)
COT Positioning 🟩 Net Long (Speculators heavily net long)
Cross-Asset Correlation 🟩 Strong Positive with XAUUSD / 🟥 Strong Inverse with DXY
ETF Rotation 🟩 Strong Inflows (Global Silver ETF inflows strong hain)
Sentiment Index 🟩 Greed (Bullish sentiment market mein haavi hai)
OFI (Order Flow Index) 🟩 Positive (Buy-side flow active hai, lekin profit booking bhi)
Delta 🟩 Call Delta Active (Upside momentum ka indication)
VWAP Bands 🟨 Price VWAP bands ke upper side par trade kar raha hai
Rotation Metrics 🟩 Commodity/Metals leading the rotation
Market Phase 🟩 Mark-Up/Consolidation (Bullish phase mein temporary correction)
Asset Name Silver (SILVER1!) MCX Mar 2026 Futures
Current Trade 🟨 WAIT & WATCH / Buy on Dips (Wait for a clear bounce near S1)
Price Movement 🟨 Consolidation/Slightly Bearish (-0.29% approx. from previous close)
SMC Structure 🟩 Strong Bullish Order Flow / High-level consolidation phase.
Trap/Liquidity Zones Bullish Trap Zone: Above ₹1,84,400 (Falsi breakout possibility). Liquidity Target: ₹1,80,600 - ₹1,80,000 (Strong demand zone).
Supports 🟩 S1: ₹1,80,647 (Immediate Pivot/Demand) 🟩 S2: ₹1,78,942 (Key Technical Support) 🟩 S3: ₹1,76,894 (Major Structural Support/20 DEMA)
Resistances 🟥 R1: ₹1,84,400 (Immediate Resistance/Supply) 🟥 R2: ₹1,86,448 (Strong Supply Zone) 🟥 R3: ₹1,88,153 (Major High/Target)
Risk Reward 1 : 1.5 [ Breakout above ₹1,84,400 & Breakdown below ₹1,80,600]
Probability 🟨 58% Upside Continuation (Trend is strong, but correction due)
Confidence 🟨 22/30 (High structural conviction, low short-term momentum conviction)
Max Pain 🟨 N/A (Minimal relevance for commodity futures)
DEMA Levels 🟩 Price well above 20/50 DEMA (Strong long-term bullish trend)
ADX/RSI/DMI 🟨 RSI (14) \approx 70-73 range (Overbought/High Momentum) / ADX \approx 32 (Strong Trend)
Market Depth 🟩 Slightly Bullish (Low volume selling, quick absorption expected at supports)
Volatility (IV/RV) 🟥 High/Rising Volatility (Sharp, two-sided moves expected)
Source Ledger MCX, COMEX, Industrial Demand Data, COT Positioning
OI (Open Interest) 🟨 Flat/Minor Contraction (Short-covering ke baad, fresh long buildup ka intezaar hai)
PCR (Put-Call Ratio) 🟩 Favorable/Bullish (Options data lower support levels par strong buying dikha raha hai)
VWAP 🟩 Price trading above daily VWAP (Intraday bias positive)
Turnover 🟨 Moderate (Highs par volume kam hai)
Harmonic Pattern 🟨 N/A (Strong trending market)
IV/RV 🟨 IV Skew: Neutral (Options market mein koi extreme panic nahi)
Options Skew 🟨 Neutral-to-Positive (Call-side option demand hai)
Vanna/Charm 🟨 N/A (Advanced Options Greek Data)
Block Trades 🟩 Institutional Buys Detected (Lower levels par buying interest high)
COT Positioning 🟩 Net Long (Speculators heavily net long)
Cross-Asset Correlation 🟩 Strong Positive with XAUUSD / 🟥 Strong Inverse with DXY
ETF Rotation 🟩 Strong Inflows (Global Silver ETF inflows strong hain)
Sentiment Index 🟩 Greed (Bullish sentiment market mein haavi hai)
OFI (Order Flow Index) 🟩 Positive (Buy-side flow active hai, lekin profit booking bhi)
Delta 🟩 Call Delta Active (Upside momentum ka indication)
VWAP Bands 🟨 Price VWAP bands ke upper side par trade kar raha hai
Rotation Metrics 🟩 Commodity/Metals leading the rotation
Market Phase 🟩 Mark-Up/Consolidation (Bullish phase mein temporary correction)
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Declinazione di responsabilità
Le informazioni e le pubblicazioni non sono intese come, e non costituiscono, consulenza o raccomandazioni finanziarie, di investimento, di trading o di altro tipo fornite o approvate da TradingView. Per ulteriori informazioni, consultare i Termini di utilizzo.
