🌅 MORNING-RAGA

Pre-Market Intelligence & Daily Strategy Blueprint • Generated: Wednesday, 02 Sep 2026 • 08:37 AM IST
⚡ TRADER'S MORNING QUICK TAKE BEARISH / SHORT BIAS 🔴

Opening Setup: Early cues from GIFT Nifty (24,010, -0.17%) vs Nifty Current-Month Futures (24,090) indicate an implied opening gap of -80 pts (-0.33% • GAP-DOWN 🔴), projecting an implied spot open around 23,976 (Prev Spot: 24,056). Global cues point to a neutral / balanced setup, with Brent and US yields setting the early macro tone. FII index futures positioning stands at extremely bearish (heavy short positioning) (Long: 9.1% | Ratio: 0.1 | Net OI: -2.22L, -12,717 1D; Options Net: -8.81L vs Client Retail: +10.19L), with FIIs netting +1,143.38 Cr against DII support of +1,846.94 Cr. Nifty derivative positioning shows key Call resistance at 24,200 and Put support at 23,500 with ATM PCR at 0.7.

Tactical Plan: Watch opening price action around Nifty Pivot P (24,050.50). Sustaining above 24,050.50 favors testing R1 (24,148.45), while rejection opens a retest of S1 (23,957.85). In sector rotation, Nifty Realty, Nifty India Internet maintain leading relative strength for long setups, while lagging sectors should be prioritized for short/hedging opportunities.

🌍 GLOBAL MACRO PULSE & OVERNIGHT SETUP NEUTRAL / BALANCED SETUP

Mixed global signals pointing to a rangebound opening with stock-specific and sector-specific action.

🌅 GIFT NIFTY (LIVE OVERNIGHT)
24,010.50 (-40.50 (-0.17%))
NIFTY CURRENT FUTURES (PREV CLOSE)
24,090.30 (Exp: 2026-09-29)
IMPLIED GAP (FUT vs FUT)
-79.80 pts (-0.33%) • GAP-DOWN 🔴
IMPLIED SPOT OPENING
23,976.00 (Prev: 24,055.80)

GLOBAL EQUITIES

AssetPrice1D %
S&P 5007,631.47-0.71%
Nasdaq 10026,099.77-1.03%
Nikkei 22564,473.16-2.77%
Hang Seng25,061.62-1.06%
Nifty 50 (Prev Close)24,055.80-0.10%

COMMODITIES & ENERGY

CommodityPrice1D %
Brent Crude$95.59+7.44%
WTI Crude$90.86+4.74%
Gold (USD)$4,351.10-3.03%
Silver (USD)$64.29-4.63%

YIELDS, FX & VIX

IndicatorLevelBias
US 10Y Yield4.796%Bearish 🔴
Dollar Index (DXY)99.75Neutral ⚪
USD / INR94.94Neutral ⚪
India 10Y G-Sec6.958%Neutral ⚪
India VIX11.49Calm 🟢
US CBOE VIX16.34Neutral ⚪
🏛️ INSTITUTIONAL & PARTICIPANT DERIVATIVES POSITIONING Session: 01-09-2026 • Change vs 31-08-2026
Participant Segment Bearish Bullish Net OI 1D Change
🏛️ FII Index Futures Medium Bearish -2.22L -12,717
Index Options ▾ Strong Bearish -8.81L -103,657
    ↳ Call Options Medium Bearish -2.48L -22,599
    ↳ Put Options Strong Bearish 6.32L +81,058
💼 Pro (DII/Prop) Index Futures Indecisive +14,425 +3,617
Index Options ▾ Medium Bearish -1.11L -33,933
    ↳ Call Options Indecisive -18,758 -44,229
    ↳ Put Options Mild Bearish 92,559 -10,296
👤 Client (Retail) Index Futures Medium Bullish +1.87L +8,911
Index Options ▾ Strong Bullish +10.19L +137,203
    ↳ Call Options Strong Bullish +2.62L +66,301
    ↳ Put Options Strong Bullish -7.57L -70,902
🎯 FII FUTURES & CASH SNAPSHOT Extremely Bearish (Heavy Short Positioning)
Trade Session Date01-09-2026
FII Long OI (Index Futures)24,718 contracts
FII Short OI (Index Futures)246,750 contracts
FII Net OI (Index Futures)-2.22L (-222,032)
FII Daily Change (Index Futures)-12,717 contracts
FII Long-Short Ratio0.1
FII Long % of Total9.1%
FII Options Net Delta OI-8.81L (-880,526) (1D Chg: -103,657)
FII Cash Market Net+1,143.38 Cr
DII Cash Market Net+1,846.94 Cr
📈 MULTI-DAY FLOW & POSITIONING TREND
Date FII Fut Net Fut Chg Long % (Ratio) FII Opt Net Client Opt Net FII Cash DII Cash
25-08-2026 -1.84L +35,156 10.3% (0.11) -7.48L +6.99L +1,593.53 +230.26
26-08-2026 -1.86L -1,833 10.8% (0.12) -7.92L +8.54L +502.63 +6,425.16
27-08-2026 -1.98L -11,732 9.8% (0.11) -8.92L +10.50L -298.26 +4,977.17
28-08-2026 -2.03L -4,841 9.6% (0.11) -8.24L +8.16L -5,039.80 +5,183.93
31-08-2026 -2.09L -6,682 9.4% (0.10) -7.77L +8.82L -7,985.88 +4,588.88
01-09-2026 -2.22L -12,717 9.1% (0.10) -8.81L +10.19L +1,143.38 +1,846.94
🎯 NIFTY 50 DERIVATIVE LEVELS Expiry: 2026-09-08
Underlying Spot24,055.80
Max Pain Strike24,100
Total PCR / ATM PCR0.65 / 0.7
ATM Straddle Implied Range23,790 - 24,322 (Straddle: 266.25)
Major Resistance (Call Walls)24,200 (7,394,660), 25,500 (7,331,805), 24,500 (7,231,055)
Major Support (Put Walls)23,500 (6,194,760), 24,000 (5,350,085), 23,000 (4,912,960)
🏦 BANK NIFTY DERIVATIVE LEVELS Expiry: 2026-09-29
Underlying Spot57,409.60
Max Pain Strike57,500
Total PCR / ATM PCR1.04 / 1.11
ATM Straddle Implied Range55,924 - 58,896 (Straddle: 1,485.95)
Major Resistance (Call Walls)57,500 (1,956,300), 58,000 (1,359,990), 60,000 (901,680)
Major Support (Put Walls)57,500 (1,941,900), 58,000 (974,010), 57,000 (837,780)
🔄 SECTOR ROTATION MATRIX (J-RRG) As of: 2026-08-28
🟢 LEADING SECTORS (Strong Trend & Momentum)
Nifty Realty (105.2)Nifty India Internet (104.1)Nifty MidSmall IT & Telecom (102.4)Nifty India New Age Consumption (101.8)Nifty IT (101.8)
🔵 IMPROVING SECTORS (Gaining Momentum)
Nifty Private Bank (102.6)Nifty Bank (101.2)Nifty Top 10 Equal Weight (100.8)Nifty Top 15 Equal Weight (100.7)Nifty Top 20 Equal Weight (100.7)
🟡 WEAKENING SECTORS (Losing Momentum)
Nifty 100 (99.9)Nifty Total Market (99.8)Nifty500 Equal Weight (99.8)Nifty500 LargeMidSmall Equal-Cap Weighted (99.8)Nifty100 Equal Weight (99.8)
🔴 LAGGING SECTORS (Downtrend & Underperforming)
Nifty Housing (100.0)Nifty Financial Services Ex-Bank (99.6)Nifty50 Value 20 (99.5)Nifty Rural (99.4)Nifty500 Low Volatility 50 (99.1)
📐 NIFTY 50 TECHNICAL PIVOTS Pattern: Three Black Crows (Bearish Trend)
LevelPriceContext
Resistance 3 (R3)24,339.05Extreme Expansion Target
Resistance 2 (R2)24,241.10Range Top / Breakdown Retest
Resistance 1 (R1)24,148.45Intraday Resistance
Pivot Point (P)24,050.50Day's Trend Decider
Support 1 (S1)23,957.85Intraday Support
Support 2 (S2)23,859.90Range Bottom / Demand Zone
Support 3 (S3)23,767.25Extreme Panic Target
Moving Averages: 20 DMA: 24,334.63 (-1.15%) • 50 DMA: 24,207.14 • 200 DMA: 24,647.68
📐 BANK NIFTY TECHNICAL PIVOTS Pattern: Double Bottom (W-Formation Reversal Setup)
LevelPriceContext
Resistance 3 (R3)58,349.21Extreme Expansion Target
Resistance 2 (R2)58,057.73Range Top / Breakdown Retest
Resistance 1 (R1)57,733.66Intraday Resistance
Pivot Point (P)57,442.18Day's Trend Decider
Support 1 (S1)57,118.11Intraday Support
Support 2 (S2)56,826.63Range Bottom / Demand Zone
Support 3 (S3)56,502.56Extreme Panic Target
Moving Averages: 20 DMA: 57,631.44 (-0.38%) • 50 DMA: 57,624.78 • 200 DMA: 57,448.64
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