๐ŸŒ… MORNING-RAGA

Pre-Market Intelligence & Daily Strategy Blueprint โ€ข Generated: Thursday, 03 Sep 2026 โ€ข 08:00 AM IST
โšก TRADER'S MORNING QUICK TAKE RANGEBOUND / NEUTRAL ๐ŸŸก

Opening Setup: Early cues from GIFT Nifty (24,094, +0.54%) vs Nifty Current-Month Futures (24,000) indicate an implied opening gap of +93 pts (+0.39% โ€ข GAP-UP ๐ŸŸข), projecting an implied spot open around 24,008 (Prev Spot: 23,914). Global cues point to a risk-on (bullish macro bias), with Brent and US yields setting the early macro tone. FII index futures positioning stands at extremely bearish (heavy short positioning) (Long: 10.0% | Ratio: 0.11 | Net OI: -2.29L, -7,131 1D; Options Net: -8.92L vs Client Retail: +9.85L), with FIIs netting +6,688.37 Cr against DII support of +2,812.98 Cr. Nifty derivative positioning shows key Call resistance at 24,200 and Put support at 23,000 with ATM PCR at 0.88.

Tactical Plan: Watch opening price action around Nifty Pivot P (23,871.90). Sustaining above 23,871.90 favors testing R1 (23,957.00), while rejection opens a retest of S1 (23,829.35). 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.

๐ŸŒ GLOBAL MACRO PULSE & OVERNIGHT SETUP RISK-ON (BULLISH MACRO BIAS)

Favorable global setup with steady equities, cooling yields, and stable crude supporting domestic risk appetite.

๐ŸŒ… GIFT NIFTY (LIVE OVERNIGHT)
24,093.50 (+128.50 (+0.54%))
NIFTY CURRENT FUTURES (PREV CLOSE)
24,000.30 (Exp: 2026-09-29)
IMPLIED GAP (FUT vs FUT)
+93.20 pts (+0.39%) โ€ข GAP-UP ๐ŸŸข
IMPLIED SPOT OPENING
24,007.65 (Prev: 23,914.45)

GLOBAL EQUITIES

AssetPrice1D %
S&P 5007,666.60+0.46%
Nasdaq 10026,217.83+0.45%
Nikkei 22564,421.97+0.25%
Hang Seng25,478.00+0.66%
Nifty 50 (Prev Close)23,914.45-0.59%

COMMODITIES & ENERGY

CommodityPrice1D %
Brent Crude$95.48+0.03%
WTI Crude$91.01+0.35%
Gold (USD)$4,455.50+2.45%
Silver (USD)$66.31+3.21%

YIELDS, FX & VIX

IndicatorLevelBias
US 10Y Yield4.796%Neutral โšช
Dollar Index (DXY)99.53Neutral โšช
USD / INR94.96Neutral โšช
India 10Y G-Sec6.975%Neutral โšช
India VIX11.59Calm ๐ŸŸข
US CBOE VIX15.20Neutral โšช
๐Ÿ›๏ธ INSTITUTIONAL & PARTICIPANT DERIVATIVES POSITIONING Session: 02-09-2026 โ€ข Change vs 01-09-2026
Participant Segment Bearish Bullish Net OI 1D Change
๐Ÿ›๏ธ FII Index Futures Medium Bearish -2.29L -7,131
Index Options โ–พ Strong Bearish -8.92L -11,950
    โ†ณ Call Options Medium Bearish -2.99L -51,192
    โ†ณ Put Options Strong Bearish 5.93L -39,242
๐Ÿ’ผ Pro (DII/Prop) Index Futures Mild Bullish +15,826 +1,401
Index Options โ–พ Medium Bullish -66,984 +44,333
    โ†ณ Call Options Indecisive +21,925 +40,683
    โ†ณ Put Options Mild Bearish 88,909 -3,650
๐Ÿ‘ค Client (Retail) Index Futures Medium Bullish +2.00L +12,940
Index Options โ–พ Strong Bullish +9.85L -33,724
    โ†ณ Call Options Strong Bullish +2.73L +11,084
    โ†ณ Put Options Strong Bullish -7.12L +44,808
๐ŸŽฏ FII FUTURES & CASH SNAPSHOT Extremely Bearish (Heavy Short Positioning)
Trade Session Date02-09-2026
FII Long OI (Index Futures)28,537 contracts
FII Short OI (Index Futures)257,700 contracts
FII Net OI (Index Futures)-2.29L (-229,163)
FII Daily Change (Index Futures)-7,131 contracts
FII Long-Short Ratio0.11
FII Long % of Total10.0%
FII Options Net Delta OI-8.92L (-892,476) (1D Chg: -11,950)
FII Cash Market Net+6,688.37 Cr
DII Cash Market Net+2,812.98 Cr
๐Ÿ“ˆ MULTI-DAY FLOW & POSITIONING TREND
Date FII Fut Net Fut Chg Long % (Ratio) FII Opt Net Client Opt Net FII Cash DII Cash
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
02-09-2026 -2.29L -7,131 10.0% (0.11) -8.92L +9.85L +6,688.37 +2,812.98
๐ŸŽฏ NIFTY 50 DERIVATIVE LEVELS Expiry: 2026-09-08
Underlying Spot23,914.45
Max Pain Strike23,950
Total PCR / ATM PCR0.76 / 0.88
ATM Straddle Implied Range23,668 - 24,160 (Straddle: 246.00)
Major Resistance (Call Walls)24,200 (10,094,435), 25,000 (9,128,145), 24,000 (8,756,150)
Major Support (Put Walls)23,000 (8,327,865), 23,800 (7,826,260), 23,500 (7,797,985)
๐Ÿฆ BANK NIFTY DERIVATIVE LEVELS Expiry: 2026-09-29
Underlying Spot57,172.00
Max Pain Strike57,500
Total PCR / ATM PCR1.03 / 1.15
ATM Straddle Implied Range55,681 - 58,663 (Straddle: 1,491.40)
Major Resistance (Call Walls)57,500 (1,954,200), 58,000 (1,343,610), 60,000 (964,560)
Major Support (Put Walls)57,500 (1,933,620), 58,000 (953,100), 57,000 (949,410)
๐Ÿ”„ SECTOR ROTATION MATRIX (J-RRG) As of: 2026-08-28
๐ŸŸข 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)
๐Ÿ”ต 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)
๐ŸŸก 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)
๐Ÿ”ด 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)
๐Ÿ“ NIFTY 50 TECHNICAL PIVOTS Pattern: NR7 (Volatility Squeeze / Breakout Alert)
LevelPriceContext
Resistance 3 (R3)24,084.65Extreme Expansion Target
Resistance 2 (R2)23,999.55Range Top / Breakdown Retest
Resistance 1 (R1)23,957.00Intraday Resistance
Pivot Point (P)23,871.90Day's Trend Decider
Support 1 (S1)23,829.35Intraday Support
Support 2 (S2)23,744.25Range Bottom / Demand Zone
Support 3 (S3)23,701.70Extreme Panic Target
Moving Averages: 20 DMA: 24,299.61 (-1.59%) โ€ข 50 DMA: 24,203.37 โ€ข 200 DMA: 24,639.38
๐Ÿ“ BANK NIFTY TECHNICAL PIVOTS Pattern: Double Top (M-Formation Rejection Setup)
LevelPriceContext
Resistance 3 (R3)57,718.90Extreme Expansion Target
Resistance 2 (R2)57,470.00Range Top / Breakdown Retest
Resistance 1 (R1)57,321.00Intraday Resistance
Pivot Point (P)57,072.10Day's Trend Decider
Support 1 (S1)56,923.10Intraday Support
Support 2 (S2)56,674.20Range Bottom / Demand Zone
Support 3 (S3)56,525.20Extreme Panic Target
Moving Averages: 20 DMA: 57,594.68 (-0.73%) โ€ข 50 DMA: 57,609.51 โ€ข 200 DMA: 57,444.81
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