๐ŸŒ… MORNING-RAGA

Pre-Market Intelligence & Daily Strategy Blueprint โ€ข Generated: Friday, 11 Sep 2026 โ€ข 08:00 AM IST
โšก TRADER'S MORNING QUICK TAKE
BEARISH / SHORT BIAS ๐Ÿ”ด ๐ŸŽฏ SwiCo: 7.0/20 (DEFENSIVE)

Opening Setup: Early cues from GIFT Nifty (23,342, -0.50%) vs Nifty Current-Month Futures (23,484) indicate an implied opening gap of -142 pts (-0.60% โ€ข GAP-DOWN ๐Ÿ”ด), projecting an implied spot open around 23,336 (Prev Spot: 23,478). Global cues point to a risk-off (cautious / headwinds), with Brent and US yields setting the early macro tone. FII index futures positioning stands at extremely bearish (heavy short positioning) (Long: 11.0% | Ratio: 0.12 | Net OI: -2.82L, -5,594 1D; Options Net: -9.82L vs Client Retail: +11.95L), with FIIs netting -438.24 Cr against DII support of +1,025.85 Cr. Nifty derivative positioning shows key Call resistance at 24,000 and Put support at 23,000 with ATM PCR at 0.74.

Tactical Plan: Watch opening price action around Nifty Pivot P (23,450.95). Sustaining above 23,450.95 favors testing R1 (23,521.80), while rejection opens a retest of S1 (23,406.95). 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. Q-Swing SwiCo stands at 7.0/20 (DEFENSIVE) โ€” Hostile Swing Conditions. Capital preservation mode. 100% cash / zero new entries.

๐ŸŒ GLOBAL MACRO PULSE & OVERNIGHT SETUP RISK-OFF (CAUTIOUS / HEADWINDS)

Overnight headwinds driven by surging yields/crude or global equity consolidation warranting tactical caution.

๐ŸŒ… GIFT NIFTY (LIVE OVERNIGHT)
23,342.00 (-118.00 (-0.50%))
NIFTY CURRENT FUTURES (PREV CLOSE)
23,484.00 (Exp: 2026-09-29)
IMPLIED GAP (FUT vs FUT)
-142.00 pts (-0.60%) โ€ข GAP-DOWN ๐Ÿ”ด
IMPLIED SPOT OPENING
23,335.80 (Prev: 23,477.80)

GLOBAL EQUITIES

AssetPrice1D %
S&P 5007,591.70-0.58%
Nasdaq 10026,081.72-0.65%
Nikkei 22563,506.13-2.49%
Hang Seng24,662.77-1.17%
Nifty 50 (Prev Close)23,477.80+0.20%

COMMODITIES & ENERGY

CommodityPrice1D %
Brent Crude$107.88+6.81%
WTI Crude$102.72+6.89%
Gold (USD)$4,373.10-1.77%
Silver (USD)$63.99-5.90%

YIELDS, FX & VIX

IndicatorLevelBias
US 10Y Yield4.944%Bearish ๐Ÿ”ด
Dollar Index (DXY)99.10Bearish ๐Ÿ”ด
USD / INR95.43Neutral โšช
India 10Y G-Sec6.976%Neutral โšช
India VIX11.80Calm ๐ŸŸข
US CBOE VIX17.84Neutral โšช
๐Ÿ›๏ธ INSTITUTIONAL & PARTICIPANT DERIVATIVES POSITIONING Session: 10-09-2026 โ€ข Change vs 09-09-2026
Participant Segment Bearish Bullish Net OI 1D Change
๐Ÿ›๏ธ FII Index Futures Strong Bearish -2.82L -5,594
Index Options โ–พ Strong Bearish -9.82L +21,260
    โ†ณ Call Options Strong Bearish -3.19L +23,772
    โ†ณ Put Options Strong Bearish 6.63L +2,512
๐Ÿ’ผ Pro (DII/Prop) Index Futures Medium Bullish +35,981 +4,822
Index Options โ–พ Medium Bearish -1.64L -56,789
    โ†ณ Call Options Indecisive -62,790 -77,342
    โ†ณ Put Options Mild Bearish 1.01L -20,553
๐Ÿ‘ค Client (Retail) Index Futures Medium Bullish +2.31L +491
Index Options โ–พ Strong Bullish +11.95L +36,328
    โ†ณ Call Options Strong Bullish +3.80L +53,504
    โ†ณ Put Options Strong Bullish -8.15L +17,176
๐ŸŽฏ FII FUTURES & CASH SNAPSHOT Extremely Bearish (Heavy Short Positioning)
Trade Session Date10-09-2026
FII Long OI (Index Futures)39,694 contracts
FII Short OI (Index Futures)321,538 contracts
FII Net OI (Index Futures)-2.82L (-281,844)
FII Daily Change (Index Futures)-5,594 contracts
FII Long-Short Ratio0.12
FII Long % of Total11.0%
FII Options Net Delta OI-9.82L (-981,635) (1D Chg: +21,260)
FII Cash Market Net-438.24 Cr
DII Cash Market Net+1,025.85 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
03-09-2026 -2.35L -5,939 11.1% (0.12) -9.62L +11.84L -2,345.87 +4,977.46
04-09-2026 -2.36L -736 11.1% (0.12) -8.84L +9.42L -3,111.94 +8,930.12
07-09-2026 -2.50L -14,255 10.9% (0.12) -9.29L +12.57L +280.13 +566.76
08-09-2026 -2.62L -11,464 11.1% (0.12) -9.53L +10.87L -123.19 +1,349.64
09-09-2026 -2.76L -14,693 11.0% (0.12) -10.03L +11.58L -582.99 +1,509.04
10-09-2026 -2.82L -5,594 11.0% (0.12) -9.82L +11.95L -438.24 +1,025.85
๐ŸŽฏ NIFTY 50 DERIVATIVE LEVELS Expiry: 2026-09-15
Underlying Spot23,477.80
Max Pain Strike23,500
Total PCR / ATM PCR0.73 / 0.74
ATM Straddle Implied Range23,274 - 23,681 (Straddle: 203.50)
Major Resistance (Call Walls)24,000 (13,938,795), 23,500 (11,709,555), 24,500 (11,164,855)
Major Support (Put Walls)23,000 (10,614,370), 22,500 (8,107,905), 23,400 (7,986,485)
๐Ÿฆ BANK NIFTY DERIVATIVE LEVELS Expiry: 2026-09-29
Underlying Spot56,471.95
Max Pain Strike57,500
Total PCR / ATM PCR0.9 / 1.04
ATM Straddle Implied Range55,215 - 57,729 (Straddle: 1,257.00)
Major Resistance (Call Walls)57,500 (2,197,740), 58,000 (1,511,550), 59,000 (1,007,430)
Major Support (Put Walls)57,500 (1,707,840), 58,000 (823,800), 57,000 (813,330)
๐ŸŽฏ SWING CONFIDENCE INDEX (SWICO โ€” Q-SWING) DEFENSIVE
Session: 2026-09-10 โ€ข Source: Q-Swing Multi-SMA Breadth
7.0 / 20
SwiCo Composite DEFENSIVE
20D Avg: 10.7 (-3.7)
๐Ÿ›ก๏ธ DESK DIRECTIVE
Hostile Swing Conditions. Capital preservation mode. 100% cash / zero new entries.
Recent Trend (6 Sessions)
03-Sep11.5
04-Sep10.5
07-Sep7.0
08-Sep9.0
09-Sep7.0
10-Sep7.0
MOMENTUM (N500) 2.0 / 5 pts
Weak / Selective
34.4% N500 Positive ยท Top RS Leaders Only
SWING (10/20 SMA) 1.0 / 5 pts
Negative / Down
>10: 31.8% | >20: 31.8% ยท Lacks Follow-Through
TREND (50 SMA & NNH) 1.0 / 5 pts
Down / Distribution
>50: 37.6% | NNH: -30 ยท Distribution Phase
BIAS (200 SMA) 3.0 / 5 pts
Neutral / Guarded
>200: 50.4% ยท Mixed Macro Baseline
๐Ÿ”„ SECTOR ROTATION MATRIX (J-RRG) As of: 2026-09-04
๐ŸŸข LEADING SECTORS (Strong Trend & Momentum)
Nifty Realty (105.0)Nifty India Internet (104.2)Nifty IT (102.5)Nifty India New Age Consumption (101.8)Nifty MidSmall IT & Telecom (101.8)
๐Ÿ”ต IMPROVING SECTORS (Gaining Momentum)
Nifty Private Bank (102.2)Nifty Bank (101.1)Nifty Top 20 Equal Weight (100.8)Nifty Top 10 Equal Weight (100.8)Nifty Top 15 Equal Weight (100.8)
๐ŸŸก WEAKENING SECTORS (Losing Momentum)
Nifty Midcap 50 (99.9)Nifty 100 (99.8)Nifty100 Equal Weight (99.8)Nifty Total Market (99.7)Nifty500 Equal Weight (99.7)
๐Ÿ”ด LAGGING SECTORS (Downtrend & Underperforming)
Nifty Financial Services Ex-Bank (99.8)Nifty Housing (99.7)Nifty50 Value 20 (99.7)Nifty Rural (99.4)Nifty500 Low Volatility 50 (99.3)
๐Ÿ“ NIFTY 50 TECHNICAL PIVOTS Pattern: NR4 (Volatility Squeeze)
LevelPriceContext
Resistance 3 (R3)23,636.65Extreme Expansion Target
Resistance 2 (R2)23,565.80Range Top / Breakdown Retest
Resistance 1 (R1)23,521.80Intraday Resistance
Pivot Point (P)23,450.95Day's Trend Decider
Support 1 (S1)23,406.95Intraday Support
Support 2 (S2)23,336.10Range Bottom / Demand Zone
Support 3 (S3)23,292.10Extreme Panic Target
Moving Averages: 20 DMA: 24,027.20 (-2.29%) โ€ข 50 DMA: 24,170.87 โ€ข 200 DMA: 24,564.05
๐Ÿ“ BANK NIFTY TECHNICAL PIVOTS Pattern: Piercing Line (Reversal)
LevelPriceContext
Resistance 3 (R3)56,964.09Extreme Expansion Target
Resistance 2 (R2)56,769.62Range Top / Breakdown Retest
Resistance 1 (R1)56,620.79Intraday Resistance
Pivot Point (P)56,426.32Day's Trend Decider
Support 1 (S1)56,277.49Intraday Support
Support 2 (S2)56,083.02Range Bottom / Demand Zone
Support 3 (S3)55,934.19Extreme Panic Target
Moving Averages: 20 DMA: 57,328.46 (-1.49%) โ€ข 50 DMA: 57,490.19 โ€ข 200 DMA: 57,387.26
๐Ÿ“ฐ TOP DOMESTIC & INTERNATIONAL PRE-MARKET HEADLINES