MIDCPNIFTY Next 2-Day Outlook: Bearish Structure Active, 13,350 Breakdown Trigger?
MIDCPNIFTY CMP: 13,476. Structure across timeframes shows weakness, with sellers active and downside drift possible over the next two sessions.
What is the current MIDCPNIFTY trend?
- Daily → Bearish lower high structure
- 4H → Sellers active, pullbacks getting sold
- 1H → Strong bearish momentum (ADX 41)
Overall bias remains Bearish unless price sustains above 13,550.
Future Structure Breakdown
Daily Timeframe
- RSI 44 (Weak Zone)
- MACD Negative
- CCI -43
- ADX 17 (Weak Trend Strength)
Lower high pattern active. Momentum weak.
4-Hour Timeframe
- RSI 42
- CCI deeply negative earlier
- MACD turning down
- DI- dominant
Sellers active. Pullbacks getting sold.
1-Hour Timeframe
- RSI 36
- MACD Negative
- ADX 41 (Strong Trend)
- DI- dominant
Short-term trend strong bearish.
Option Chain Analysis
Heavy Call OI: 13,500 CE, 13,600 CE, 13,700 CE
Put Support: 13,400 PE, 13,300 PE
13,500–13,600 is strong resistance zone. Writers aggressively defending upside. PCR slightly bearish. Range shifting downward.
India VIX Impact
VIX elevated and rising recently. Volatility expansion supports directional move. Bearish drift possible.
Best Option Strategy (Next 2 Days)
13,500 PE (Primary Strength)
Reason: Strong bearish structure + ADX expansion + CE breakdown.
13,700 CE (Sell on Rise)
Reason: Strong resistance + writer control.
Key Support & Resistance Levels
- Resistance: 13,550
- Major Resistance: 13,600
- Support: 13,350
- Next Support: 13,250
Expected 48-hour range: 13,250 – 13,550 Break below 13,350 may trigger fast move toward 13,250.
Final Conclusion
- Daily bearish
- 4H bearish
- 1H strong bearish ADX
- CE breakdown active
- PE strength confirmed
- Writers capping upside
MIDCPNIFTY Bearish Setup Confirmed.
If Monday opens gap-up but fails to sustain above 13,550, selling pressure may intensify further.
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