Nifty 50 Analysis · Data-Driven Signals · Independent Research
Every trading morning a pro-trader AI reads the implied open, yesterday's session, the news flow and the current regime — and hands you a conviction call with the one setup worth watching. Below it: the patterns mined from three years of Nifty, refreshed weekly with data as fresh as last session.
Our single most robust, tradeable pattern. When Nifty gaps up more than 0.3%, that opening strength is statistically sold into the first 30 minutes. It scales with gap size, is strongest on Tuesday and Thursday, survives transaction costs, and is one-sided (the mirror gap-down bounce is weak). These are live numbers from the discovery engine, not illustrations.
| Gap-up size | Sessions | Avg (bps) | Win % | t-stat |
|---|
Nifty's range is front-loaded: the first hour does a disproportionate share of the day's work, and volatility clusters — a wide day makes the next day more likely to be wide too. This is the structural backdrop every intraday plan should sit on.
| Window | Share of day range |
|---|
A green day and a green day are not the same trade. We decompose every session by where it opened, how it travelled and where it closed — so "up" days that were actually sold all afternoon don't fool you. The full nine-type framework is members-only.
| Character | Share | What it means |
|---|
Most "signal" services sell you patterns that don't survive a placebo test. We grade ours — and we publish what we threw away. Tier 1 is tradeable or structural and robust; Tier 2 is mild and context-dependent; retired means it looked good and then failed honest re-testing (yes, including an "81.6%" setup we used to believe in). That list is the whole point.
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Educational research, not investment advice. Numbers are live from a 3-year Nifty 50 dataset and refreshed as new sessions close.
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