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Stock Market Prediction Today: 14 July 2025

market20movement20prediction20today Stock Market Prediction Today: 14 July 2025






Market Forecast & Intraday Trading Strategy – July 14, 2025




Market Forecast & Trading Strategy

July 14, 2025

Comprehensive Analysis for Intraday Trading


Key Market Insights

Market Outlook

Flat to slightly lower opening expected

Trading Range

NIFTY: 24,992 – 25,308

Global Impact

S&P 500 down 0.33%, tariff concerns


Market Summary


  • Expected lower opening around 25,100 due to weak global cues

  • Range-bound trading likely between key support and resistance levels

  • Tight risk management essential due to tariff-related volatility


Current Market Indicators

NIFTY 50

25,149.85

-0.81%

S&P 500

6,259.75

-0.33%

GIFT NIFTY

25,101

-48 pts

India VIX

12.52

Low volatility


NIFTY Price Action & Forecast


Key Technical Levels


Support Levels

NIFTY Support 1
24,992
NIFTY Support 2
24,894
SENSEX Support 1
81,983
BANK NIFTY Support 1
56,436


Resistance Levels

NIFTY Resistance 1
25,308
NIFTY Resistance 2
25,406
SENSEX Resistance 1
83,018
BANK NIFTY Resistance 1
57,074


Technical Levels Visualization


Intraday Trading Strategy


Buy Strategy


Entry: Near 24,992 (Support 1)

Target: 25,308 (Resistance 1)

Stop Loss: Below 24,894

Risk-Reward: 1:3


Sell Strategy


Entry: Near 25,308 (Resistance 1)

Target: 24,992 (Support 1)

Stop Loss: Above 25,406

Risk-Reward: 1:3


Trading Timeline & Execution

Morning Session (9:15 AM – 11:30 AM)

9:15 AM: Monitor opening levels around 25,100
9:30 AM: Assess initial volatility and direction
10:00 AM: Look for entry signals near key levels
11:00 AM: Monitor global cues and news impact

Afternoon Session (1:00 PM – 3:30 PM)

1:00 PM: Re-evaluate positions post lunch
2:00 PM: Watch for afternoon volatility
3:00 PM: Prepare for closing positions
3:30 PM: Close all intraday positions


Risk Management Guidelines


Critical Risk Factors


  • Global market weakness with S&P 500 down 0.33%

  • Tariff threats escalating to 50%, increasing volatility

  • GIFT NIFTY indicating lower opening by 48 points

  • Mixed economic data with manufacturing weakness


Position Sizing

  • • Risk max 1-2% of capital per trade
  • • Use tight stop-losses (100-200 points)
  • • Maintain 1:3 risk-reward ratio
  • • Close positions before 3:30 PM


Monitoring Points

  • • Global news on tariffs
  • • U.S. market movements
  • • Volume confirmation
  • • RSI levels for entries


Technical Tools

  • • 15-minute charts for entries
  • • RSI for momentum confirmation
  • • Volume spikes validation
  • • Candlestick patterns


Global Market Context


Global Market Performance


U.S. Market Impact


  • S&P 500 down 0.33% from recent highs

  • Dow Jones declined 0.63%

  • Lower-than-average trading volume

  • Tariff escalation concerns


Asian Market Trends


  • ASX futures down 0.2%

  • European Stoxx 50 down 1%

  • Mixed sentiment across Asia

  • Trade policy uncertainty


Trading Summary

July 14, 2025 presents a cautious trading environment with range-bound opportunities. Focus on technical levels, maintain strict risk management, and stay alert to global developments that could trigger volatility.

Strategy Focus

Range trading with tight stops

Risk Management

1-2% capital risk per trade

Time Horizon

Intraday only, close by 3:30 PM


Trading involves substantial risk. Past performance does not guarantee future results.

This analysis is for educational purposes only. Always consult with a qualified financial advisor.



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