NIFTY LONGNifty 50 IndexNSE:NIFTYpradyammm🔹 MTF Trend Summary FrameZoneTrendLogicAvg Level HTFYearly / Half-Yearly / QuarterlyUPSupport Zones20,112 MTFMonthly / Weekly / DailyUPDemand (Resis/Swap)25,095 ITF60M / 180M / 240MUPDemand (DMIP)25,117 ✅ Overall Direction: All frames aligned UP → confirms strong bullish structure across long-, medium-, and short-term frames. 📈 Key Demand Zone Cluster: 25,050–25,200 range (MTF + ITF alignment). 🔹 Trade Setup ParameterValue% / Notes Entry25,330Demand re-entry zone Stop-Loss (SL)25,060Risk: 270 pts (1.1%) Target26,663Reward: 1,333 pts (5.3%) Risk–Reward Ratio (RR)4.93 : 1Excellent trade efficiency Positional Target (12–18M)29,644Long-term projection 🔹 Capital & ROI Analysis MetricValueComments Qty to Buy650Based on capital allocation Total Buy Value₹16.46 MnGross exposure Capital Value (MTF)₹3.29 Mn20% margin (80% funded) Brokerage + Taxes0.49% (₹80,706)Reasonable assumption Net Profit (Target hit)₹7.85 LPost-costs Net Loss (SL hit)₹2.56 LControlled risk Net RR (after costs)3.07Solid post-leverage RR Interest Cost (4M @ 9.69%)₹4.19 LMTF funding cost Total Net Profit (after interest)₹3.66 LRealistic after-cost profit ROI (4M)11%Annualized ≈ 33% 🔹 Insights 📊 Multi-Timeframe Alignment: All frames (HTF–MTF–ITF) are UP, confirming strong trend confluence. ⚙️ Optimal Entry Zone: 25,060–25,330 = ideal re-entry band near weekly demand/resistance swap. 💰 Attractive Reward Profile: 5.3% upside vs. 1.1% downside. 🧩 Medium-Term ROI: 11% in 4 months → 33–35% annualized potential. 🧠 Next Review Levels: Short-term validation: 26,663 (swing resistance) Structural target: 29,644 (12–18M)