Research-driven services for disciplined traders
Five focused services — each built on the same principle: defined risk, transparent process, no return guarantees. Pick the one that fits how you trade today.
Equity Market Research
Disciplined, technical-first research on Indian cash-market equities — daily support / resistance levels, trend confirmation and short-term to positional setups across NSE and BSE.
Positional traders and swing investors who want a structured, research-backed view rather than tips.
Daily research before market open · Mid-day update on volatile sessions · Weekend recap on Sundays.
What you get
- Daily intraday & swing levels for tracked stocks
- Support / resistance zones with invalidation points
- Sector-rotation context (Banking, IT, Auto, Pharma, FMCG, Capital Goods)
- Pre-market structural read shared before 9:15 AM
- Post-market recap with what worked and what didn't
Defined Risk-Reward
Every idea ships with stop-loss, target zone, and a clear 'why this setup' note — no open-ended calls.
Multi-Timeframe View
Daily, weekly and 75-min charts are aligned so you know whether a setup is intraday, swing or positional.
Trend & Momentum
Moving-average alignment, RSI structure and volume confirmation feed every level we publish.
Derivatives (F&O) Research
Option-chain analysis combined with price-action and technical reads for Nifty, Bank Nifty and lead F&O stocks. Built specifically for intraday and swing F&O participants.
Intraday option traders and short-swing F&O traders who want structured option-chain context, not blind premium calls.
Pre-market F&O brief · Real-time level alerts during session · Expiry-day morning playbook.
What you get
- CE / PE strike levels with OI build-up rationale
- Max-pain shifts and PCR (Put-Call Ratio) reads
- Intraday setups for Nifty / Bank Nifty / lead F&O stocks
- Strategy framework: long, hedged or spread — when each suits the regime
- Expiry-day playbook with risk caveats
Option-Chain Discipline
Strikes are anchored to OI build-up, not prediction — the chain tells the story before price does.
Volatility Awareness
India VIX, IV percentile and expected-move maths are part of every F&O brief, so you size correctly.
Risk-First Framing
We always publish what kills the trade — invalidation, time decay risk, and event landmines.
Market Insights & Daily Reports
Concise morning reports with sentiment, key index levels, sector positioning and the data points that actually matter — without the noise of generic news roundups.
Anyone who wants 5 minutes of structured prep before the market opens.
Daily before 8:45 AM IST · Special editions on event days (Budget, RBI policy, US Fed).
What you get
- Morning report with index, sector and FII / DII positioning
- Sentiment read: extreme fear → extreme greed dial
- Macro events of the day (RBI, US data, oil, USD/INR)
- Heatmap of sector flows over the last 5 sessions
- Earnings & corporate action calendar for tracked names
Pre-Market Ready
Delivered by 8:45 AM IST so you're prepared before the bell, not reacting after.
Plain-English
Written for traders, not analysts — every chart is explained in two lines or less.
Five-Minute Read
Designed to be skimmed on a phone before opening; archived in-app for later reference.
Short-Term Trading Ideas
Curated short-term ideas built around low-risk entries, defined stop-losses and risk-reward focused setups. Not predictions — repeatable patterns.
Traders who want a steady stream of vetted, risk-defined setups instead of hunting for trades themselves.
Ideas pushed as setups form · Telegram + email + dashboard · Weekly idea log on Sundays.
What you get
- 2 – 4 high-quality setups per week (cash + F&O)
- Entry zone, stop-loss, target levels, time horizon
- Setup classification: breakout, pullback, reversal or range
- Position-sizing guide based on portfolio and risk tolerance
- Trade diary — outcomes published transparently for learning
Low-Risk Entries
We wait for confirmation. Entries are anchored to structure, not gut feel.
Stop-Loss Discipline
Every idea has a published invalidation. If it breaks, the idea is closed — no rationalising.
Reward-First Selection
We only publish ideas where reward is at least 2× the risk; everything else is filtered out.
Trader Guidance & Discipline
Behavioural and process-oriented guidance designed to reduce overtrading, emotional decisions and capital erosion. Educational only — never personalised investment advice.
Traders who feel their biggest gap is psychology, sizing or process — not market knowledge.
Weekly behavioural notes · Quarterly review sessions (group, non-personalised) · On-demand templates.
What you get
- Risk-management framework (1R, 2R, max daily drawdown)
- Behavioural checklists for entries, exits and red-flag setups
- Trade-journal templates with self-review prompts
- Quarterly review sessions covering market regime and process gaps
- Curated reading list and structured learning paths
Behavioural Edge
Most traders fail on process, not analysis. We focus on the habits that compound.
Capital Preservation
Sizing and drawdown limits are the foundation of every framework we share.
Structured Learning
Move from random YouTube content to a curated, sequenced curriculum.
Important — read before subscribing: AlphaQuest Research is a SEBI-Registered Research Analyst (Reg. No. INH000026132). All services are educational and research-based only. We do not offer personalised investment advice, portfolio management or guaranteed returns. Investments in the securities market are subject to market risk; please review our Disclaimer, Risk Disclosure and RA-MITC before subscribing.
Pick a plan that matches how you trade
Transparent pricing, time-stamped eSign consent, secure payments via Razorpay, auto-generated GST invoice.

