Thursday, April 30, 2026

EOD Review On 30-Apr-2026 : Levels for Next Trading Day

EOD Review on 30 Apr 2026 My System Levels: 1) Levels to watch are 24247.45 and 23948.95 2) Sell Below 23958.05 SL 24077.38 TGT 23948.95, 23734.4, 23617.8 3) Buy Above 24196.71 SL 24077.38 TGT 24247.45, 24331.4, 24513.3 4) Supports/Resistances to Watch For :- 23617.8 23734.4 23916.3 24032.9 24214.8 24331.4 24513.3 Camarilla Levels: 1) Sell Below 23934.02 SL 24016.11 TGT 23737.57, 23665.93 2) Sell Below 24180.29 SL 24262.37 TGT 24125.56, 24070.84, 24016.11 3) Buy Above 24016.11 SL 23934.02 TGT 24070.84, 24125.56, 24180.29 4) Buy Above 24262.37 SL 24180.29 TGT 24334.57 BANKNIFTY : Levels to watch are 55567.7 and 54822.7 RELIANCE : Levels to watch are 1456.1 and 1414.3 SBIN : Levels to watch are 1075.1 and 1053.1 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Holding Long taken at 1356.4 On 27-04-2026 StopLoss 1384.2 | Profit so far 78.8 NIFTY(Futures) Holding Short taken at 24311.8 On 23-04-2026 StopLoss 24259.5 | Profit so far 213.6 BANKNIFTY(Futures) Holding Short taken at 56705.4 On 23-04-2026 StopLoss 56003.33 | Profit so far 1510.2 SBIN(Futures) Holding Short taken at 1091.25 On 28-04-2026 StopLoss 1095.98 | Profit so far 27.15 NIFTY(Indices) Holding Short taken at 24316.35 On 23-04-2026 StopLoss 24201.32 | Profit so far 318.8 BANK_NIFTY(Indices) Holding Short taken at 56685 On 23-04-2026 StopLoss 55809.47 | Profit so far 1821.65 NIFTYBEES(BEES) Holding Short taken at 274.89 On 23-04-2026 StopLoss 273.83 | Profit so far 2.88 BANKBEES(BEES) Holding Short taken at 583.76 On 23-04-2026 StopLoss 576.78 | Profit so far 16.76 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY26000CE Highest Rise in OI : NIFTY24000PE NIFTY26000CE Highest Fall in OI : NIFTY22000PE NIFTY25000CE Highest Volume : NIFTY23850PE NIFTY24050CE -------------------- Market Mood as on Apr 30, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -8047.86 FII F&O Net = -1532.77 FII F&O OI = N.A. DII Cash Net = 3487.1 --------------- FII OI Data: Future Index Long:27506(-1324) Future Index Short:211982(12094) Future Stock Long:4021980(-11281) Future Stock Short:3223174(18817) Option Index Call Long:351772(58198) Option Index Put Long:715640(62524) Option Index Call Short:572110(62478) Option Index Put Short:356275(36310) Option Stock Call Long:79478(22904) Option Stock Put Long:109365(22215) Option Stock Call Short:129784(26444) Option Stock Put Short:76582(22363) Total Long Contract:5305741(153236) Total Short Contract:4569907(178506) Total UP Side Contract:4913593(127170) Total Down Side Contract:4962055(204572) L/S FII Index Fut Ratio:11 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: CHOLAFIN, KPITTECH, BHEL, SAMMAANCAP, KOTAKBANK Short Covering: BAJFINANCE, HCLTECH, BAJAJ-AUTO, SUNPHARMA, ALKEM Short Build Up: KFINTECH, VEDL, CAMS, BLUESTARCO, SAIL Long Unwinding: NUVAMA, BDL, LTM, ULTRACEMCO, BHARATFORG -------------------- Volume Shockers (Futures) : KFINTECH -------------------- Swing Trading (Futures): 1. CAMS Sell Below 725.91 2. PFC Sell Below 450.15 3. TMPV Sell Below 345.64 4. ETERNAL Sell Below 250.19 5. HINDUNILVR Sell Below 2223.98 6. KAYNES Sell Below 4088.52 -------------------- Swing Trading (NSE Cash Scrips): UNIONBANK Buy Above 165.94 SL 162.61 VEDL Long Intraday Below 267.36 SL 266.01 -------------------- Hot Stocks (Price Action): RPGLIFE NATHBIOGEN , Red Candles SYNGENE CEMPRO MEESHO ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: HFCL, STLTECH, LUXIND, WELCORP, OFSS -------------------- 5 Worst Performing Stocks since Expiry: VEDL, IRB, HCLTECH, MRPL, UBL --------------- Pivot Based Short Term Ideas ALKEM : Buy Above 5435 CSL Below 5358.5 ASAHIINDIA : Sell Below 826 CSL Above 838.1667 DABUR : Sell Below 440.35 CSL Above 444.0667 MAXHEALTH : Sell Below 934.95 CSL Above 996 VEDL : Sell Below 268.7 CSL Above 677.5167 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: HCLTECH, HDFCAMC, MRF, VEDL, OverBought Stocks: BHEL, CIPLA, DELTACORP, DHANI, EXIDEIND, GODREJPROP, HFCL, HINDZINC, HUDCO, HDFC, INGERRAND, INOXLEISUR, KRBL, KSB, NHPC, RATNAMANI, TATACHEM, TATACOFFEE, TORNTPOWER, VBL, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : ADANIPORTS Bought at 1618.8 CROMPTON Bought at 274.77 RBLBANK Bought at 340.4 VEDL SL HIT : Long took at 769.8 on 20260416 Stoploss 648.05 | Profit Booked -121.75(-15.82%) -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 01-May-2026 Market Nature : SIDEWAYS Reversal Timings : From 10:27 to 11:31 From 11:31 to 12:34 -- This email has been checked for viruses by AVG antivirus software. www.avg.com

Wednesday, April 29, 2026

EOD Review On 29-Apr-2026 : Levels for Next Trading Day

EOD Review on 29 Apr 2026 My System Levels: 1) Levels to watch are 24414.5 and 24089.5 2) Sell Below 23972.18 SL 24090.34 TGT 23950.67, 23776.34 3) Buy Above 24208.5 SL 24090.34 TGT 24414.5, 24600.67, 24751.34 4) Supports/Resistances to Watch For :- 23776.34 23950.67 24101.34 24275.67 24426.34 24600.67 24751.34 Camarilla Levels: 1) Sell Below 24073.25 SL 24162.62 TGT 24001.5, 23923.5 2) Sell Below 24341.38 SL 24430.75 TGT 24281.79, 24222.21, 24162.62 3) Buy Above 24162.62 SL 24073.25 TGT 24222.21, 24281.79, 24341.38 4) Buy Above 24430.75 SL 24341.38 TGT 24573.5, 24651.5 BANKNIFTY : Levels to watch are 56111.7 and 55115.9 RELIANCE : Levels to watch are 1448.8 and 1410.4 SBIN : Levels to watch are 1092.07 and 1070.32 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Holding Long taken at 1356.4 On 27-04-2026 StopLoss 1355.87 | Profit so far 73.2 NIFTY(Futures) Holding Short taken at 24311.8 On 23-04-2026 StopLoss 24256.33 | Profit so far 59.8 BANKNIFTY(Futures) Holding Short taken at 56705.4 On 23-04-2026 StopLoss 56410 | Profit so far 1091.6 SBIN(Futures) Holding Short taken at 1091.25 On 28-04-2026 StopLoss 1108.98 | Profit so far 10.05 NIFTY(Indices) Holding Short taken at 24316.35 On 23-04-2026 StopLoss 24215.73 | Profit so far 138.7 BANK_NIFTY(Indices) Holding Short taken at 56685 On 23-04-2026 StopLoss 56263.92 | Profit so far 1281.4 NIFTYBEES(BEES) Holding Short taken at 274.89 On 23-04-2026 StopLoss 273.73 | Profit so far 1.76 BANKBEES(BEES) Holding Short taken at 583.76 On 23-04-2026 StopLoss 580.78 | Profit so far 12.22 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY25000CE Highest Rise in OI : NIFTY22000PE NIFTY25700CE Highest Fall in OI : NIFTY23950PE NIFTY24000CE Highest Volume : NIFTY23900PE NIFTY24250CE -------------------- Market Mood as on Apr 29, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -2468.42 FII F&O Net = 340.77 FII F&O OI = N.A. DII Cash Net = 2262.17 --------------- FII OI Data: Future Index Long:28830(-1393) Future Index Short:199888(-1013) Future Stock Long:4033261(69392) Future Stock Short:3204357(35646) Option Index Call Long:293574(37621) Option Index Put Long:653116(50938) Option Index Call Short:509632(51861) Option Index Put Short:319965(61299) Option Stock Call Long:56574(25053) Option Stock Put Long:87150(29390) Option Stock Call Short:103340(33141) Option Stock Put Short:54219(22229) Total Long Contract:5152505(211001) Total Short Contract:4391401(203163) Total UP Side Contract:4786423(214201) Total Down Side Contract:4757483(199963) L/S FII Index Fut Ratio:13 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: TATASTEEL, POWERINDIA, TORNTPHARM, HDFCBANK, BAJFINANCE Short Covering: VEDL, FINNIFTY, NIFTY, TATACONSUM, COALINDIA Short Build Up: FEDERALBNK, NATIONALUM, ICICIBANK, FORTIS, INDIANB Long Unwinding: NTPC, MIDCPNIFTY, ADANIENSOL, TATAPOWER, ANGELONE -------------------- Volume Shockers (Futures) : FEDERALBNK GODFRYPHLP BANDHANBNK -------------------- Swing Trading (Futures): 1. TECHM Buy Above 1447.49 2. RECLTD Sell Below 358.32 3. FEDERALBNK Sell Below 288.1 4. M&M Buy Above 3156.72 5. MARUTI Buy Above 13229.84 6. INDUSTOWER Buy Above 419.89 7. SBIN Sell Below 1079.61 8. BPCL Sell Below 306.12 -------------------- Swing Trading (NSE Cash Scrips): BIOCON Sell Below 362.25 SL 368.2 EXIDEIND Sell Below 363.45 SL 370.3 SRF Sell Below 2543.6 SL 2604 TORNTPHARM Sell Below 4231.5 SL 4281.4 ONGC Short Intraday Above 309.04 SL 310.58 -------------------- Hot Stocks (Price Action): GREENPLY PIONEEREMB WHEELS DEVYANI PANSARI SAPPHIRE IKIO ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, STLTECH, WELCORP, HFCL, OFSS -------------------- 5 Worst Performing Stocks since Expiry: IRB, HCLTECH, VIPIND, INFY, UBL --------------- Pivot Based Short Term Ideas MARUTI : Buy Above 13548 CSL Below 13063.67 TCS : Buy Above 2487.9 CSL Below 2446.7 ALKEM : Sell Below 5305.5 CSL Above 5358.5 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: HCLTECH, HDFCAMC, MRF, OverBought Stocks: BHEL, CESC, CIPLA, DELTACORP, DHANI, EXIDEIND, GODREJPROP, HINDZINC, HUDCO, HDFC, NHPC, RATNAMANI, TATACHEM, TATACOFFEE, TORNTPOWER, VBL, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : ATGL Bought at 651 ADANITRANS Bought at 651 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 30-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 11:31 to 12:34 -- This email has been checked for viruses by AVG antivirus software. www.avg.com