Friday, July 19, 2013

EOD Review On 19-Jul-2013 : Calls for Next Trading Day

www.AamAadmiSoftware.com (EOD Review on 19 Jul 2013)

My System Calls:

1) Levels to watch are 6062.72 and 6022.38

2) Sell Below 5982.62 SL 6013.62 TGT
3) Buy Above 6044.62 SL 6013.62 TGT 6062.72, 6090.68, 6106.96

4) Supports/Resistances to Watch For :-

5985.91
6009.98
6026.26
6050.33
6066.61
6090.68
6106.96

Camarilla Calls:
1) Sell Below 6020.36 SL 6031.45 TGT 6009.03
2) Sell Below 6053.65 SL 6064.74 TGT 6046.25, 6038.85, 6031.45
3) Buy Above 6031.45 SL 6020.36 TGT 6038.85, 6046.25, 6053.65
4) Buy Above 6064.74 SL 6053.65 TGT 6089.73, 6099.42


BANKNIFTY : Levels to watch are 11152.05 and 10843.15

USDINR-1 : Levels to watch are 59.81 and 59.38

RELIANCE : Levels to watch are 933.35 and 917.05

SBIN : Levels to watch are 1834.27 and 1799.43

CESC : Levels to watch are 340.83 and 332.08 - Bias for Short Side Trade

HDFC : Levels to watch are 826.72 and 783.28 - Bias for Short Side Trade

JISLJALEQS : Levels to watch are 56.65 and 54.15 - Bias for Long Side Trade

LICHSGFIN : Levels to watch are 214.38 and 203.52 - Bias for Short Side Trade

MRF : Levels to watch are 14123.35 and 13473.35 - Bias for Long Side Trade

SESAGOA : Levels to watch are 149.02 and 141.48 - Bias for Short Side Trade

UCOBANK : Levels to watch are 73.55 and 65.85 - Bias for Long Side Trade


Nifty Options Data:
Highest OI : NIFTY5900PE NIFTY6000CE
Highest Rise in OI : NIFTY5900PE NIFTY6200CE
Highest Fall in OI : NIFTY5700PE NIFTY5900CE
Highest Volume : NIFTY6000PE NIFTY6100CE


FII/DII Figures:
FII Cash Net = 252.26
FII F&O Net = -605.25
FII F&O OI = 105073
DII Cash Net = -229.1


Long Build Up: CNXIT, BAJAJ-AUTO, ITC, TCS, M&M
Short Covering: PFC, UNIPHOS, GAIL, EXIDEIND, LUPIN

Short Build Up: IOC, BHEL, DABUR, FINANTECH, APOLLOTYRE
Long Unwinding: UCOBANK, INDIACEM, HAVELLS, SIEMENS, INDHOTEL


Volume Shockers (Futures) :
BAJAJ-AUTO
JISLJALEQS
FTSE100

Swing Trading (Futures):
NIL


5 Best Performing Stocks since Expiry:
AGCNET, SHASUNPHAR, GTLINFRA, FSL, TULIP

5 Worst Performing Stocks since Expiry:
ADVANTA, GITANJALI, LT, SHREEASHTA, ASHOKLEY

Position as per Trade with Trend :

NIFTY Hold Long taken at 5853.6 On 05-07-2013 StopLoss 5982.4 | Profit so far 188.95

RELIANCE Hold Long taken at 881.52 On 12-07-2013 StopLoss 909.65 | Profit so far 43.68

BANKNIFTY Hold Short taken at 11592.52 On 16-07-2013 StopLoss 11271.88 | Profit so far 594.92

SBIN Hold Short taken at 1966.17 On 03-07-2013 StopLoss 1837.8 | Profit so far 149.32

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