EOD Review on 04 Jun 2026 My System Levels: 1) Levels to watch are 23620.5 and 23402.7 2) Sell Below 23454.13 SL 23568.24 TGT 23402.7, 23242.67, 23159.34 3) Buy Above 23682.35 SL 23568.24 TGT 23812.74, 23837.74 4) Supports/Resistances to Watch For :- 23159.34 23242.67 23377.14 23460.47 23594.94 23678.27 23812.74 Camarilla Levels: 1) Sell Below 23391.81 SL 23451.7 TGT 23243.24, 23190.96 2) Sell Below 23571.49 SL 23631.39 TGT 23531.56, 23491.63, 23451.7 3) Buy Above 23451.7 SL 23391.81 TGT 23491.63, 23531.56, 23571.49 4) Buy Above 23631.39 SL 23571.49 TGT 23678.84 BANKNIFTY : Levels to watch are 54928.6 and 54304.6 RELIANCE : Levels to watch are 1319.2 and 1300.2 SBIN : Levels to watch are 997.72 and 972.97 -------------------- Position as per Trade with Trend : BANKNIFTY(Futures) Bought at 54675.2 StopLoss 53604.86| Profit so far -58.6 SBIN(Futures) Holding Long taken at 975.23 On 03-06-2026 StopLoss 952.57 | Profit so far 10.12 NIFTY(Futures) Holding Short taken at 23896.67 On 29-05-2026 StopLoss 23591.27 | Profit so far 385.07 RELIANCE(Futures) Holding Short taken at 1355.23 On 29-05-2026 StopLoss 1325.77 | Profit so far 45.53 BANK_NIFTY(Indices) Bought at 54271.89 StopLoss 53326.14| Profit so far 35.96 NIFTY(Indices) Holding Short taken at 23888.85 On 29-05-2026 StopLoss 23493.97 | Profit so far 472.3 BANKBEES(BEES) Bought at 561.28 StopLoss 550.3| Profit so far -0.01 NIFTYBEES(BEES) Holding Short taken at 269.87 On 29-05-2026 StopLoss 266.66 | Profit so far 4.27 -------------------- Nifty Options Data: Highest OI : NIFTY22000PE NIFTY25000CE Highest Rise in OI : NIFTY23300PE NIFTY25000CE Highest Fall in OI : NIFTY21100PE NIFTY23800CE Highest Volume : NIFTY23300PE NIFTY23500CE -------------------- Market Mood as on Jun 04, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -4447.06 FII F&O Net = -226.54 FII F&O OI = N.A. DII Cash Net = 4360.14 --------------- FII OI Data: Future Index Long:28171(2220) Future Index Short:292739(7535) Future Stock Long:3994648(7626) Future Stock Short:3305830(9628) Option Index Call Long:514106(27095) Option Index Put Long:920148(16923) Option Index Call Short:788094(49738) Option Index Put Short:403282(38061) Option Stock Call Long:139392(6303) Option Stock Put Long:219675(17459) Option Stock Call Short:241321(14148) Option Stock Put Short:142284(9409) Total Long Contract:5816140(77626) Total Short Contract:5173550(128518) Total UP Side Contract:5221883(90714) Total Down Side Contract:5767807(115431) L/S FII Index Fut Ratio:9 L/S FII Stock Fut Ratio:55 -------------------- Long Build Up: GVT&D, KALYANKJIL, NAM-INDIA, BLUESTARCO, NHPC Short Covering: HYUNDAI, FORCEMOT, BSE, MCX, SUPREMEIND Short Build Up: VMM, ULTRACEMCO, 360ONE, NIFTY, ASHOKLEY Long Unwinding: ASIANPAINT, POWERGRID, SRF, DMART, INDIANB -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): NIL -------------------- Swing Trading (NSE Cash Scrips): HINDZINC Long Intraday Below 598.74 SL 595.73 NTPC Long Intraday Below 362.53 SL 360.71 -------------------- Hot Stocks (Price Action): EVEREADY PANACEABIO RICOAUTO BHAGERIA MSTCLTD ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: STLTECH, KPRMILL, WOCKPHARMA, BALAMINES, ZEEL -------------------- 5 Worst Performing Stocks since Expiry: KSB, TRENT, NATCOPHARM, SCHNEIDER, ORIENTELEC --------------- Pivot Based Short Term Ideas CUMMINSIND : Buy Above 5867.5 CSL Below 5709.5 ENGINERSIN : Buy Above 238.61 CSL Below 237.2333 PAGEIND : Buy Above 38945 CSL Below 37801.67 TITAN : Buy Above 4273.8 CSL Below 4221.667 AAVAS : Sell Below 88 CSL Above 529.8 JUSTDIAL : Sell Below 522.95 CSL Above 529.7167 NATIONALUM : Sell Below 412.55 CSL Above 418.1833 TATASTEEL : Sell Below 209.31 CSL Above 211.82 VALIANTORG : Sell Below 290.6 CSL Above 295 ZENSARTECH : Sell Below 476.5 CSL Above 500.4167 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: EIHOTEL, FORTIS, FRETAIL, GSFC, GSPL, INGERRAND, INOXLEISUR, JUBLPHARMA, MRF, MARICO, NATCOPHARM, PNCINFRA, PVR, WELCORP, WELSPUNIND, OverBought Stocks: CGCL, GRANULES, HFCL, -------------------- Turtle Trend Trading : BIOCON Bought at 406.6 CROMPTON SL HIT : Long took at 274.77 on 20260429 Stoploss 269.05 | Profit Booked -5.72(-2.08%) TRENT SL HIT : Long took at 4299 on 20260421 Stoploss 3980.6 | Profit Booked -318.40(-7.41%) -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : BERGEPAINT Place Order at 478.45 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : TATAMOTORS Existing Buy Order at 1180.41 Astro Predictions for 05-Jun-2026 Market Nature : SIDEWAYS Reversal Timings : From 12:36 to 13:41 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
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