1) Levels to watch are 5570 and 5498.4
2) Sell Below 5521.3 SL 5552.3 TGT 5498.4, 5447.2, 5419.1
3) Buy Above 5583.3 SL 5552.3 TGT 5633.9, 5658.9
4) Supports/Resistances to Watch For :-
5419.1
5447.2
5490.7
5518.8
5562.3
5590.4
5633.9
Camarilla Calls:
1) Sell Below 5494.82 SL 5514.51 TGT 5448.09, 5430.91
2) Sell Below 5553.89 SL 5573.58 TGT 5540.76, 5527.64, 5514.51
3) Buy Above 5514.51 SL 5494.82 TGT 5527.64, 5540.76, 5553.89
4) Buy Above 5573.58 SL 5553.89 TGT 5591.29
BankNifty : Levels to watch are 10936.65 and 10725.65
Nifty Options Data:
Highest OI : 5400PE 5800CE
Highest Rise in OI : 5400PE 5800CE
Highest Fall in OI : 5200PE 5600CE
Highest Volume : 5500PE 5600CE
FII/DII Figures:
FII Cash Net = -201.78
FII F&O Net = -16.43
FII F&O OI = 89619.65
DII Cash Net = 184.99
Long Build Up: RAYMOND, IDFC, IGL, CROMPGREAV, CNXIT
Short Covering: SUNTV, UCOBANK, CONCOR, SRTRANSFIN, BEL
Short Build Up: HINDALCO, AXISBANK, INDIANB, BPCL, GAIL
Long Unwinding: EXIDEIND, DABUR, ITC, MAX, JPPOWER
Volume Shockers (Futures) :
TULIP
RAYMOND
Swing Trading (Futures):
1. JPASSOCIAT Sell Below 84.28
2. AXISBANK Sell Below 1237.36
5 Best Performing Stocks since Expiry:
HOPFL, NDTV, UFLEX, SONATSOFTW, UTVSOF
5 Worst Performing Stocks since Expiry:
SUNTV, BEML, M&M, LITL, JAICORPLTD
Nifty Position as per Trade with Trend :
NIFTY Hold Short taken at 5519.03 On 03-06-2011 StopLoss 5577.35 ->Reverse Trade StopLoss 5505.2| Profit so far -15.17
(For Other Stock Positions, Please visit http://shalabhtyagi.blogspot.com)
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