1) Levels to watch are 4775.02 and 4632.77
2) Sell Below 4797.01 SL 4828.01 TGT 4632.77, 4561.3, 4490.35
3) Buy Above 4859.01 SL 4828.01 TGT 4917.1, 4942.1
4) Supports/Resistances to Watch For :-
4490.35
4561.3
4632.6
4703.55
4774.85
4845.8
4917.1
Camarilla Calls:
1) Sell Below 4625.66 SL 4664.78 TGT 4578.2, 4544.06
2) Sell Below 4743.02 SL 4782.14 TGT 4716.94, 4690.86, 4664.78
3) Buy Above 4664.78 SL 4625.66 TGT 4690.86, 4716.94, 4743.02
4) Buy Above 4782.14 SL 4743.02 TGT 4828.56, 4862.7
BankNifty : Levels to watch are 8553.95 and 8240.85
Nifty Options Data:
Highest OI : 4600PE 5200CE
Highest Rise in OI : 4600PE 4700CE
Highest Fall in OI : 4800PE 5000CE
Highest Volume : 4700PE 4700CE
FII/DII Figures:
FII Cash Net = -1186.42
FII F&O Net = -1305.2
FII F&O OI = 102010.5
DII Cash Net = 926.16
Long Build Up: IGL, RAYMOND, UNIONBANK, SUNTV, JUBLFOOD
Short Covering: VIPIND, PNB, SUZLON, NTPC, ASHOKLEY
Short Build Up: JINDALSAW, MRF, DHANBANK, BOSCHLTD, GLAXO
Long Unwinding: MPHASIS, RUCHISOYA, PRAJIND, ITC, GAIL
Volume Shockers (Futures) :
BEL
DIVISLAB
GLAXO
UNIPHOS
OFSS
COREEDUTEC
Swing Trading (Futures):
NIL
5 Best Performing Stocks since Expiry:
PATNI, CMC, HINDUNILVR, APOLLOHOSP, APOLLOTYRE
5 Worst Performing Stocks since Expiry:
VIPIND, PARSVNATH, RENUKA, AMTEKINDIA, SUZLON
Nifty Position as per Trade with Trend :
NIFTY Hold Short taken at 5300.63 On 01-11-2011 StopLoss 4837.83 ->Reverse Trade StopLoss 4727.27| Profit so far 596.73
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