www.AamAadmiSoftware.com (EOD Review on 29 May 2012)
My System Calls:
1) Levels to watch are 5004.25 and 4959.05
2) Sell Below 4889.71 SL 4920.71 TGT
3) Buy Above 4951.71 SL 4920.71 TGT 5004.25, 5031.55, 5051.8
4) Supports/Resistances to Watch For :-
4916.2
4941.15
4961.4
4986.35
5006.6
5031.55
5051.8
BANKNIFTY : Levels to watch are 9704.6 and 9602.4
RELIANCE : Levels to watch are 699.4 and 687.4
SBIN : Levels to watch are 2145.2 and 2094.7
APOLLOTYRE : Levels to watch are 90.7 and 87.8 - Bias for Long Side Trade
ARVIND : Levels to watch are 78.07 and 76.43 - Bias for Long Side Trade
BPCL : Levels to watch are 712.4 and 691.8 - Bias for Short Side Trade
CNXIT : Levels to watch are 6037.9 and 5948 - Bias for Long Side Trade
COALINDIA : Levels to watch are 325.48 and 318.73 - Bias for Long Side Trade
HCLTECH : Levels to watch are 512.67 and 499.62 - Bias for Long Side Trade
SBIN : Levels to watch are 2145.2 and 2094.7 - Bias for Long Side Trade
SOUTHBANK : Levels to watch are 24.53 and 22.88 - Bias for Long Side Trade
TATAMTRDVR : Levels to watch are 157.38 and 151.83 - Bias for Long Side Trade
UNITECH : Levels to watch are 22.65 and 21.85 - Bias for Long Side Trade
WIPRO : Levels to watch are 415.5 and 402.1 - Bias for Long Side Trade
Nifty Options Data:
Highest OI : 4700PE 5100CE
Highest Rise in OI : 4800PE 5100CE
Highest Fall in OI : 4600PE 4900CE
Highest Volume : 5000PE 5000CE
FII/DII Figures:
FII Cash Net = 90.5
FII F&O Net = 892.08
FII F&O OI = 84978.53
DII Cash Net = -199.4
Long Build Up: SOUTHBANK, POWERGRID, ROLTA, BANKINDIA, PRAJIND
Short Covering: BOMDYEING, SUZLON, CROMPGREAV, HDIL, ASHOKLEY
Short Build Up: NAGAROIL, HDFCBANK, HDFC, LT, GRASIM
Long Unwinding: HINDUNILVR, GESHIP, PUNJLLOYD, VIPIND, SRTRANSFIN
Volume Shockers (Futures) :
SAIL
GVKPIL
JPPOWER
GMDCLTD
RUCHISOYA
Swing Trading (Futures):
1. HDIL Buy Above 66.72
2. TATASTEEL Buy Above 414.54
3. RELINFRA Buy Above 468.75
5 Best Performing Stocks since Expiry:
CHEMPLAST, DCW, SHANTIGEAR, KPIT, AJANTPHARM
5 Worst Performing Stocks since Expiry:
IVRCLINFRA, ORCHIDCHEM, IRB, RELMEDIA, MOSERBAER
Position as per Trade with Trend :
NIFTY Hold Long taken at 4903.43 On 24-05-2012 StopLoss 4922.85 ->Reverse Trade StopLoss 4977.33| Profit so far 78.22
BANKNIFTY Hold Long taken at 9361.32 On 24-05-2012 StopLoss 9463 ->Reverse Trade StopLoss 9623| Profit so far 292.18
RELIANCE Hold Long taken at 687.68 On 28-05-2012 StopLoss 684.88 ->Reverse Trade StopLoss 694.47| Profit so far 5.72
SBIN Hold Long taken at 1841.38 On 18-05-2012 StopLoss 2022.58 ->Reverse Trade StopLoss 2092.33| Profit so far 278.57
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