www.AamAadmiSoftware.com (EOD Review on 16 Aug 2012)
My System Calls:
1) Levels to watch are 5398.9 and 5365.1
2) Sell Below 5340.18 SL 5371.18 TGT
3) Buy Above 5402.18 SL 5371.18 TGT 5423.2, 5436.4
4) Supports/Resistances to Watch For :-
5335
5355.6
5368.8
5389.4
5402.6
5423.2
5436.4
BANKNIFTY : Levels to watch are 10550.7 and 10394.7
RELIANCE : Levels to watch are 826.65 and 806.85
SBIN : Levels to watch are 1919.4 and 1884.8
ABIRLANUVO : Levels to watch are 828.25 and 790.85 - Bias for Long Side Trade
CAIRN : Levels to watch are 337.12 and 332.38 - Bias for Long Side Trade
DABUR : Levels to watch are 121.68 and 115.22 - Bias for Short Side Trade
ITC : Levels to watch are 265.17 and 254.53 - Bias for Short Side Trade
JISLJALEQS : Levels to watch are 82.3 and 76.6 - Bias for Short Side Trade
JSWISPAT : Levels to watch are 11.58 and 10.62 - Bias for Long Side Trade
LUPIN : Levels to watch are 574.38 and 544.82 - Bias for Short Side Trade
MRPL : Levels to watch are 62.15 and 58.85 - Bias for Long Side Trade
NCC : Levels to watch are 42.32 and 41.18 - Bias for Long Side Trade
PIRHEALTH : Levels to watch are 527.48 and 503.83 - Bias for Short Side Trade
SBIN : Levels to watch are 1919.4 and 1884.8 - Bias for Short Side Trade
UNIPHOS : Levels to watch are 119.27 and 115.23 - Bias for Short Side Trade
Nifty Options Data:
Highest OI : 5000PE 5500CE
Highest Rise in OI : 5500PE 5600CE
Highest Fall in OI : 5000PE 5200CE
Highest Volume : 5300PE 5400CE
FII/DII Figures:
FII Cash Net = 95.01
FII F&O Net = -885.97
FII F&O OI = 91585.62
DII Cash Net = 225.3
Long Build Up: ABIRLANUVO, TECHM, MRF, DELTACORP, MTNL
Short Covering: RANBAXY, APOLLOTYRE, INDIANB, VOLTAS, DENABANK
Short Build Up: LUPIN, OPTOCIRCUI, JISLJALEQS, UNIPHOS, EXIDEIND
Long Unwinding: JETAIRWAYS, COALINDIA, BAJAJHLDNG, SUNTV, CNXIT
Volume Shockers (Futures) :
ABIRLANUVO
LUPIN
Swing Trading (Futures):
1. ITC Sell Below 259.69
5 Best Performing Stocks since Expiry:
DISHMAN, MASTEK, HERITGFOOD, WOCKPHARMA, AMARAJABAT
5 Worst Performing Stocks since Expiry:
DCHL, KOUTONS, SKUMARSYNF, PARSVNATH, GOKEX
Position as per Trade with Trend :
NIFTY Hold Long taken at 5143.25 On 30-07-2012 StopLoss 5352.87 ->Reverse Trade StopLoss 5401.53| Profit so far 238.75
BANKNIFTY Hold Long taken at 10536.53 On 14-08-2012 StopLoss 10409.03 ->Reverse Trade StopLoss 10568.32| Profit so far -63.83
RELIANCE Hold Long taken at 722.95 On 27-07-2012 StopLoss 792.43 ->Reverse Trade StopLoss 807.98| Profit so far 93.8
SBIN Hold Short taken at 2027.98 On 09-08-2012 StopLoss 1931.2 ->Reverse Trade StopLoss 1890.43| Profit so far 125.88
Subscribe to:
Post Comments (Atom)
No comments:
Post a Comment