Friday, December 14, 2012

EOD Review On 14-Dec-2012 : Calls for Next Trading Day

www.AamAadmiSoftware.com (EOD Review on 14 Dec 2012)

My System Calls:

1) Levels to watch are 5940.35 and 5889.45

2) Sell Below 5887.09 SL 5918.09 TGT 5852.3, 5832.7
3) Buy Above 5949.09 SL 5918.09 TGT 5985.4, 6010.4

4) Supports/Resistances to Watch For :-

5832.7
5852.3
5883.6
5903.2
5934.5
5954.1
5985.4

Camarilla Calls:
1) Sell Below 5886.9 SL 5900.9 TGT 5852.56, 5840.34
2) Sell Below 5928.9 SL 5942.89 TGT 5919.57, 5910.23, 5900.9
3) Buy Above 5900.9 SL 5886.9 TGT 5910.23, 5919.57, 5928.9
4) Buy Above 5942.89 SL 5928.9 TGT 5954.36


BANKNIFTY : Levels to watch are 12656.47 and 12373.22

RELIANCE : Levels to watch are 852.53 and 834.88

SBIN : Levels to watch are 2372.77 and 2295.83

AUROPHARMA : Levels to watch are 188.5 and 181 - Bias for Short Side Trade

DIVISLAB : Levels to watch are 1150.57 and 1127.93 - Bias for Short Side Trade

FEDERALBNK : Levels to watch are 488.93 and 482.27 - Bias for Short Side Trade

GUJFLUORO : Levels to watch are 336.3 and 327.5 - Bias for Short Side Trade

OFSS : Levels to watch are 3264.8 and 3129.8 - Bias for Long Side Trade

PFC : Levels to watch are 194.92 and 189.98 - Bias for Short Side Trade

TATACOMM : Levels to watch are 228.3 and 223.8 - Bias for Short Side Trade

TATAMOTORS : Levels to watch are 298.35 and 288.85 - Bias for Long Side Trade

TECHM : Levels to watch are 968.25 and 925.45 - Bias for Long Side Trade

VOLTAS : Levels to watch are 106.8 and 104.1 - Bias for Short Side Trade


Nifty Options Data:
Highest OI : 5800PE 6000CE
Highest Rise in OI : 5800PE 6100CE
Highest Fall in OI : 5500PE 6200CE
Highest Volume : 5800PE 5900CE


FII/DII Figures:
FII Cash Net = 574.38
FII F&O Net = -131.81
FII F&O OI = 94059.36
DII Cash Net = -512.43


Long Build Up: CANBK, SAIL, UNIONBANK, TATAMTRDVR, DENABANK
Short Covering: FINANTECH, WELCORP, LICHSGFIN, TCS, BHARATFORG

Short Build Up: FEDERALBNK, PFC, PETRONET, TITAN, EXIDEIND
Long Unwinding: HEROMOTOCO, DABUR, JPPOWER, PEL, SIEMENS


Volume Shockers (Futures) :
SUZLON

Swing Trading (Futures):
1. ITC Sell Below 296.84

5 Best Performing Stocks since Expiry:
MOSERBAER, PVP, 3IINFOTECH, LAKSHVILAS, SREINFRA

5 Worst Performing Stocks since Expiry:
SUNDARMFIN, GTLINFRA, HEXAWARE, BALRAMCHIN, KGL

Position as per Trade with Trend :

BANKNIFTY Hold Long taken at 11476.23 On 21-11-2012 StopLoss 12312.58 ->Reverse Trade StopLoss 12516.85| Profit so far 1038.62

NIFTY Hold Short taken at 5912.33 On 13-12-2012 StopLoss 5941.67 ->Reverse Trade StopLoss 5884.3| Profit so far -2.57

RELIANCE Hold Short taken at 829.35 On 11-12-2012 StopLoss 845.25 ->Reverse Trade StopLoss 829.43| Profit so far -14.35

SBIN Hold Short taken at 2300.98 On 13-12-2012 StopLoss 2337.08 ->Reverse Trade StopLoss 2276.8| Profit so far -33.32

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