www.AamAadmiSoftware.com (EOD Review on 03 Mar 2014)
My System Calls:
1) Levels to watch are 6271.9 and 6207
2) Sell Below 6202.96 SL 6233.96 TGT 6149.1, 6124.1
3) Buy Above 6264.96 SL 6233.96 TGT 6271.9, 6318.35, 6343.8
4) Supports/Resistances to Watch For :-
6149.1
6188.55
6214
6253.45
6278.9
6318.35
6343.8
Camarilla Calls:
1) Sell Below 6203.76 SL 6221.6 TGT 6187.76
2) Sell Below 6257.3 SL 6275.15 TGT 6245.4, 6233.5, 6221.6
3) Buy Above 6221.6 SL 6203.76 TGT 6233.5, 6245.4, 6257.3
4) Buy Above 6275.15 SL 6257.3 TGT 6317.56, 6333.14
BANKNIFTY : Levels to watch are 10783.95 and 10530.95
USDINR-1 : Levels to watch are 62.5 and 62.23
RELIANCE : Levels to watch are 811.45 and 801.95
SBIN : Levels to watch are 1534.48 and 1484.32
FTSE100 : Levels to watch are 6729 and 6691 - Bias for Short Side Trade
HCLTECH : Levels to watch are 1556.5 and 1475.6 - Bias for Short Side Trade
HINDUNILVR : Levels to watch are 550.58 and 543.23 - Bias for Short Side Trade
JPPOWER : Levels to watch are 15.9 and 12.3 - Bias for Short Side Trade
TATAGLOBAL : Levels to watch are 139.93 and 133.77 - Bias for Short Side Trade
TECHM : Levels to watch are 1933.85 and 1891.95 - Bias for Long Side Trade
Nifty Options Data:
Highest OI : NIFTY6200PE NIFTY6300CE
Highest Rise in OI : NIFTY6200PE NIFTY6300CE
Highest Fall in OI : NIFTY5500PE NIFTY5900CE
Highest Volume : NIFTY6200PE NIFTY6300CE
FII/DII Figures:
FII Cash Net = 198.53
FII F&O Net = 395.31
FII F&O OI = 74639.18
DII Cash Net = 1566.31
Long Build Up: MCLEODRUSS, ADANIENT, DIVISLAB, HINDPETRO, GSKCONS
Short Covering: GLENMARK, TECHM, HINDALCO, PETRONET, ORIENTBANK
Short Build Up: M&MFIN, HCLTECH, JPPOWER, RELINFRA, TATACHEM
Long Unwinding: ZEEL, BHARATFORG, BANKNIFTY, BATAINDIA, PNB
Volume Shockers (Futures) :
MCLEODRUSS
Swing Trading (Futures):
1. JPASSOCIAT Sell Below 40.73
2. IDFC Buy Above 96.36
3. PNB Sell Below 544.89
5 Best Performing Stocks since Expiry:
ASTRAZEN, TATAELXSI, MONSANTO, TATASPONGE, TULIP
5 Worst Performing Stocks since Expiry:
LAKSHMIEFL, SHREEASHTA, BALAJITELE, GOKEX, PURVA
Position as per Trade with Trend :
BANKNIFTY Sold at 10664.13 StopLoss 10817.22
NIFTY Hold Long taken at 6099.82 On 17-02-2014 StopLoss 6231.4 | Profit so far 139.63
SBIN Hold Long taken at 1510.47 On 24-02-2014 StopLoss 1504.37 | Profit so far -1.07
RELIANCE Hold Short taken at 883.1 On 20-01-2014 StopLoss 815.75 | Profit so far 76.4
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