Friday, May 16, 2014

EOD Review On 16-May-2014 : Calls for Next Trading Day

www.AamAadmiSoftware.com (EOD Review on 16 May 2014)

My System Calls:

1) Levels to watch are 7476.95 and 7011.85

2) Sell Below 7110.38 SL 7141.38 TGT 7011.85, 6878, 6596.1
3) Buy Above 7172.38 SL 7141.38 TGT 7476.95, 7808.2, 7991.4

4) Supports/Resistances to Watch For :-

6596.1
6878
7061.2
7343.1
7526.3
7808.2
7991.4

Camarilla Calls:
1) Sell Below 6988.59 SL 7116.5 TGT 6871.54
2) Sell Below 7372.3 SL 7500.2 TGT 7287.03, 7201.77, 7116.5
3) Buy Above 7116.5 SL 6988.59 TGT 7201.77, 7287.03, 7372.3
4) Buy Above 7500.2 SL 7372.3 TGT 7801.74, 7913.36


BANKNIFTY : Levels to watch are 15796.22 and 14099.38

USDINR-1 : Levels to watch are 59.3 and 58.8

RELIANCE : Levels to watch are 1126.72 and 1046.28

SBIN : Levels to watch are 2528.4 and 2315.4

ARVIND : Levels to watch are 188.72 and 170.18 - Bias for Short Side Trade

DABUR : Levels to watch are 187.67 and 177.73 - Bias for Short Side Trade

HINDUNILVR : Levels to watch are 600.92 and 567.78 - Bias for Long Side Trade

JSWENERGY : Levels to watch are 66.12 and 60.47 - Bias for Long Side Trade

LUPIN : Levels to watch are 997.43 and 937.97 - Bias for Short Side Trade


Nifty Options Data:
Highest OI : NIFTY7000PE NIFTY8000CE
Highest Rise in OI : NIFTY7300PE NIFTY7700CE
Highest Fall in OI : NIFTY6400PE NIFTY7200CE
Highest Volume : NIFTY7000PE NIFTY7500CE


FII/DII Figures:
FII Cash Net = 3634.82
FII F&O Net = -5293.16
FII F&O OI = 151672.8
DII Cash Net = -349.32


Long Build Up: ANDHRABANK, IOC, PTC, ONGC, SAIL
Short Covering: IBREALEST, IDBI, SUNTV, RELINFRA, TATAMTRDVR

Short Build Up: TATASTEEL, HDFC, ITC, DRREDDY, BAJAJ-AUTO
Long Unwinding: TITAN, JUSTDIAL, CROMPGREAV, CNXIT, COLPAL


Volume Shockers (Futures) :
NIL


Swing Trading (Futures):
1. CROMPGREAV Sell Below 173.66
2. INFY Sell Below 3155.57
3. HDFC Sell Below 886.65

5 Best Performing Stocks since Expiry:
SINTEX, STERLINBIO, CENTURYPLY, HSIL, ATUL

5 Worst Performing Stocks since Expiry:
REIAGROLTD, MIRCELECTR, FINANTECH, HEXAWARE, TULIP

Position as per Trade with Trend :

NIFTY Hold Long taken at 6747.9 On 09-05-2014 StopLoss 7126.2 | Profit so far 496.5

BANKNIFTY Hold Long taken at 13132.65 On 09-05-2014 StopLoss 14227.23 | Profit so far 1815.15

RELIANCE Hold Long taken at 955.3 On 06-05-2014 StopLoss 1047.38 | Profit so far 131.2

SBIN Hold Long taken at 2018.82 On 17-04-2014 StopLoss 2282.6 | Profit so far 403.08

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