EOD Review on 03 Jan 2022
My System Levels:
1) Levels to watch are 17819.1 and 17536.8
2) Sell Below 17257.27 SL 17350.45 TGT 17212.25, 17187.25
3) Buy Above 17443.62 SL 17350.45 TGT 17819.1, 17875.75, 18059.15
4) Supports/Resistances to Watch For :-
17212.25
17311.15
17494.55
17593.45
17776.85
17875.75
18059.15
Camarilla Levels:
1) Sell Below 17522.68 SL 17600.32 TGT 17302.78, 17235.03
2) Sell Below 17755.58 SL 17833.21 TGT 17703.83, 17652.07, 17600.32
3) Buy Above 17600.32 SL 17522.68 TGT 17652.07, 17703.83, 17755.58
4) Buy Above 17833.21 SL 17755.58 TGT 17867.37
BANKNIFTY : Levels to watch are 37079.3 and 36085.6
USDINR-1 : Levels to watch are 74.62 and 74.15
RELIANCE : Levels to watch are 2433.88 and 2390.23
SBIN : Levels to watch are 478.22 and 465.88
--------------------
Position as per Trade with Trend :
RELIANCE(Futures) Bought at 2407.25 StopLoss 2362.4| Profit so far 4.8
NIFTY(Futures) Holding Long taken at 17061.25 On 22-12-2021 StopLoss 17275.58 | Profit so far 616.7
BANKNIFTY(Futures) Holding Long taken at 35312.42 On 31-12-2021 StopLoss 35198.08 | Profit so far 1270.03
SBIN(Futures) Holding Long taken at 460.17 On 31-12-2021 StopLoss 455.12 | Profit so far 11.88
NIFTY(Indices) Holding Long taken at 17024.88 On 22-12-2021 StopLoss 17256.05 | Profit so far 600.82
BANK_NIFTY(Indices) Holding Long taken at 35303.25 On 31-12-2021 StopLoss 35130.54 | Profit so far 1118.65
NIFTYBEES(BEES) Bought at 188.37 StopLoss 185.25| Profit so far 2.35
BANKBEES(BEES) Holding Long taken at 356.04 On 31-12-2021 StopLoss 352.8 | Profit so far 10.78
--------------------
Nifty Options Data:
Highest OI : NIFTY17100PE NIFTY17800CE
Highest Rise in OI : NIFTY17600PE NIFTY18500CE
Highest Fall in OI : NIFTY17000PE NIFTY17350CE
Highest Volume : NIFTY17600PE NIFTY17800CE
--------------------
BankNifty Options Data:
Highest OI : BNF0612235000PE BNF0612238000CE
Highest Rise in OI : BNF0612236000PE BNF0612238000CE
Highest Fall in OI : BNF0612232500PE BNF0612235500CE
Highest Volume : BNF0612235500PE BNF0612236000CE
--------------------
Market Mood as on Jan 03,2022""
FII Mood - Weak Bearish
Retailers Mood - Weak Bullish
Overall Market Mood - Volatile/Indecisive with Weak Bearish
--------------------
FII/DII Figures:
FII Cash Net = N.A.
FII F&O Net = N.A.
FII F&O OI = N.A.
DII Cash Net = N.A.
--------------------
Long Build Up: RBLBANK, IBULHSGFIN, IDEA, BSOFT, FSL
Short Covering: EICHERMOT, AXISBANK, AUBANK, IDFCFIRSTB, LALPATHLAB
Short Build Up: BATAINDIA, COROMANDEL, TRENT, COLPAL, M&M
Long Unwinding: SYNGENE, AUROPHARMA, SRF, IPCALAB, GLENMARK
--------------------
Volume Shockers (Futures) :
NIL
--------------------
Swing Trading (Futures):
1. PVR Buy Above 1356.98
2. SAIL Buy Above 109.83
3. KOTAKBANK Buy Above 1811.64
4. HDFC Buy Above 2637.95
--------------------
Hot Stocks (Price Action):
BALPHARMA
HIRECT
HTMEDIA
KOTHARIPRO
ORIENTHOT
UCALFUEL
VINDHYATEL
ADVANIHOTR
JMCPROJECT
ECLERX
ASIANHOTNR
VADILALIND
BANARBEADS
MINDACORP
ALBERTDAVD
SOLARA
AARON
--------------------
5 Best Performing Stocks since Expiry:
JPPOWER, ORIENTHOT, RAJESHEXPO, IDFC, GREAVESCOT
--------------------
5 Worst Performing Stocks since Expiry:
SURYAROSNI, PARSVNATH, ANDHRSUGAR, PATELENG, HEG
--------------------
Turtle Trend Trading :
TORNTPHARM Bought at 3248.8
--------------------
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
INDIGO Bought at 2017.55
DLF Place Order at 390.45
HCLTECH Place Order at 1205
HINDPETRO Place Order at 296.9
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