EOD Review on 23 Mar 2026
My System Levels:
1) Levels to watch are 22699.35 and 22330.45
2) Sell Below 23106.9 SL 23220.8 TGT 22330.45, 22239.7, 22008.4
3) Buy Above 23334.7 SL 23220.8 TGT
4) Supports/Resistances to Watch For :-
22008.4
22239.7
22377.3
22608.6
22746.2
22977.5
23115.1
Camarilla Levels:
1) Sell Below 22312.01 SL 22413.45 TGT 22242.28
2) Sell Below 22616.35 SL 22717.8 TGT 22548.72, 22481.08, 22413.45
3) Buy Above 22413.45 SL 22312.01 TGT 22481.08, 22548.72, 22616.35
4) Buy Above 22717.8 SL 22616.35 TGT 22980.08, 23068.62
BANKNIFTY : Levels to watch are 52255.1 and 50736.9
RELIANCE : Levels to watch are 1417.45 and 1393.95
SBIN : Levels to watch are 1044.8 and 1015.6
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Position as per Trade with Trend :
NIFTY(Futures) Holding Short taken at 23348.8 On 19-03-2026 StopLoss 23203.1 | Profit so far 833.9
BANKNIFTY(Futures) Holding Short taken at 54157.27 On 19-03-2026 StopLoss 53893.8 | Profit so far 2661.27
RELIANCE(Futures) Holding Short taken at 1384.87 On 19-03-2026 StopLoss 1418.87 | Profit so far -20.83
SBIN(Futures) Holding Short taken at 1212.17 On 25-02-2026 StopLoss 1063.57 | Profit so far 181.97
NIFTY(Indices) Holding Short taken at 23306.77 On 19-03-2026 StopLoss 23191.85 | Profit so far 794.12
BANK_NIFTY(Indices) Holding Short taken at 54020.14 On 19-03-2026 StopLoss 53732.68 | Profit so far 2582.39
NIFTYBEES(BEES) Holding Short taken at 263.92 On 19-03-2026 StopLoss 265.14 | Profit so far 8.77
BANKBEES(BEES) Holding Short taken at 557.98 On 19-03-2026 StopLoss 558.08 | Profit so far 26.31
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Nifty Options Data:
Highest OI : NIFTY20000PE NIFTY24000CE
Highest Rise in OI : NIFTY20850PE NIFTY24000CE
Highest Fall in OI : NIFTY23000PE NIFTY24500CE
Highest Volume : NIFTY22600PE NIFTY22700CE
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Market Mood as on Mar 23, 2026""
FII Mood - Bearish
Retailers Mood - Weak Bullish
Overall Market Mood - Volatile/Indecisive with Bearish
--------------------
FII/DII Figures:
FII Cash Net = -10414.23
FII F&O Net = N.A.
FII F&O OI = N.A.
DII Cash Net = 12033.97
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FII OI Data:
Future Index Long:51014(3768)
Future Index Short:294975(13221)
Future Stock Long:4142574(56535)
Future Stock Short:3139881(56150)
Option Index Call Long:733467(79777)
Option Index Put Long:1064583(11424)
Option Index Call Short:988342(86432)
Option Index Put Short:625313(11850)
Option Stock Call Long:259855(-4665)
Option Stock Put Long:330832(7787)
Option Stock Call Short:380907(14873)
Option Stock Put Short:247135(3315)
Total Long Contract:6582324(154626)
Total Short Contract:5676553(185841)
Total UP Side Contract:6059358(150580)
Total Down Side Contract:6199520(189887)
L/S FII Index Fut Ratio:15
L/S FII Stock Fut Ratio:57
--------------------
Long Build Up: INFY, PREMIERENE, HCLTECH, TECHM
Short Covering: POWERGRID, COFORGE
Short Build Up: OBEROIRLTY, PGEL, MUTHOOTFIN, JSWENERGY, 360ONE
Long Unwinding: GODREJPROP, POLYCAB, DRREDDY, VEDL, BANDHANBNK
--------------------
Volume Shockers (Futures) :
AUROPHARMA
--------------------
Swing Trading (Futures):
1. TATAPOWER Sell Below 385.95
--------------------
Swing Trading (NSE Cash Scrips):
BAJFINANCE Buy Above 812.6 SL 787.9
CUMMINSIND Buy Above 4518 SL 4394
PFC Buy Above 398 SL 386.4
TECHM Sell Below 1384 SL 1414.6
APOLLOHOSP Long Intraday Below 7044.60 SL 7009.20
BEL Long Intraday Below 401.98 SL 399.96
BRITANNIA Long Intraday Below 5448.12 SL 5420.75
CASTROLIND Long Intraday Below 176.21 SL 175.33
CIPLA Long Intraday Below 1211.71 SL 1205.62
HDFCBANK Long Intraday Below 737.34 SL 733.64
HINDALCO Long Intraday Below 831.77 SL 827.59
HINDZINC Long Intraday Below 481.58 SL 479.16
MRF Long Intraday Below 122837.73 SL 122220.45
PETRONET Long Intraday Below 234.17 SL 233.00
SRF Long Intraday Below 2369.10 SL 2357.19
TATACHEM Long Intraday Below 592.27 SL 589.30
VEDL Long Intraday Below 631.08 SL 627.91
VOLTAS Long Intraday Below 1216.89 SL 1210.77
--------------------
Hot Stocks (Price Action):
NOCIL
-------------------
Very High Delivery Volume Stocks
--------------------
5 Best Performing Stocks since Expiry:
GUJALKALI, HAPPSTMNDS, NOCIL, ZYDUSWELL, STAR
--------------------
5 Worst Performing Stocks since Expiry:
METROPOLIS, ECLERX, IDBI, RAIN, SUNTECK
---------------
Pivot Based Short Term Ideas
ATGL : Sell Below 510.1 CSL Above 528.95
BAYERCROP : Sell Below 4401 CSL Above 4657.133
CGCL : Sell Below 157.1 CSL Above 165.41
CASTROLIND : Sell Below 177.1 CSL Above 186.3433
DRREDDY : Sell Below 1244.2 CSL Above 1260.133
FINCABLES : Sell Below 805.2 CSL Above 852.35
KAJARIACER : Sell Below 877.6 CSL Above 946.6166
NATCOPHARM : Sell Below 924.4 CSL Above 932.6833
NHPC : Sell Below 74.7 CSL Above 76.51
NLCINDIA : Sell Below 250.4 CSL Above 257.6167
SCHAEFFLER : Sell Below 3922 CSL Above 4117
SHILPAMED : Sell Below 311.05 CSL Above 319.85
VALIANTORG : Sell Below 238.94 CSL Above 247.4767
-----------------
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: BATAINDIA, BLUESTARCO, BBTC, BRITANNIA, BURGERKING, DABUR, DALBHARAT, ENDURANCE, FEDERALBNK, FORTIS, FRETAIL, GLAXO, GRAPHITE, HDFCLIFE, INDUSTOWER, JSL, KANSAINER, M&MFIN, NILKAMAL, ONGC, PNB, SOLARA, SUNDARMFIN, VAKRANGEE, WELCORP, WELSPUNIND, WESTLIFE,
OverBought Stocks: GUJALKALI, MOIL,
--------------------
Turtle Trend Trading :
AJANTPHARM SL HIT : Long took at 2624.7 on 20251204 Stoploss 2830 | Profit Booked 205.30(7.82%)
CROMPTON SL HIT : Long took at 269.85 on 20260216 Stoploss 238.75 | Profit Booked -31.10(-11.52%)
CUMMINSIND SL HIT : Long took at 4615 on 20260218 Stoploss 4478.1 | Profit Booked -136.90(-2.97%)
VEDL SL HIT : Long took at 479.9 on 20251009 Stoploss 660.4 | Profit Booked 180.50(37.61%)
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DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
INDUSTOWER Place Order at 382.75
--------------------
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
SBIN Modify Buy Order at 1064.91
AXISBANK Existing Buy Order at 1115.19
Astro Predictions for 24-Mar-2026
Market Nature : VOLATILE
Reversal Timings :
09:43
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