EOD Review on 30 Apr 2026 My System Levels: 1) Levels to watch are 24247.45 and 23948.95 2) Sell Below 23958.05 SL 24077.38 TGT 23948.95, 23734.4, 23617.8 3) Buy Above 24196.71 SL 24077.38 TGT 24247.45, 24331.4, 24513.3 4) Supports/Resistances to Watch For :- 23617.8 23734.4 23916.3 24032.9 24214.8 24331.4 24513.3 Camarilla Levels: 1) Sell Below 23934.02 SL 24016.11 TGT 23737.57, 23665.93 2) Sell Below 24180.29 SL 24262.37 TGT 24125.56, 24070.84, 24016.11 3) Buy Above 24016.11 SL 23934.02 TGT 24070.84, 24125.56, 24180.29 4) Buy Above 24262.37 SL 24180.29 TGT 24334.57 BANKNIFTY : Levels to watch are 55567.7 and 54822.7 RELIANCE : Levels to watch are 1456.1 and 1414.3 SBIN : Levels to watch are 1075.1 and 1053.1 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Holding Long taken at 1356.4 On 27-04-2026 StopLoss 1384.2 | Profit so far 78.8 NIFTY(Futures) Holding Short taken at 24311.8 On 23-04-2026 StopLoss 24259.5 | Profit so far 213.6 BANKNIFTY(Futures) Holding Short taken at 56705.4 On 23-04-2026 StopLoss 56003.33 | Profit so far 1510.2 SBIN(Futures) Holding Short taken at 1091.25 On 28-04-2026 StopLoss 1095.98 | Profit so far 27.15 NIFTY(Indices) Holding Short taken at 24316.35 On 23-04-2026 StopLoss 24201.32 | Profit so far 318.8 BANK_NIFTY(Indices) Holding Short taken at 56685 On 23-04-2026 StopLoss 55809.47 | Profit so far 1821.65 NIFTYBEES(BEES) Holding Short taken at 274.89 On 23-04-2026 StopLoss 273.83 | Profit so far 2.88 BANKBEES(BEES) Holding Short taken at 583.76 On 23-04-2026 StopLoss 576.78 | Profit so far 16.76 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY26000CE Highest Rise in OI : NIFTY24000PE NIFTY26000CE Highest Fall in OI : NIFTY22000PE NIFTY25000CE Highest Volume : NIFTY23850PE NIFTY24050CE -------------------- Market Mood as on Apr 30, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -8047.86 FII F&O Net = -1532.77 FII F&O OI = N.A. DII Cash Net = 3487.1 --------------- FII OI Data: Future Index Long:27506(-1324) Future Index Short:211982(12094) Future Stock Long:4021980(-11281) Future Stock Short:3223174(18817) Option Index Call Long:351772(58198) Option Index Put Long:715640(62524) Option Index Call Short:572110(62478) Option Index Put Short:356275(36310) Option Stock Call Long:79478(22904) Option Stock Put Long:109365(22215) Option Stock Call Short:129784(26444) Option Stock Put Short:76582(22363) Total Long Contract:5305741(153236) Total Short Contract:4569907(178506) Total UP Side Contract:4913593(127170) Total Down Side Contract:4962055(204572) L/S FII Index Fut Ratio:11 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: CHOLAFIN, KPITTECH, BHEL, SAMMAANCAP, KOTAKBANK Short Covering: BAJFINANCE, HCLTECH, BAJAJ-AUTO, SUNPHARMA, ALKEM Short Build Up: KFINTECH, VEDL, CAMS, BLUESTARCO, SAIL Long Unwinding: NUVAMA, BDL, LTM, ULTRACEMCO, BHARATFORG -------------------- Volume Shockers (Futures) : KFINTECH -------------------- Swing Trading (Futures): 1. CAMS Sell Below 725.91 2. PFC Sell Below 450.15 3. TMPV Sell Below 345.64 4. ETERNAL Sell Below 250.19 5. HINDUNILVR Sell Below 2223.98 6. KAYNES Sell Below 4088.52 -------------------- Swing Trading (NSE Cash Scrips): UNIONBANK Buy Above 165.94 SL 162.61 VEDL Long Intraday Below 267.36 SL 266.01 -------------------- Hot Stocks (Price Action): RPGLIFE NATHBIOGEN , Red Candles SYNGENE CEMPRO MEESHO ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: HFCL, STLTECH, LUXIND, WELCORP, OFSS -------------------- 5 Worst Performing Stocks since Expiry: VEDL, IRB, HCLTECH, MRPL, UBL --------------- Pivot Based Short Term Ideas ALKEM : Buy Above 5435 CSL Below 5358.5 ASAHIINDIA : Sell Below 826 CSL Above 838.1667 DABUR : Sell Below 440.35 CSL Above 444.0667 MAXHEALTH : Sell Below 934.95 CSL Above 996 VEDL : Sell Below 268.7 CSL Above 677.5167 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: HCLTECH, HDFCAMC, MRF, VEDL, OverBought Stocks: BHEL, CIPLA, DELTACORP, DHANI, EXIDEIND, GODREJPROP, HFCL, HINDZINC, HUDCO, HDFC, INGERRAND, INOXLEISUR, KRBL, KSB, NHPC, RATNAMANI, TATACHEM, TATACOFFEE, TORNTPOWER, VBL, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : ADANIPORTS Bought at 1618.8 CROMPTON Bought at 274.77 RBLBANK Bought at 340.4 VEDL SL HIT : Long took at 769.8 on 20260416 Stoploss 648.05 | Profit Booked -121.75(-15.82%) -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 01-May-2026 Market Nature : SIDEWAYS Reversal Timings : From 10:27 to 11:31 From 11:31 to 12:34 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
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Thursday, April 30, 2026
Wednesday, April 29, 2026
EOD Review On 29-Apr-2026 : Levels for Next Trading Day
EOD Review on 29 Apr 2026 My System Levels: 1) Levels to watch are 24414.5 and 24089.5 2) Sell Below 23972.18 SL 24090.34 TGT 23950.67, 23776.34 3) Buy Above 24208.5 SL 24090.34 TGT 24414.5, 24600.67, 24751.34 4) Supports/Resistances to Watch For :- 23776.34 23950.67 24101.34 24275.67 24426.34 24600.67 24751.34 Camarilla Levels: 1) Sell Below 24073.25 SL 24162.62 TGT 24001.5, 23923.5 2) Sell Below 24341.38 SL 24430.75 TGT 24281.79, 24222.21, 24162.62 3) Buy Above 24162.62 SL 24073.25 TGT 24222.21, 24281.79, 24341.38 4) Buy Above 24430.75 SL 24341.38 TGT 24573.5, 24651.5 BANKNIFTY : Levels to watch are 56111.7 and 55115.9 RELIANCE : Levels to watch are 1448.8 and 1410.4 SBIN : Levels to watch are 1092.07 and 1070.32 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Holding Long taken at 1356.4 On 27-04-2026 StopLoss 1355.87 | Profit so far 73.2 NIFTY(Futures) Holding Short taken at 24311.8 On 23-04-2026 StopLoss 24256.33 | Profit so far 59.8 BANKNIFTY(Futures) Holding Short taken at 56705.4 On 23-04-2026 StopLoss 56410 | Profit so far 1091.6 SBIN(Futures) Holding Short taken at 1091.25 On 28-04-2026 StopLoss 1108.98 | Profit so far 10.05 NIFTY(Indices) Holding Short taken at 24316.35 On 23-04-2026 StopLoss 24215.73 | Profit so far 138.7 BANK_NIFTY(Indices) Holding Short taken at 56685 On 23-04-2026 StopLoss 56263.92 | Profit so far 1281.4 NIFTYBEES(BEES) Holding Short taken at 274.89 On 23-04-2026 StopLoss 273.73 | Profit so far 1.76 BANKBEES(BEES) Holding Short taken at 583.76 On 23-04-2026 StopLoss 580.78 | Profit so far 12.22 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY25000CE Highest Rise in OI : NIFTY22000PE NIFTY25700CE Highest Fall in OI : NIFTY23950PE NIFTY24000CE Highest Volume : NIFTY23900PE NIFTY24250CE -------------------- Market Mood as on Apr 29, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -2468.42 FII F&O Net = 340.77 FII F&O OI = N.A. DII Cash Net = 2262.17 --------------- FII OI Data: Future Index Long:28830(-1393) Future Index Short:199888(-1013) Future Stock Long:4033261(69392) Future Stock Short:3204357(35646) Option Index Call Long:293574(37621) Option Index Put Long:653116(50938) Option Index Call Short:509632(51861) Option Index Put Short:319965(61299) Option Stock Call Long:56574(25053) Option Stock Put Long:87150(29390) Option Stock Call Short:103340(33141) Option Stock Put Short:54219(22229) Total Long Contract:5152505(211001) Total Short Contract:4391401(203163) Total UP Side Contract:4786423(214201) Total Down Side Contract:4757483(199963) L/S FII Index Fut Ratio:13 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: TATASTEEL, POWERINDIA, TORNTPHARM, HDFCBANK, BAJFINANCE Short Covering: VEDL, FINNIFTY, NIFTY, TATACONSUM, COALINDIA Short Build Up: FEDERALBNK, NATIONALUM, ICICIBANK, FORTIS, INDIANB Long Unwinding: NTPC, MIDCPNIFTY, ADANIENSOL, TATAPOWER, ANGELONE -------------------- Volume Shockers (Futures) : FEDERALBNK GODFRYPHLP BANDHANBNK -------------------- Swing Trading (Futures): 1. TECHM Buy Above 1447.49 2. RECLTD Sell Below 358.32 3. FEDERALBNK Sell Below 288.1 4. M&M Buy Above 3156.72 5. MARUTI Buy Above 13229.84 6. INDUSTOWER Buy Above 419.89 7. SBIN Sell Below 1079.61 8. BPCL Sell Below 306.12 -------------------- Swing Trading (NSE Cash Scrips): BIOCON Sell Below 362.25 SL 368.2 EXIDEIND Sell Below 363.45 SL 370.3 SRF Sell Below 2543.6 SL 2604 TORNTPHARM Sell Below 4231.5 SL 4281.4 ONGC Short Intraday Above 309.04 SL 310.58 -------------------- Hot Stocks (Price Action): GREENPLY PIONEEREMB WHEELS DEVYANI PANSARI SAPPHIRE IKIO ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, STLTECH, WELCORP, HFCL, OFSS -------------------- 5 Worst Performing Stocks since Expiry: IRB, HCLTECH, VIPIND, INFY, UBL --------------- Pivot Based Short Term Ideas MARUTI : Buy Above 13548 CSL Below 13063.67 TCS : Buy Above 2487.9 CSL Below 2446.7 ALKEM : Sell Below 5305.5 CSL Above 5358.5 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: HCLTECH, HDFCAMC, MRF, OverBought Stocks: BHEL, CESC, CIPLA, DELTACORP, DHANI, EXIDEIND, GODREJPROP, HINDZINC, HUDCO, HDFC, NHPC, RATNAMANI, TATACHEM, TATACOFFEE, TORNTPOWER, VBL, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : ATGL Bought at 651 ADANITRANS Bought at 651 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 30-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 11:31 to 12:34 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Tuesday, April 28, 2026
EOD Review On 28-Apr-2026 : Levels for Next Trading Day
EOD Review on 28 Apr 2026 My System Levels: 1) Levels to watch are 24100.8 and 23886.8 2) Sell Below 23999.65 SL 24116.18 TGT 23886.8, 23831.93, 23698.86 3) Buy Above 24232.71 SL 24116.18 TGT 24259.93, 24340.86 4) Supports/Resistances to Watch For :- 23698.86 23831.93 23912.86 24045.93 24126.86 24259.93 24340.86 Camarilla Levels: 1) Sell Below 23876.1 SL 23934.95 TGT 23832.32 2) Sell Below 24052.65 SL 24111.5 TGT 24013.42, 23974.18, 23934.95 3) Buy Above 23934.95 SL 23876.1 TGT 23974.18, 24013.42, 24052.65 4) Buy Above 24111.5 SL 24052.65 TGT 24260.32, 24311.68 BANKNIFTY : Levels to watch are 55818.6 and 55036.6 RELIANCE : Levels to watch are 1401 and 1368 SBIN : Levels to watch are 1103.75 and 1081.15 -------------------- Position as per Trade with Trend : SBIN(Futures) Sold at 1091.25 StopLoss 1111.32| Profit so far -1.2 RELIANCE(Futures) Holding Long taken at 1356.4 On 27-04-2026 StopLoss 1332.4 | Profit so far 28.1 NIFTY(Futures) Holding Short taken at 24311.8 On 23-04-2026 StopLoss 24185.97 | Profit so far 318 BANKNIFTY(Futures) Holding Short taken at 56705.4 On 23-04-2026 StopLoss 56406 | Profit so far 1277.8 NIFTY(Indices) Holding Short taken at 24316.35 On 23-04-2026 StopLoss 24172.83 | Profit so far 320.65 BANK_NIFTY(Indices) Holding Short taken at 56685 On 23-04-2026 StopLoss 56357.83 | Profit so far 1284.65 NIFTYBEES(BEES) Holding Short taken at 274.89 On 23-04-2026 StopLoss 273.71 | Profit so far 3.41 BANKBEES(BEES) Holding Short taken at 583.76 On 23-04-2026 StopLoss 582.18 | Profit so far 11.81 -------------------- Nifty Options Data: Highest OI : NIFTY23950PE NIFTY24000CE Highest Rise in OI : NIFTY23950PE NIFTY24000CE Highest Fall in OI : NIFTY23000PE NIFTY25500CE Highest Volume : NIFTY24000PE NIFTY24050CE -------------------- Market Mood as on Apr 28, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = N.A. FII F&O Net = -3063.61 FII F&O OI = N.A. DII Cash Net = N.A. --------------- FII OI Data: Future Index Long:30223(-35442) Future Index Short:200901(-70745) Future Stock Long:3963869(-193640) Future Stock Short:3168711(-88540) Option Index Call Long:255953(-364843) Option Index Put Long:602178(-342559) Option Index Call Short:457771(-367604) Option Index Put Short:258666(-358317) Option Stock Call Long:31521(-176635) Option Stock Put Long:57760(-237965) Option Stock Call Short:70199(-310706) Option Stock Put Short:31990(-208867) Total Long Contract:4941504(-1351085) Total Short Contract:4188238(-1404780) Total UP Side Contract:4572222(-1337744) Total Down Side Contract:4557520(-1418119) L/S FII Index Fut Ratio:13 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: SUNPHARMA, OIL, RELIANCE, GLENMARK, CROMPTON Short Covering: HUDCO, MPHASIS, NYKAA, PREMIERENE, COALINDIA Short Build Up: FINNIFTY, NTPC, ETERNAL, BANKBARODA, IOC Long Unwinding: TATATECH, PPLPHARMA, VEDL, 360ONE, NIFTYNXT50 -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. KAYNES Sell Below 3995.8 2. PNB Sell Below 112.31 3. SWIGGY Sell Below 279.36 4. BANKNIFTY Sell Below 55762.34 5. BAJAJ-AUTO Sell Below 9551.39 -------------------- Swing Trading (NSE Cash Scrips): LUPIN Buy Above 2302.7 SL 2260.3 MANAPPURAM Sell Below 292.75 SL 299.75 SAIL Sell Below 185.63 SL 189.1 INFY Long Intraday Below 1144.05 SL 1138.30 -------------------- Hot Stocks (Price Action): DHANBANK PLASTIBLEN TATACHEM VSSL BBOX LINC AGI MODISONLTD EMIL PIRAMALFIN ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, HFCL, STLTECH, WELCORP, OFSS -------------------- 5 Worst Performing Stocks since Expiry: IRB, HCLTECH, INFY, VIPIND, UBL --------------- Pivot Based Short Term Ideas ALKEM : Buy Above 5454 CSL Below 5358.5 BHARTIARTL : Buy Above 1852 CSL Below 1827.467 BPCL : Sell Below 305.15 CSL Above 309.3167 ENDURANCE : Sell Below 2312 CSL Above 2356.333 LUPIN : Sell Below 2260.3 CSL Above 2311.033 MARUTI : Sell Below 12828 CSL Above 13063.67 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: HCLTECH, HDFCAMC, INFY, OverBought Stocks: ADANIENT, ADANIGREEN, BHEL, CESC, DELTACORP, DHANI, EXIDEIND, HINDZINC, HUDCO, HDFC, NHPC, NOCIL, RADICO, RATNAMANI, TORNTPOWER, VBL, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : No New Trade -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 29-Apr-2026 Market Nature : SIDEWAYS Reversal Timings : From 09:24 to 10:28 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
EOD Review On 27-Apr-2026 : Levels for Next Trading Day
EOD Review on 27 Apr 2026 My System Levels: 1) Levels to watch are 24200 and 24040.2 2) Sell Below 24118.64 SL 24234.32 TGT 24040.2, 23920.3, 23860.4 3) Buy Above 24350 SL 24234.32 TGT 4) Supports/Resistances to Watch For :- 23860.4 23920.3 24020.2 24080.1 24180 24239.9 24339.8 Camarilla Levels: 1) Sell Below 24032.21 SL 24076.15 TGT 23919.47, 23881.12 2) Sell Below 24164.04 SL 24207.99 TGT 24134.75, 24105.45, 24076.15 3) Buy Above 24076.15 SL 24032.21 TGT 24105.45, 24134.75, 24164.04 4) Buy Above 24207.99 SL 24164.04 TGT 24239.08 BANKNIFTY : Levels to watch are 56663.5 and 56033.7 RELIANCE : Levels to watch are 1392.8 and 1337.8 SBIN : Levels to watch are 1118.15 and 1106.35 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Bought at 1356.4 StopLoss 1327.43| Profit so far 8.9 SBIN(Futures) Bought at 1109.25 StopLoss 1091.25| Profit so far 3 NIFTY(Futures) Holding Short taken at 24311.8 On 23-04-2026 StopLoss 24222.3 | Profit so far 191.7 BANKNIFTY(Futures) Holding Short taken at 56705.4 On 23-04-2026 StopLoss 56650.27 | Profit so far 356.8 NIFTY(Indices) Holding Short taken at 24316.35 On 23-04-2026 StopLoss 24215.63 | Profit so far 223.65 BANK_NIFTY(Indices) Holding Short taken at 56685 On 23-04-2026 StopLoss 56601.39 | Profit so far 420.7 NIFTYBEES(BEES) Holding Short taken at 274.89 On 23-04-2026 StopLoss 274.27 | Profit so far 2.37 BANKBEES(BEES) Holding Short taken at 583.76 On 23-04-2026 StopLoss 584.44 | Profit so far 3.78 -------------------- Nifty Options Data: Highest OI : NIFTY24000PE NIFTY25000CE Highest Rise in OI : NIFTY24000PE NIFTY25350CE Highest Fall in OI : NIFTY22000PE NIFTY26000CE Highest Volume : NIFTY24000PE NIFTY24100CE -------------------- Market Mood as on Apr 27, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -1151.48 FII F&O Net = 1493.11 FII F&O OI = N.A. DII Cash Net = 4123.92 --------------- FII OI Data: Future Index Long:65665(1640) Future Index Short:271646(3542) Future Stock Long:4157509(50948) Future Stock Short:3257251(19230) Option Index Call Long:620796(-37944) Option Index Put Long:944737(38547) Option Index Call Short:825375(-60115) Option Index Put Short:616983(94605) Option Stock Call Long:208156(-18804) Option Stock Put Long:295725(-7213) Option Stock Call Short:380905(-2708) Option Stock Put Short:240857(-7180) Total Long Contract:6292589(27176) Total Short Contract:5593018(47375) Total UP Side Contract:5909966(83265) Total Down Side Contract:5975639(-8717) L/S FII Index Fut Ratio:19 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: SUNPHARMA, NTPC, HCLTECH, NIFTYNXT50, ADANIPORTS Short Covering: TATATECH, PPLPHARMA, TORNTPOWER, KFINTECH, HUDCO Short Build Up: FINNIFTY, RBLBANK, ULTRACEMCO, LTF, SHRIRAMFIN Long Unwinding: BRITANNIA, ASTRAL, JUBLFOOD, BDL, SWIGGY -------------------- Volume Shockers (Futures) : SAIL -------------------- Swing Trading (Futures): 1. AXISBANK Sell Below 1317.94 2. ICICIBANK Sell Below 1324.1 3. GODREJCP Sell Below 1077.26 4. RELIANCE Buy Above 1353.92 5. RBLBANK Sell Below 313.99 6. KOTAKBANK Buy Above 375.7 -------------------- Swing Trading (NSE Cash Scrips): M&MFIN Sell Below 317.7 SL 331 HCLTECH Long Intraday Below 1195.00 SL 1188.99 INFY Long Intraday Below 1148.73 SL 1142.96 -------------------- Hot Stocks (Price Action): ASAL INDIACEM TANLA MAANALU TMB KIRLPNU EPACK MOBIKWIK ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, HFCL, STLTECH, WELCORP, OFSS -------------------- 5 Worst Performing Stocks since Expiry: IRB, HCLTECH, INFY, UBL, VIPIND --------------- Pivot Based Short Term Ideas ASAHIINDIA : Buy Above 858 CSL Below 838.1667 BPCL : Buy Above 315.1 CSL Below 309.3167 ENDURANCE : Buy Above 2402.8 CSL Below 2356.333 KOTAKBANK : Buy Above 380.45 CSL Below 373.2167 LAOPALA : Buy Above 181.1 CSL Below 176.35 LUPIN : Buy Above 2341 CSL Below 2311.033 M&MFIN : Buy Above 331 CSL Below 313.35 MARUTI : Buy Above 13270 CSL Below 13063.67 RELIANCE : Buy Above 1371.6 CSL Below 1361.633 UTIAMC : Buy Above 978.2 CSL Below 943.95 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: HCLTECH, HDFCAMC, VIPIND, OverBought Stocks: BHEL, CESC, GRINDWELL, HUDCO, HDFC, NOCIL, RADICO, TORNTPOWER, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : No New Trade -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIPORTS TGT HIT : Long taken at 1472.6 Booked at 1619.86 | Profit Booked 147.26(10.00%) ADANITRANS TGT HIT : Long taken at 1472.6 Booked at 1619.86 | Profit Booked 147.26(10.00%) ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIPORTS TGT HIT : Long taken at 1489.95 Booked at 1638.94 | Profit Booked 148.99(10.00%) Astro Predictions for 28-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 09:25 to 10:28 From 12:35 to 13:38 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Friday, April 24, 2026
EOD Review On 24-Apr-2026 : Levels for Next Trading Day
EOD Review on 24 Apr 2026 My System Levels: 1) Levels to watch are 24124.9 and 23720.7 2) Sell Below 24161.54 SL 24276.66 TGT 23720.7, 23594.6, 23354.5 3) Buy Above 24391.78 SL 24276.66 TGT 24403, 24567.1 4) Supports/Resistances to Watch For :- 23354.5 23594.6 23758.7 23998.8 24162.9 24403 24567.1 Camarilla Levels: 1) Sell Below 23700.49 SL 23811.65 TGT 23681.1, 23584.09 2) Sell Below 24033.96 SL 24145.11 TGT 23959.85, 23885.75, 23811.65 3) Buy Above 23811.65 SL 23700.49 TGT 23885.75, 23959.85, 24033.96 4) Buy Above 24145.11 SL 24033.96 TGT 24392.5, 24489.51 BANKNIFTY : Levels to watch are 56548.6 and 55864.6 RELIANCE : Levels to watch are 1340.15 and 1319.65 SBIN : Levels to watch are 1112.12 and 1093.88 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Short taken at 24311.8 On 23-04-2026 StopLoss 24341.3 | Profit so far 389 BANKNIFTY(Futures) Holding Short taken at 56705.4 On 23-04-2026 StopLoss 56952.6 | Profit so far 498.8 RELIANCE(Futures) Holding Short taken at 1351.6 On 23-04-2026 StopLoss 1356.4 | Profit so far 21.7 SBIN(Futures) Holding Short taken at 1093.92 On 23-04-2026 StopLoss 1109.25 | Profit so far -9.08 NIFTY(Indices) Holding Short taken at 24316.35 On 23-04-2026 StopLoss 24344.05 | Profit so far 418.4 BANK_NIFTY(Indices) Holding Short taken at 56685 On 23-04-2026 StopLoss 56922.47 | Profit so far 595.25 NIFTYBEES(BEES) Holding Short taken at 274.89 On 23-04-2026 StopLoss 275.77 | Profit so far 3.8 BANKBEES(BEES) Holding Short taken at 583.76 On 23-04-2026 StopLoss 587.63 | Profit so far 5.01 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY25000CE Highest Rise in OI : NIFTY23900PE NIFTY24000CE Highest Fall in OI : NIFTY24200PE NIFTY26000CE Highest Volume : NIFTY23900PE NIFTY24000CE -------------------- Market Mood as on Apr 24, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -8827.87 FII F&O Net = -1044.42 FII F&O OI = N.A. DII Cash Net = 4700.71 --------------- FII OI Data: Future Index Long:64025(-3975) Future Index Short:268104(9190) Future Stock Long:4106561(10820) Future Stock Short:3238021(40126) Option Index Call Long:658740(163730) Option Index Put Long:906190(49541) Option Index Call Short:885490(143620) Option Index Put Short:522378(41199) Option Stock Call Long:226960(-18992) Option Stock Put Long:302938(-35098) Option Stock Call Short:383613(6741) Option Stock Put Short:248037(2221) Total Long Contract:6265413(166025) Total Short Contract:5545643(243097) Total UP Side Contract:5826701(195003) Total Down Side Contract:5984356(214120) L/S FII Index Fut Ratio:19 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: PIIND, COALINDIA, POLICYBZR, VBL, DIXON Short Covering: PPLPHARMA, HUDCO, TATATECH, OFSS, PREMIERENE Short Build Up: MIDCPNIFTY, ULTRACEMCO, DRREDDY, INFY, IEX Long Unwinding: TORNTPOWER, NIFTYNXT50, SWIGGY, ASTRAL, NUVAMA -------------------- Volume Shockers (Futures) : HINDZINC SAIL -------------------- Swing Trading (Futures): 1. WAAREEENER Sell Below 3265.32 2. KPITTECH Sell Below 720.65 3. GMRAIRPORT Sell Below 94.71 4. BAJAJFINSV Sell Below 1794.48 5. CROMPTON Sell Below 246.84 6. ICICIBANK Sell Below 1309.89 7. INDHOTEL Sell Below 635.7 8. BANKBARODA Sell Below 276.44 9. WIPRO Sell Below 200.51 10. IOC Sell Below 144.22 11. NIFTY Sell Below 23859.86 12. SBICARD Sell Below 672.92 13. ITC Sell Below 302.7 -------------------- Swing Trading (NSE Cash Scrips): COALINDIA Sell Below 456 SL 462 HCLTECH Long Intraday Below 1192.11 SL 1186.12 INFY Long Intraday Below 1146.44 SL 1140.68 -------------------- Hot Stocks (Price Action): KOHINOOR SHREEPUSHK MASKINVEST SBCL GUJTHEM VIDYAWIRES ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, WELCORP, DELTACORP, HFCL, STLTECH -------------------- 5 Worst Performing Stocks since Expiry: IRB, HCLTECH, SUNPHARMA, INFY, IIFL --------------- Pivot Based Short Term Ideas ASAHIINDIA : Sell Below 831 CSL Above 838.1667 JAMNAAUTO : Sell Below 122.71 CSL Above 123.2467 LAOPALA : Sell Below 174.64 CSL Above 176.35 LUPIN : Sell Below 2262 CSL Above 2311.033 UTIAMC : Sell Below 915 CSL Above 943.95 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: INFY, SUNDRMFAST, VEDL, OverBought Stocks: BERGEPAINT, BDL, CESC, CIPLA, GRINDWELL, GUJALKALI, HUDCO, HDFC, NHPC, NOCIL, TORNTPOWER, -------------------- Turtle Trend Trading : ADANIENT Bought at 2288 WHIRLPOOL Bought at 945.6 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIPORTS TGT HIT : Long taken at 1467.5 Booked at 1614.25 | Profit Booked 146.75(10.00%) ADANITRANS TGT HIT : Long taken at 1467.5 Booked at 1614.25 | Profit Booked 146.75(10.00%) ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 27-Apr-2026 Market Nature : TRENDING Reversal Timings : From 12:35 to 13:38 09:25 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
EOD Review On 23-Apr-2026 : Levels for Next Trading Day
EOD Review on 23 Apr 2026 My System Levels: 1) Levels to watch are 24244.5 and 24081.5 2) Sell Below 24252.32 SL 24365.7 TGT 24081.5, 24029, 23933 3) Buy Above 24479.07 SL 24365.7 TGT 4) Supports/Resistances to Watch For :- 23933 24029 24096 24192 24259 24355 24422 Camarilla Levels: 1) Sell Below 24073.35 SL 24118.18 TGT 24063.06, 24023.94 2) Sell Below 24207.82 SL 24252.65 TGT 24177.94, 24148.06, 24118.18 3) Buy Above 24118.18 SL 24073.35 TGT 24148.06, 24177.94, 24207.82 4) Buy Above 24252.65 SL 24207.82 TGT 24349.94, 24389.06 BANKNIFTY : Levels to watch are 56660.6 and 56027.8 RELIANCE : Levels to watch are 1351.4 and 1337.2 SBIN : Levels to watch are 1104.65 and 1083.55 -------------------- Position as per Trade with Trend : NIFTY(Futures) Sold at 24311.8 StopLoss 24463| Profit so far 148.8 BANKNIFTY(Futures) Sold at 56705.4 StopLoss 57262.6| Profit so far 361.2 RELIANCE(Futures) Sold at 1351.6 StopLoss 1364.47| Profit so far 7.3 SBIN(Futures) Sold at 1093.92 StopLoss 1111.37| Profit so far -0.18 NIFTY(Indices) Sold at 24316.35 StopLoss 24475.95| Profit so far 143.3 BANK_NIFTY(Indices) Sold at 56685 StopLoss 57254.4| Profit so far 380 NIFTYBEES(BEES) Sold at 274.89 StopLoss 276.73| Profit so far 1.13 BANKBEES(BEES) Sold at 583.76 StopLoss 590.19| Profit so far 2.43 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY26000CE Highest Rise in OI : NIFTY23000PE NIFTY24200CE Highest Fall in OI : NIFTY24400PE NIFTY25650CE Highest Volume : NIFTY24200PE NIFTY24200CE -------------------- Market Mood as on Apr 23, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -3254.71 FII F&O Net = -3755.83 FII F&O OI = N.A. DII Cash Net = 941.35 --------------- FII OI Data: Future Index Long:68000(-2406) Future Index Short:258914(5194) Future Stock Long:4095741(-43023) Future Stock Short:3197895(28664) Option Index Call Long:495010(25477) Option Index Put Long:856649(37637) Option Index Call Short:741870(63786) Option Index Put Short:481179(8113) Option Stock Call Long:245952(-2011) Option Stock Put Long:338036(3403) Option Stock Call Short:376872(-8153) Option Stock Put Short:245816(-8547) Total Long Contract:6099388(19077) Total Short Contract:5302546(89057) Total UP Side Contract:5631698(-22397) Total Down Side Contract:5770236(130531) L/S FII Index Fut Ratio:21 L/S FII Stock Fut Ratio:56 -------------------- Long Build Up: LUPIN, POLICYBZR, NYKAA, POWERINDIA, ZYDUSLIFE Short Covering: PPLPHARMA, RVNL, CDSL, FORTIS, TORNTPOWER Short Build Up: MPHASIS, HINDZINC, BHARATFORG, FINNIFTY, INFY Long Unwinding: TATATECH, IREDA, LICI, OBEROIRLTY, KEI -------------------- Volume Shockers (Futures) : CIPLA DRREDDY PETRONET SHREECEM SRF TVSMOTOR UNIONBANK OFSS GLENMARK ZYDUSLIFE SOLARINDS PPLPHARMA MANKIND -------------------- Swing Trading (Futures): 1. HAVELLS Sell Below 1281.01 2. UNIONBANK Sell Below 183.49 3. APLAPOLLO Sell Below 2024.02 4. VEDL Sell Below 730.32 5. ASHOKLEY Sell Below 170.39 6. DIXON Sell Below 10564.69 7. NAUKRI Sell Below 1013.81 8. DELHIVERY Sell Below 450.76 9. INDHOTEL Sell Below 627.96 10. BAJAJFINSV Sell Below 1773.16 11. UPL Sell Below 636.68 12. BANKBARODA Sell Below 273.61 13. MARUTI Sell Below 13248.2 14. EICHERMOT Sell Below 7056.52 15. RBLBANK Sell Below 312.84 16. TCS Sell Below 2509.2 17. TORNTPHARM Buy Above 4170.31 -------------------- Swing Trading (NSE Cash Scrips): CASTROLIND Sell Below 183.85 SL 185.76 OIL Sell Below 473.9 SL 481.85 HCLTECH Long Intraday Below 1265.64 SL 1259.28 -------------------- Hot Stocks (Price Action): DELTACORP LOVABLE RUPA CAMLINFINE MASKINVEST DOLLAR DIGJAMLMTD ZODIAC PPLPHARMA IRMENERGY TIPSMUSIC INDIQUBE ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, DELTACORP, WELCORP, STLTECH, HFCL -------------------- 5 Worst Performing Stocks since Expiry: IRB, IIFL, UBL, HCLTECH, SUNPHARMA --------------- Pivot Based Short Term Ideas DRREDDY : Buy Above 1357 CSL Below 1271.133 LUPIN : Buy Above 2381 CSL Below 2311.033 ASHOKLEY : Sell Below 169.25 CSL Above 173.53 IIFL : Sell Below 417 CSL Above 453.8167 RELIANCE : Sell Below 1340.7 CSL Above 1361.633 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: SUPREMEIND, SUPPETRO, SUVENPHAR, OverBought Stocks: DMART, BALRAMCHIN, BANDHANBNK, BAYERCROP, BERGEPAINT, BDL, BHEL, CESC, GRINDWELL, GUJALKALI, HFCL, HUDCO, HDFC, KNRCON, NHPC, NOCIL, SUZLON, TORNTPOWER, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : AUBANK Bought at 1042.1 DEEPAKNTR Bought at 1738.8 DHANI Bought at 1738.8 EXIDEIND Bought at 345.9 LICHSGFIN Bought at 551.4 LTI Bought at 551.4 TRENT Bought at 4299 VBL Bought at 492.15 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : GAIL Bought at 166.12 ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 24-Apr-2026 Market Nature : SIDEWAYS Reversal Timings : From 10:29 to 11:32 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Wednesday, April 22, 2026
EOD Review On 22-Apr-2026 : Levels for Next Trading Day
EOD Review on 22 Apr 2026 My System Levels: 1) Levels to watch are 24467.2 and 24295.2 2) Sell Below 24259.04 SL 24372.26 TGT 24229.07, 24133.14 3) Buy Above 24485.48 SL 24372.26 TGT 24573.07, 24649.14 4) Supports/Resistances to Watch For :- 24133.14 24229.07 24305.14 24401.07 24477.14 24573.07 24649.14 Camarilla Levels: 1) Sell Below 24286.6 SL 24333.9 TGT 24259.64, 24218.36 2) Sell Below 24428.5 SL 24475.8 TGT 24396.97, 24365.43, 24333.9 3) Buy Above 24333.9 SL 24286.6 TGT 24365.43, 24396.97, 24428.5 4) Buy Above 24475.8 SL 24428.5 TGT 24562.36, 24603.64 BANKNIFTY : Levels to watch are 57382 and 56912 RELIANCE : Levels to watch are 1370.2 and 1354 SBIN : Levels to watch are 1114.47 and 1096.53 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 24311.8 | Profit so far 1524.9 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 56705.4 | Profit so far 5150 RELIANCE(Futures) Holding Long taken at 1344.87 On 17-04-2026 StopLoss 1351.6 | Profit so far 17.23 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1093.92 | Profit so far 81.77 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 24316.35 | Profit so far 1565.53 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 56685 | Profit so far 5330.35 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 274.89 | Profit so far 16.38 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 583.76 | Profit so far 52.62 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY26000CE Highest Rise in OI : NIFTY21000PE NIFTY26000CE Highest Fall in OI : NIFTY24550PE NIFTY24600CE Highest Volume : NIFTY24400PE NIFTY24400CE -------------------- Market Mood as on Apr 22, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -2078.36 FII F&O Net = -3669.03 FII F&O OI = N.A. DII Cash Net = -1048.17 --------------- FII OI Data: Future Index Long:70406(-1702) Future Index Short:253720(7664) Future Stock Long:4138764(-15045) Future Stock Short:3169231(54153) Option Index Call Long:469533(33066) Option Index Put Long:819012(83601) Option Index Call Short:678084(110304) Option Index Put Short:473066(37986) Option Stock Call Long:247963(5790) Option Stock Put Long:334633(29461) Option Stock Call Short:385025(36802) Option Stock Put Short:254363(14486) Total Long Contract:6080311(135171) Total Short Contract:5213489(261395) Total UP Side Contract:5654095(74581) Total Down Side Contract:5639705(321985) L/S FII Index Fut Ratio:22 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: HAVELLS, UNIONBANK, ASHOKLEY, ABB, KEI Short Covering: NESTLEIND, TATACONSUM, GODREJPROP, UNITDSPR, DIVISLAB Short Build Up: TATAELXSI, CDSL, HCLTECH, SBILIFE, COFORGE Long Unwinding: APOLLOHOSP, VEDL, HINDPETRO, BPCL, FINNIFTY -------------------- Volume Shockers (Futures) : ABB HAVELLS HCLTECH TECHM TATAELXSI -------------------- Swing Trading (Futures): 1. TATAELXSI Sell Below 4402.8 2. COFORGE Sell Below 1221.54 3. M&M Sell Below 3160.27 -------------------- Swing Trading (NSE Cash Scrips): HAVELLS Sell Below 1348.7 SL 1410.7 NESTLEIND Short Intraday Above 1432.33 SL 1439.45 -------------------- Hot Stocks (Price Action): SANGAMIND NAGREEKCAP SURANASOL JMA PNCINFRA , Red Candles GOKULAGRO JUBLINGREA IDEAFORGE IRMENERGY ARE&M ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, STLTECH, HFCL, WELCORP, HEG -------------------- 5 Worst Performing Stocks since Expiry: IRB, SUNPHARMA, HCLTECH, UBL, DRREDDY ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: OverBought Stocks: BALRAMCHIN, BANDHANBNK, BAYERCROP, BERGEPAINT, BDL, BHEL, CESC, EXIDEIND, FSL, GRINDWELL, GUJALKALI, HFCL, HUDCO, HDFC, KNRCON, LUXIND, NHPC, RADICO, SUZLON, TATAPOWER, TATASTLLP, VBL, WELCORP, WELSPUNIND, -------------------- Turtle Trend Trading : LAURUSLABS Bought at 1109 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIENT Place Order at 2144.4 GAIL Place Order at 166.12 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 23-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 11:33 to 12:36 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Tuesday, April 21, 2026
EOD Review On 21-Apr-2026 : Levels for Next Trading Day
EOD Review on 21 Apr 2026 My System Levels: 1) Levels to watch are 24711.5 and 24457.5 2) Sell Below 24230.12 SL 24343.56 TGT 24167.66, 24142.66 3) Buy Above 24456.99 SL 24343.56 TGT 24711.5, 24766.83, 24929.66 4) Supports/Resistances to Watch For :- 24167.66 24258.83 24421.66 24512.83 24675.66 24766.83 24929.66 Camarilla Levels: 1) Sell Below 24444.8 SL 24514.65 TGT 24253.48, 24192.52 2) Sell Below 24654.35 SL 24724.2 TGT 24607.78, 24561.22, 24514.65 3) Buy Above 24514.65 SL 24444.8 TGT 24561.22, 24607.78, 24654.35 4) Buy Above 24724.2 SL 24654.35 TGT 24761.48 BANKNIFTY : Levels to watch are 57754.9 and 56993.1 RELIANCE : Levels to watch are 1365.55 and 1346.25 SBIN : Levels to watch are 1116.65 and 1107.45 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 24236.4 | Profit so far 1728.2 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 56335.86 | Profit so far 5377 RELIANCE(Futures) Holding Long taken at 1344.87 On 17-04-2026 StopLoss 1349.27 | Profit so far 11.03 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1082.02 | Profit so far 88.32 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 24230.73 | Profit so far 1764.03 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 56298.17 | Profit so far 5577.35 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 274.11 | Profit so far 18.37 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 579.89 | Profit so far 54.68 -------------------- Nifty Options Data: Highest OI : NIFTY24550PE NIFTY24600CE Highest Rise in OI : NIFTY24550PE NIFTY24600CE Highest Fall in OI : NIFTY23200PE NIFTY24400CE Highest Volume : NIFTY24500PE NIFTY24600CE -------------------- Market Mood as on Apr 21, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -1918.99 FII F&O Net = 1556.71 FII F&O OI = N.A. DII Cash Net = 2221.27 --------------- FII OI Data: Future Index Long:72108(5003) Future Index Short:246056(-10810) Future Stock Long:4153809(11933) Future Stock Short:3115078(-15068) Option Index Call Long:436467(-77072) Option Index Put Long:735411(-153491) Option Index Call Short:567780(-125769) Option Index Put Short:435080(-156977) Option Stock Call Long:242173(9725) Option Stock Put Long:305172(15525) Option Stock Call Short:348223(9619) Option Stock Put Short:239877(9379) Total Long Contract:5945140(-188377) Total Short Contract:4952094(-289626) Total UP Side Contract:5579514(-198009) Total Down Side Contract:5317720(-279994) L/S FII Index Fut Ratio:23 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: MIDCPNIFTY, BHEL, SWIGGY, JINDALSTEL, PHOENIXLTD Short Covering: PNBHOUSING, FORTIS, UNITDSPR, PPLPHARMA, HINDPETRO Short Build Up: AMBER, LICI, CDSL, RELIANCE, SAMMAANCAP Long Unwinding: VEDL, COLPAL, HUDCO, TITAN, CROMPTON -------------------- Volume Shockers (Futures) : NESTLEIND SBILIFE PNBHOUSING SAMMAANCAP -------------------- Swing Trading (Futures): 1. SAMMAANCAP Sell Below 150.1 2. SBILIFE Sell Below 1890.14 -------------------- Swing Trading (NSE Cash Scrips): NIL -------------------- Hot Stocks (Price Action): NELCO NAGREEKEXP SKIPPER AYMSYNTEX PNBHOUSING ROLEXRINGS JETFREIGHT ACEINTEG MUTHOOTMF JSFB RELTD ALLTIME ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, STLTECH, HFCL, WELCORP, HEG -------------------- 5 Worst Performing Stocks since Expiry: IRB, SUNPHARMA, UBL, VINATIORGA, DRREDDY --------------- Pivot Based Short Term Ideas KARURVYSYA : Buy Above 292 CSL Below 290.2833 WESTLIFE : Buy Above 483 CSL Below 459.5667 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: OverBought Stocks: DMART, BALRAMCHIN, BANDHANBNK, BAYERCROP, BHEL, CESC, GRINDWELL, GUJALKALI, HFCL, HUDCO, HDFC, KPRMILL, KNRCON, NHPC, PAGEIND, SUZLON, TATAPOWER, TATASTLLP, VBL, -------------------- Turtle Trend Trading : JINDALSTEL Bought at 1284 TORNTPOWER Bought at 1605 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIPORTS TGT HIT : Long taken at 1456.15 Booked at 1601.77 | Profit Booked 145.62(10.00%) ADANITRANS TGT HIT : Long taken at 1456.15 Booked at 1601.77 | Profit Booked 145.62(10.00%) ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 22-Apr-2026 Market Nature : SIDEWAYS Reversal Timings : From 09:27 to 10:30 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Monday, April 20, 2026
EOD Review On 20-Apr-2026 : Levels for Next Trading Day
EOD Review on 20 Apr 2026 My System Levels: 1) Levels to watch are 24446.6 and 24217 2) Sell Below 24082.34 SL 24198.4 TGT 24001.86, 23976.86 3) Buy Above 24314.46 SL 24198.4 TGT 24446.6, 24590.33, 24690.66 4) Supports/Resistances to Watch For :- 24001.86 24131.13 24231.46 24360.73 24461.06 24590.33 24690.66 Camarilla Levels: 1) Sell Below 24205.52 SL 24268.66 TGT 24173.15, 24118.05 2) Sell Below 24394.94 SL 24458.08 TGT 24352.85, 24310.75, 24268.66 3) Buy Above 24268.66 SL 24205.52 TGT 24310.75, 24352.85, 24394.94 4) Buy Above 24458.08 SL 24394.94 TGT 24577.25, 24632.35 BANKNIFTY : Levels to watch are 56917.5 and 56220.1 RELIANCE : Levels to watch are 1372.8 and 1352 SBIN : Levels to watch are 1128.15 and 1084.45 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 24157.73 | Profit so far 1475.5 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 56128.4 | Profit so far 4571.8 RELIANCE(Futures) Holding Long taken at 1344.87 On 17-04-2026 StopLoss 1342.77 | Profit so far 17.53 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1068.63 | Profit so far 82.57 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 24146.7 | Profit so far 1552.28 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 56032.15 | Profit so far 4788.25 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 273.37 | Profit so far 15.95 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 577.6 | Profit so far 46.35 -------------------- Nifty Options Data: Highest OI : NIFTY24000PE NIFTY25000CE Highest Rise in OI : NIFTY23000PE NIFTY25200CE Highest Fall in OI : NIFTY21000PE NIFTY26000CE Highest Volume : NIFTY24300PE NIFTY24400CE -------------------- Market Mood as on Apr 20, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = N.A. FII F&O Net = -682.56 FII F&O OI = N.A. DII Cash Net = N.A. --------------- FII OI Data: Future Index Long:67105(-914) Future Index Short:256866(-2106) Future Stock Long:4141876(-9162) Future Stock Short:3130146(11079) Option Index Call Long:513539(22140) Option Index Put Long:888902(31375) Option Index Call Short:693549(61453) Option Index Put Short:592057(56475) Option Stock Call Long:232448(5981) Option Stock Put Long:289647(13228) Option Stock Call Short:338604(14983) Option Stock Put Short:230498(11516) Total Long Contract:6133517(62648) Total Short Contract:5241720(153400) Total UP Side Contract:5777523(86036) Total Down Side Contract:5597714(130012) L/S FII Index Fut Ratio:21 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: OFSS, BLUESTARCO, BHEL, WAAREEENER, SHREECEM Short Covering: APLAPOLLO, HUDCO, POLICYBZR, POWERGRID, SBIN Short Build Up: IEX, KFINTECH, SBICARD, NIFTYNXT50, INDIANB Long Unwinding: FINNIFTY, ANGELONE, BANKNIFTY, PPLPHARMA, HDFCAMC -------------------- Volume Shockers (Futures) : IEX -------------------- Swing Trading (Futures): 1. IEX Sell Below 125.34 2. JIOFIN Sell Below 238.84 3. SBICARD Sell Below 663.38 -------------------- Swing Trading (NSE Cash Scrips): FEDERALBNK Sell Below 294.35 SL 298 VOLTAS Sell Below 1438 SL 1476.5 COLPAL Short Intraday Above 2158.74 SL 2169.48 -------------------- Hot Stocks (Price Action): SPLIL KHAITANLTD TRITURBINE SWSOLAR EMSLIMITED ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, STLTECH, BAJAJCON, HFCL, VAKRANGEE -------------------- 5 Worst Performing Stocks since Expiry: IRB, VINATIORGA, SUNPHARMA, IPCALAB, BIOCON --------------- Pivot Based Short Term Ideas HAPPSTMNDS : Sell Below 374.5 CSL Above 381.85 ICICIPRULI : Sell Below 549.8 CSL Above 558.3333 SBICARD : Sell Below 671 CSL Above 678.2667 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: OverBought Stocks: DMART, BALRAMCHIN, BANDHANBNK, BAYERCROP, BERGEPAINT, BDL, BHEL, CESC, GUJALKALI, HFCL, HUDCO, HDFC, KPRMILL, LUXIND, NLCINDIA, PAGEIND, SUZLON, TATAPOWER, TATASTLLP, VBL, -------------------- Turtle Trend Trading : ADANIGREEN Bought at 1019.95 NAM-INDIA Bought at 1009 SAIL Bought at 172.07 VEDL Bought at 769.8 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : HDFCAMC Bought at 2792.4 ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 21-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 10:30 to 11:33 From 12:36 to 13:39 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Friday, April 17, 2026
EOD Review On 17-Apr-2026 : Levels for Next Trading Day
EOD Review on 17 Apr 2026 My System Levels: 1) Levels to watch are 24515.6 and 24220.4 2) Sell Below 24034.87 SL 24152.24 TGT 23991.73, 23884.66 3) Buy Above 24269.61 SL 24152.24 TGT 24515.6, 24582.13, 24770.26 4) Supports/Resistances to Watch For :- 23884.66 23991.73 24179.86 24286.93 24475.06 24582.13 24770.26 Camarilla Levels: 1) Sell Below 24205.64 SL 24286.82 TGT 23986.63, 23915.78 2) Sell Below 24449.18 SL 24530.36 TGT 24395.06, 24340.94, 24286.82 3) Buy Above 24286.82 SL 24205.64 TGT 24340.94, 24395.06, 24449.18 4) Buy Above 24530.36 SL 24449.18 TGT 24577.02 BANKNIFTY : Levels to watch are 57114.8 and 56218.8 RELIANCE : Levels to watch are 1380.3 and 1352.3 SBIN : Levels to watch are 1093.45 and 1072.15 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Bought at 1344.87 StopLoss 1337.13| Profit so far 21.43 NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 24130.93 | Profit so far 1511.7 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 56060.4 | Profit so far 4669.8 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1065.98 | Profit so far 59.07 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 24114.88 | Profit so far 1540.98 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 55949.7 | Profit so far 4771.6 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 272.67 | Profit so far 16.61 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 575.59 | Profit so far 46.47 -------------------- Nifty Options Data: Highest OI : NIFTY24000PE NIFTY25000CE Highest Rise in OI : NIFTY23200PE NIFTY24800CE Highest Fall in OI : NIFTY23300PE NIFTY24850CE Highest Volume : NIFTY24300PE NIFTY24300CE -------------------- Market Mood as on Apr 17, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = 683.2 FII F&O Net = N.A. FII F&O OI = N.A. DII Cash Net = -4721.48 --------------- FII OI Data: Future Index Long:68019(-372) Future Index Short:258972(-8408) Future Stock Long:4151038(4858) Future Stock Short:3119067(-5301) Option Index Call Long:491399(55361) Option Index Put Long:857527(44341) Option Index Call Short:632096(-19608) Option Index Put Short:535582(93437) Option Stock Call Long:226467(22747) Option Stock Put Long:276419(10851) Option Stock Call Short:323621(30393) Option Stock Put Short:218982(19540) Total Long Contract:6070869(137786) Total Short Contract:5088320(110053) Total UP Side Contract:5691487(195571) Total Down Side Contract:5467702(52268) L/S FII Index Fut Ratio:21 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: PREMIERENE, NHPC, BLUESTARCO, RVNL, JIOFIN Short Covering: POLICYBZR, MOTHERSON, ASIANPAINT, CANBK, MARICO Short Build Up: WIPRO, KALYANKJIL, HDFCLIFE, HCLTECH, JUBLFOOD Long Unwinding: TVSMOTOR, LODHA, MFSL, ETERNAL, SAMMAANCAP -------------------- Volume Shockers (Futures) : COLPAL KALYANKJIL -------------------- Swing Trading (Futures): 1. RELIANCE Buy Above 1355.43 -------------------- Swing Trading (NSE Cash Scrips): ITC Sell Below 306.8 SL 309.95 CESC Short Intraday Above 176.38 SL 177.26 DISHTV Short Intraday Above 4.10 SL 4.12 -------------------- Hot Stocks (Price Action): GSPL VSTIND , Red Candles RPGLIFE ADFFOODS BHARATWIRE MINDTECK BAJAJCON MANORG NAVA RAMRAT ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, STLTECH, VAKRANGEE, HFCL, ADANIGREEN -------------------- 5 Worst Performing Stocks since Expiry: IRB, UBL, SUNPHARMA, IPCALAB, VINATIORGA --------------- Pivot Based Short Term Ideas GESHIP : Buy Above 1435.9 CSL Below 1404.6 MINDACORP : Buy Above 541.6 CSL Below 509.55 PIDILITIND : Buy Above 1398 CSL Below 1346.333 PRSMJOHNSN : Buy Above 126.9 CSL Below 124.72 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: HIKAL, STAR, OverBought Stocks: ABBOTINDIA, BALRAMCHIN, BAYERCROP, BERGEPAINT, GUJALKALI, HFCL, HUDCO, HDFC, KPRMILL, LUXIND, MOIL, MAXHEALTH, NLCINDIA, SUZLON, TATAPOWER, TATASTLLP, -------------------- Turtle Trend Trading : HINDALCO Bought at 1038 JSWENERGY Bought at 534.8 NATIONALUM Bought at 431.5 TITAN Bought at 4378.4 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : LT Bought at 4076.3 ADANIGREEN TGT HIT : Long taken at 1029.65 Booked at 1132.62 | Profit Booked 102.97(10.00%) ADANIENT Place Order at 2144.4 HDFCAMC Place Order at 2792.4 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 20-Apr-2026 Market Nature : TRENDING Reversal Timings : 09:28 From 09:28 to 10:31 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Thursday, April 16, 2026
EOD Review On 16-Apr-2026 : Levels for Next Trading Day
EOD Review on 16 Apr 2026 My System Levels: 1) Levels to watch are 24333.8 and 24057.8 2) Sell Below 23928.96 SL 24050.9 TGT 23800.54, 23775.54 3) Buy Above 24172.84 SL 24050.9 TGT 24333.8, 24509.27, 24628.54 4) Supports/Resistances to Watch For :- 23800.54 23957.27 24076.54 24233.27 24352.54 24509.27 24628.54 Camarilla Levels: 1) Sell Below 24044 SL 24119.9 TGT 24009.12, 23942.88 2) Sell Below 24271.7 SL 24347.6 TGT 24221.1, 24170.5, 24119.9 3) Buy Above 24119.9 SL 24044 TGT 24170.5, 24221.1, 24271.7 4) Buy Above 24347.6 SL 24271.7 TGT 24494.88, 24561.12 BANKNIFTY : Levels to watch are 56643.4 and 55775 RELIANCE : Levels to watch are 1355.55 and 1333.65 SBIN : Levels to watch are 1081.4 and 1058.9 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 23973 | Profit so far 1339.5 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 55629.8 | Profit so far 4212.2 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1049.95 | Profit so far 46.42 RELIANCE(Futures) Holding Short taken at 1331.4 On 13-04-2026 StopLoss 1344.87 | Profit so far -13.2 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 23934.73 | Profit so far 1384.18 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 55454.55 | Profit so far 4292.3 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 270.59 | Profit so far 14.69 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 570.68 | Profit so far 41.2 -------------------- Nifty Options Data: Highest OI : NIFTY22500PE NIFTY24500CE Highest Rise in OI : NIFTY23300PE NIFTY25300CE Highest Fall in OI : NIFTY24200PE NIFTY25000CE Highest Volume : NIFTY24300PE NIFTY24500CE -------------------- Market Mood as on Apr 16, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = 382.36 FII F&O Net = -1643.13 FII F&O OI = N.A. DII Cash Net = -3427.75 --------------- FII OI Data: Future Index Long:68391(-4698) Future Index Short:267380(-6427) Future Stock Long:4146180(-17690) Future Stock Short:3124368(2825) Option Index Call Long:436038(19580) Option Index Put Long:813186(61884) Option Index Call Short:651704(70187) Option Index Put Short:442145(16489) Option Stock Call Long:203720(13077) Option Stock Put Long:265568(18714) Option Stock Call Short:293228(23675) Option Stock Put Short:199442(10974) Total Long Contract:5933083(90867) Total Short Contract:4978267(117722) Total UP Side Contract:5495916(37732) Total Down Side Contract:5415434(170858) L/S FII Index Fut Ratio:20 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: BLUESTARCO, NIFTYNXT50, JUBLFOOD, LTM, DIXON Short Covering: APLAPOLLO, PHOENIXLTD, LODHA, TATATECH, SBILIFE Short Build Up: ANGELONE, ASTRAL, WIPRO, FINNIFTY, HCLTECH Long Unwinding: FORTIS, SUNPHARMA, EICHERMOT, HDFCAMC, IOC -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. HDFCBANK Sell Below 789.71 2. BHARTIARTL Sell Below 1833.66 -------------------- Swing Trading (NSE Cash Scrips): BAJAJFINSV Sell Below 1829.9 SL 1854.9 INDUSINDBK Sell Below 847.9 SL 857.25 TECHM Sell Below 1491 SL 1511.5 SIEMENS Short Intraday Above 3637.40 SL 3655.49 -------------------- Hot Stocks (Price Action): ASHAPURMIN FSL SCI SONATSOFTW SUDARSCHEM TOKYOPLAST ORISSAMINE ELGIRUBCO MANAKSTEEL LFIC NLCINDIA OAL SURAJEST SGFIN ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, STLTECH, NIACL, VAKRANGEE, ADANIGREEN -------------------- 5 Worst Performing Stocks since Expiry: IRB, UBL, BIOCON, VINATIORGA, MINDACORP --------------- Pivot Based Short Term Ideas MINDACORP : Sell Below 503.2 CSL Above 509.55 PRSMJOHNSN : Sell Below 123.61 CSL Above 124.72 SUPREMEIND : Sell Below 3631.2 CSL Above 3828.067 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: EMAMILTD, HIKAL, STAR, OverBought Stocks: BALRAMCHIN, BERGEPAINT, GUJALKALI, HFCL, KPRMILL, MOIL, TATAPOWER, TATASTLLP, -------------------- Turtle Trend Trading : NMDC Bought at 86.4 PAGEIND Bought at 36480 -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 LT Place Order at 4076.3 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 17-Apr-2026 Market Nature : SIDEWAYS Reversal Timings : 09:29 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Wednesday, April 15, 2026
EOD Review On 15-Apr-2026 : Levels for Next Trading Day
EOD Review on 15 Apr 2026 My System Levels: 1) Levels to watch are 24305.45 and 24169.95 2) Sell Below 23902.17 SL 24023.3 TGT 3) Buy Above 24144.43 SL 24023.3 TGT 24305.45, 24379.9, 24444.3 4) Supports/Resistances to Watch For :- 24037.8 24108.9 24173.3 24244.4 24308.8 24379.9 24444.3 Camarilla Levels: 1) Sell Below 24163.17 SL 24200.44 TGT 24128.51, 24095.99 2) Sell Below 24274.96 SL 24312.22 TGT 24250.12, 24225.28, 24200.44 3) Buy Above 24200.44 SL 24163.17 TGT 24225.28, 24250.12, 24274.96 4) Buy Above 24312.22 SL 24274.96 TGT 24366.99, 24399.51 BANKNIFTY : Levels to watch are 56792.8 and 56044.8 RELIANCE : Levels to watch are 1351.05 and 1339.15 SBIN : Levels to watch are 1083.38 and 1064.82 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 23906.37 | Profit so far 1381.4 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 55359.86 | Profit so far 4421.8 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1044.45 | Profit so far 50.37 RELIANCE(Futures) Holding Short taken at 1331.4 On 13-04-2026 StopLoss 1345.53 | Profit so far -13.7 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 23852.58 | Profit so far 1418.73 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 55203.55 | Profit so far 4507.85 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 269.59 | Profit so far 14.51 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 568.03 | Profit so far 43.41 -------------------- Nifty Options Data: Highest OI : NIFTY24200PE NIFTY25000CE Highest Rise in OI : NIFTY24200PE NIFTY25000CE Highest Fall in OI : NIFTY23700PE NIFTY23600CE Highest Volume : NIFTY24200PE NIFTY24250CE -------------------- Market Mood as on Apr 15, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = 666.15 FII F&O Net = -93.5 FII F&O OI = N.A. DII Cash Net = -568.98 --------------- FII OI Data: Future Index Long:73089(-7563) Future Index Short:273807(-15199) Future Stock Long:4163870(-21096) Future Stock Short:3121543(-31755) Option Index Call Long:416458(-1130) Option Index Put Long:751302(2291) Option Index Call Short:581517(12935) Option Index Put Short:425656(17866) Option Stock Call Long:190643(12977) Option Stock Put Long:246854(14194) Option Stock Call Short:269553(17055) Option Stock Put Short:188468(16619) Total Long Contract:5842216(-327) Total Short Contract:4860545(17522) Total UP Side Contract:5458184(17673) Total Down Side Contract:5244576(-479) L/S FII Index Fut Ratio:21 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: SIEMENS, ANGELONE, 360ONE, JUBLFOOD, HCLTECH Short Covering: BOSCHLTD, FINNIFTY, VEDL, PPLPHARMA, TATATECH Short Build Up: ASTRAL, OIL, INDIANB, INDUSTOWER, FEDERALBNK Long Unwinding: AXISBANK, BHARTIARTL, ONGC, ICICIBANK, SAIL -------------------- Volume Shockers (Futures) : ICICIPRULI -------------------- Swing Trading (Futures): 1. JUBLFOOD Buy Above 445.34 -------------------- Swing Trading (NSE Cash Scrips): ACC Sell Below 1431.2 SL 1446.7 CANBK Sell Below 141.71 SL 143.67 GRASIM Sell Below 2741.4 SL 2793.2 HINDZINC Sell Below 580.5 SL 593.95 RECLTD Sell Below 352.65 SL 356.25 TATASTEEL Sell Below 208.72 SL 211.15 BHEL Short Intraday Above 298.88 SL 300.36 -------------------- Hot Stocks (Price Action): HINDCOMPOS IGARASHI ORIENTBELL NKIND HGINFRA SIGIND RAILTEL BBTCL DIVGIITTS AFCONS CARRARO RUDRA ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, NIACL, STLTECH, ADANIGREEN, VAKRANGEE -------------------- 5 Worst Performing Stocks since Expiry: IRB, VINATIORGA, UBL, BIOCON, DRREDDY --------------- Pivot Based Short Term Ideas APLAPOLLO : Buy Above 2045 CSL Below 2020.3 ASAHIINDIA : Buy Above 859.85 CSL Below 838.1667 ATUL : Buy Above 6580 CSL Below 6361 EICHERMOT : Buy Above 7199.5 CSL Below 7051.333 GPPL : Buy Above 154.64 CSL Below 152.5533 HATSUN : Buy Above 941 CSL Below 934.1 HINDUNILVR : Buy Above 2168 CSL Below 2147.5 ICIL : Buy Above 264.5 CSL Below 246.1167 LAOPALA : Buy Above 179.48 CSL Below 176.35 MINDACORP : Buy Above 521.45 CSL Below 509.55 PETRONET : Buy Above 272.43 CSL Below 268.2667 PRSMJOHNSN : Buy Above 126.8 CSL Below 124.72 SRF : Buy Above 2509.5 CSL Below 2489.333 SUNTECK : Buy Above 333.3 CSL Below 316.15 WESTLIFE : Buy Above 474.95 CSL Below 459.5667 WHIRLPOOL : Buy Above 860 CSL Below 826.8333 INDUSTOWER : Sell Below 419.15 CSL Above 429.75 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: EMAMILTD, JUBLPHARMA, TATACONSUM, VINATIORGA, OverBought Stocks: BALRAMCHIN, BERGEPAINT, GUJALKALI, HFCL, KPRMILL, -------------------- Turtle Trend Trading : No New Trade -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIGREEN TGT HIT : Long taken at 1016.8 Booked at 1118.48 | Profit Booked 101.68(10.00%) SIEMENS TGT HIT : Long taken at 3138.9 Booked at 3452.79 | Profit Booked 313.89(10.00%) ADANIENT Place Order at 2144.4 INDUSTOWER Place Order at 382.75 LT Place Order at 4076.3 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : HINDALCO TGT HIT : Long taken at 909.67 Booked at 1000.64 | Profit Booked 90.97(10.00%) TATASTEEL TGT HIT : Long taken at 191.68 Booked at 210.85 | Profit Booked 19.17(10.00%) Astro Predictions for 16-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 09:30 to 10:32 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Monday, April 13, 2026
EOD Review On 13-Apr-2026 : Levels for Next Trading Day
EOD Review on 13 Apr 2026 My System Levels: 1) Levels to watch are 24013.7 and 23703.7 2) Sell Below 23683.57 SL 23805.98 TGT 23496.23, 23367.46 3) Buy Above 23928.39 SL 23805.98 TGT 24013.7, 24116.23, 24297.46 4) Supports/Resistances to Watch For :- 23367.46 23496.23 23677.46 23806.23 23987.46 24116.23 24297.46 Camarilla Levels: 1) Sell Below 23688.2 SL 23773.45 TGT 23507.2, 23432.8 2) Sell Below 23943.95 SL 24029.2 TGT 23887.12, 23830.28, 23773.45 3) Buy Above 23773.45 SL 23688.2 TGT 23830.28, 23887.12, 23943.95 4) Buy Above 24029.2 SL 23943.95 TGT 24052.8, 24127.2 BANKNIFTY : Levels to watch are 56371 and 55102.6 RELIANCE : Levels to watch are 1327.2 and 1310.2 SBIN : Levels to watch are 1090.45 and 1037.25 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Sold at 1331.4 StopLoss 1347.13| Profit so far 12.7 NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 23763.03 | Profit so far 1002.4 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 54890.2 | Profit so far 3739.8 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1035.6 | Profit so far 40.12 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 23698.25 | Profit so far 1030.08 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 54709.44 | Profit so far 3810.95 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 268.16 | Profit so far 10.26 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 564.36 | Profit so far 36.41 -------------------- Nifty Options Data: Highest OI : NIFTY23000PE NIFTY25000CE Highest Rise in OI : NIFTY23700PE NIFTY24600CE Highest Fall in OI : NIFTY23900PE NIFTY24500CE Highest Volume : NIFTY23700PE NIFTY23600CE -------------------- Market Mood as on Apr 13, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -1983.18 FII F&O Net = -3326.03 FII F&O OI = N.A. DII Cash Net = 2432.3 --------------- FII OI Data: Future Index Long:80652(-780) Future Index Short:289006(1347) Future Stock Long:4184966(-27481) Future Stock Short:3153298(19880) Option Index Call Long:417588(-100344) Option Index Put Long:749011(-124640) Option Index Call Short:568582(-127948) Option Index Put Short:407790(-132600) Option Stock Call Long:177666(6030) Option Stock Put Long:232660(15532) Option Stock Call Short:252498(19804) Option Stock Put Short:171849(8312) Total Long Contract:5842543(-231682) Total Short Contract:4843023(-211204) Total UP Side Contract:5440511(-246863) Total Down Side Contract:5245055(-196025) L/S FII Index Fut Ratio:22 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: WAAREEENER, ASTRAL, SUZLON, TATAPOWER, COALINDIA Short Covering: ICICIBANK, VOLTAS, BLUESTARCO, TORNTPHARM, HUDCO Short Build Up: APLAPOLLO, AMBER, HEROMOTOCO, LTM, CHOLAFIN Long Unwinding: FINNIFTY, MOTHERSON, PNBHOUSING, BANKBARODA, KFINTECH -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. TCS Sell Below 2466.89 2. HEROMOTOCO Sell Below 5201.67 3. JIOFIN Sell Below 235.8 4. ETERNAL Sell Below 234.68 5. ITC Sell Below 298.31 -------------------- Swing Trading (NSE Cash Scrips): COALINDIA Long Intraday Below 429.34 SL 427.19 -------------------- Hot Stocks (Price Action): ATLASCYCLE TATAINVEST PURVA ATULAUTO BIRLACABLE DPWIRES DMCC EIEL ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, NIACL, ADANIGREEN, STLTECH, VMART -------------------- 5 Worst Performing Stocks since Expiry: IRB, VINATIORGA, BIOCON, UBL, MRPL --------------- Pivot Based Short Term Ideas JSWENERGY : Buy Above 515.6 CSL Below 488.8667 APLAPOLLO : Sell Below 1975 CSL Above 2020.3 ASAHIINDIA : Sell Below 824.6 CSL Above 838.1667 ATUL : Sell Below 6289.5 CSL Above 6361 EICHERMOT : Sell Below 7037 CSL Above 7051.333 GPPL : Sell Below 148.14 CSL Above 152.5533 HEROMOTOCO : Sell Below 5202.5 CSL Above 5288.833 HINDUNILVR : Sell Below 2113.5 CSL Above 2147.5 PETRONET : Sell Below 259 CSL Above 268.2667 PIDILITIND : Sell Below 1314.3 CSL Above 1346.333 PRSMJOHNSN : Sell Below 123.4 CSL Above 124.72 SUNTECK : Sell Below 305.25 CSL Above 316.15 WESTLIFE : Sell Below 448.55 CSL Above 459.5667 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: EMAMILTD, IPCALAB, RECLTD, RITES, SANOFI, OverBought Stocks: BALRAMCHIN, BERGEPAINT, GUJALKALI, HFCL, MOIL, -------------------- Turtle Trend Trading : BHEL Bought at 277 OBEROIRLTY Bought at 1670.8 SONACOMS Bought at 549.45 -------------------- 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) : AXISBANK TGT HIT : Long taken at 1239.1 Booked at 1363.01 | Profit Booked 123.91(10.00%) Astro Predictions for 14-Apr-2026 Market Nature : VOLATILE Reversal Timings : 09:31 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Friday, April 10, 2026
EOD Review On 10-Apr-2026 : Levels for Next Trading Day
EOD Review on 10 Apr 2026 My System Levels: 1) Levels to watch are 24203.95 and 23998.05 2) Sell Below 23524.15 SL 23645.64 TGT 3) Buy Above 23767.13 SL 23645.64 TGT 24203.95, 24250.93, 24381.86 4) Supports/Resistances to Watch For :- 23764.16 23839.13 23970.06 24045.03 24175.96 24250.93 24381.86 Camarilla Levels: 1) Sell Below 23987.75 SL 24044.38 TGT 23835.86, 23786.44 2) Sell Below 24157.62 SL 24214.25 TGT 24119.87, 24082.13, 24044.38 3) Buy Above 24044.38 SL 23987.75 TGT 24082.13, 24119.87, 24157.62 4) Buy Above 24214.25 SL 24157.62 TGT 24247.66 BANKNIFTY : Levels to watch are 56529.1 and 55625.3 RELIANCE : Levels to watch are 1366.45 and 1343.55 SBIN : Levels to watch are 1080.12 and 1056.77 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 23831.37 | Profit so far 1244.7 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 54956.47 | Profit so far 4080.2 RELIANCE(Futures) Holding Long taken at 1344.47 On 08-04-2026 StopLoss 1331.4 | Profit so far 10.53 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1052.25 | Profit so far 44.72 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 23789.22 | Profit so far 1238.03 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 54856.53 | Profit so far 4118.65 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 267.57 | Profit so far 12.69 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 561.3 | Profit so far 39.58 -------------------- Nifty Options Data: Highest OI : NIFTY22500PE NIFTY25000CE Highest Rise in OI : NIFTY22500PE NIFTY25000CE Highest Fall in OI : NIFTY21000PE NIFTY25200CE Highest Volume : NIFTY23900PE NIFTY24000CE -------------------- Market Mood as on Apr 10, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = 672.09 FII F&O Net = 402.79 FII F&O OI = N.A. DII Cash Net = 410.05 --------------- FII OI Data: Future Index Long:81432(2426) Future Index Short:287659(-19065) Future Stock Long:4212447(-5770) Future Stock Short:3133418(-2803) Option Index Call Long:517932(56257) Option Index Put Long:873651(73459) Option Index Call Short:696530(9703) Option Index Put Short:540390(71911) Option Stock Call Long:171636(14579) Option Stock Put Long:217128(18349) Option Stock Call Short:232694(28062) Option Stock Put Short:163537(20542) Total Long Contract:6074225(159299) Total Short Contract:5054227(108349) Total UP Side Contract:5687374(159945) Total Down Side Contract:5441080(107705) L/S FII Index Fut Ratio:22 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: SONACOMS, WAAREEENER, BLUESTARCO, CUMMINSIND, ABB Short Covering: BOSCHLTD, ASHOKLEY, LODHA, NIFTY, INDIGO Short Build Up: TCS, COALINDIA, COFORGE, WIPRO, NHPC Long Unwinding: OIL, KPITTECH, PETRONET, DMART, PERSISTENT -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. VOLTAS Buy Above 1318.94 2. INFY Sell Below 1277.96 3. NAUKRI Sell Below 989.96 -------------------- Swing Trading (NSE Cash Scrips): BHEL Short Intraday Above 287.61 SL 289.04 BOSCHLTD Short Intraday Above 37858.35 SL 38046.70 KAJARIACER Short Intraday Above 1130.63 SL 1136.25 -------------------- Hot Stocks (Price Action): ANDHRSUGAR AVANTIFEED NIACL INFOBEAN ARTNIRMAN PRITI , Red Candles ROSSTECH COHANCE SAATVIKGL ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, ADANIGREEN, VMART, BOSCHLTD, SHILPAMED -------------------- 5 Worst Performing Stocks since Expiry: IRB, UBL, VINATIORGA, BIOCON, SUNPHARMA --------------- Pivot Based Short Term Ideas MARICO : Buy Above 764 CSL Below 750.8 PFIZER : Buy Above 4876 CSL Below 4750.167 SYNGENE : Buy Above 411.8 CSL Below 401.65 UTIAMC : Buy Above 978.8 CSL Below 943.95 WESTLIFE : Buy Above 476 CSL Below 459.5667 COALINDIA : Sell Below 427.5 CSL Above 447.4833 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: INDOCO, RECLTD, RITES, TATACONSUM, VINATIORGA, OverBought Stocks: BALRAMCHIN, GUJALKALI, -------------------- Turtle Trend Trading : No New Trade -------------------- 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) : No New Trade -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Thursday, April 9, 2026
EOD Review On 09-Apr-2026 : Levels for Next Trading Day
EOD Review on 09 Apr 2026 My System Levels: 1) Levels to watch are 24001.05 and 23721.55 2) Sell Below 23256.95 SL 23378.76 TGT 3) Buy Above 23500.57 SL 23378.76 TGT 24001.05, 24159.77, 24290.04 4) Supports/Resistances to Watch For :- 23451.54 23600.77 23731.04 23880.27 24010.54 24159.77 24290.04 Camarilla Levels: 1) Sell Below 23707.58 SL 23784.44 TGT 23643.79, 23576.71 2) Sell Below 23938.16 SL 24015.03 TGT 23886.92, 23835.68, 23784.44 3) Buy Above 23784.44 SL 23707.58 TGT 23835.68, 23886.92, 23938.16 4) Buy Above 24015.03 SL 23938.16 TGT 24135.71, 24202.79 BANKNIFTY : Levels to watch are 55528.6 and 54631.4 RELIANCE : Levels to watch are 1346.05 and 1325.35 SBIN : Levels to watch are 1058.68 and 1032.72 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 23462 | Profit so far 1005 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 53927.14 | Profit so far 3083 RELIANCE(Futures) Holding Long taken at 1344.47 On 08-04-2026 StopLoss 1318.77 | Profit so far -8.77 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1041.6 | Profit so far 21.97 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 23410.2 | Profit so far 962.53 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 53764.27 | Profit so far 3027.6 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 263.37 | Profit so far 10.23 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 550.54 | Profit so far 29.93 -------------------- Nifty Options Data: Highest OI : NIFTY21000PE NIFTY24500CE Highest Rise in OI : NIFTY22800PE NIFTY24500CE Highest Fall in OI : NIFTY22000PE NIFTY25000CE Highest Volume : NIFTY23850PE NIFTY24500CE -------------------- Market Mood as on Apr 09, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -1711.19 FII F&O Net = -124.28 FII F&O OI = N.A. DII Cash Net = 955.9 --------------- FII OI Data: Future Index Long:79006(-3399) Future Index Short:306724(-3081) Future Stock Long:4218217(16887) Future Stock Short:3136221(25480) Option Index Call Long:461675(34238) Option Index Put Long:800192(70098) Option Index Call Short:686827(64583) Option Index Put Short:468479(26877) Option Stock Call Long:157057(12468) Option Stock Put Long:198779(25994) Option Stock Call Short:204632(27897) Option Stock Put Short:142995(16697) Total Long Contract:5914926(156286) Total Short Contract:4945878(158454) Total UP Side Contract:5527429(103768) Total Down Side Contract:5333375(210971) L/S FII Index Fut Ratio:20 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: POWERINDIA, WAAREEENER, BLUESTARCO, 360ONE, BSE Short Covering: ADANIGREEN, DELHIVERY, MFSL, TECHM, PIIND Short Build Up: KFINTECH, AMBER, SRF, JUBLFOOD, KAYNES Long Unwinding: PAYTM, CHOLAFIN, EICHERMOT, INDIANB, UNOMINDA -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. BPCL Buy Above 295.07 -------------------- Swing Trading (NSE Cash Scrips): BOSCHLTD Short Intraday Above 37757.85 SL 37945.70 -------------------- Hot Stocks (Price Action): ITDC BHAGYANGR AWHCL HONASA ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, VMART, ADANIGREEN, SHILPAMED, BOSCHLTD -------------------- 5 Worst Performing Stocks since Expiry: IRB, BIOCON, UBL, IPCALAB, VINATIORGA --------------- Pivot Based Short Term Ideas ALKEM : Buy Above 5386.5 CSL Below 5358.5 PFIZER : Sell Below 4725 CSL Above 4750.167 UTIAMC : Sell Below 935 CSL Above 943.95 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: INDIACEM, IBULHSGFIN, IBREALEST, INDOCO, VINATIORGA, OverBought Stocks: BALRAMCHIN, PAGEIND, -------------------- Turtle Trend Trading : No New Trade -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : ADANIGREEN Bought at 1029.65 BANDHANBNK Bought at 164.75 BOSCHLTD Bought at 35935 LT Bought at 4005.9 INDUSTOWER Place Order at 382.75 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : No New Trade Astro Predictions for 10-Apr-2026 Market Nature : SIDEWAYS Reversal Timings : From 12:39 to 13:40 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Wednesday, April 8, 2026
EOD Review On 08-Apr-2026 : Levels for Next Trading Day
EOD Review on 08 Apr 2026 My System Levels: 1) Levels to watch are 24187.8 and 23927.8 2) Sell Below 23044.29 SL 23166.52 TGT 3) Buy Above 23288.75 SL 23166.52 TGT 24187.8, 24252.6, 24415.2 4) Supports/Resistances to Watch For :- 23635.2 23732.6 23895.2 23992.6 24155.2 24252.6 24415.2 Camarilla Levels: 1) Sell Below 23914.8 SL 23986.3 TGT 23731.2, 23668.8 2) Sell Below 24129.3 SL 24200.8 TGT 24081.63, 24033.97, 23986.3 3) Buy Above 23986.3 SL 23914.8 TGT 24033.97, 24081.63, 24129.3 4) Buy Above 24200.8 SL 24129.3 TGT 24251.2 BANKNIFTY : Levels to watch are 56525.1 and 55330.9 RELIANCE : Levels to watch are 1364 and 1338 SBIN : Levels to watch are 1076.67 and 1057.72 -------------------- Position as per Trade with Trend : RELIANCE(Futures) Bought at 1344.47 StopLoss 1305.83| Profit so far 6.53 NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 23087.67 | Profit so far 1201.5 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 52781.14 | Profit so far 3931 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1030.3 | Profit so far 43.47 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 23030.25 | Profit so far 1184.78 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 52592.36 | Profit so far 3909.8 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 259.28 | Profit so far 12.42 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 538.65 | Profit so far 39.33 -------------------- Nifty Options Data: Highest OI : NIFTY21000PE NIFTY25000CE Highest Rise in OI : NIFTY22000PE NIFTY25000CE Highest Fall in OI : NIFTY23100PE NIFTY23200CE Highest Volume : NIFTY23950PE NIFTY24000CE -------------------- Market Mood as on Apr 08, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -2811.97 FII F&O Net = 2521.79 FII F&O OI = N.A. DII Cash Net = 4168.17 --------------- FII OI Data: Future Index Long:82405(6637) Future Index Short:309805(-25398) Future Stock Long:4201330(22597) Future Stock Short:3110741(-9468) Option Index Call Long:427437(92269) Option Index Put Long:730094(31599) Option Index Call Short:622244(80332) Option Index Put Short:441602(63916) Option Stock Call Long:144589(20317) Option Stock Put Long:172785(24001) Option Stock Call Short:176735(27465) Option Stock Put Short:126298(19216) Total Long Contract:5758640(197420) Total Short Contract:4787424(156063) Total UP Side Contract:5423661(224952) Total Down Side Contract:5122404(128531) L/S FII Index Fut Ratio:21 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: 360ONE, BOSCHLTD, KFINTECH, WAAREEENER, BLUESTARCO Short Covering: ASHOKLEY, MUTHOOTFIN, BANKNIFTY, MIDCPNIFTY, SAMMAANCAP Short Build Up: DRREDDY, COALINDIA, ONGC, WIPRO, TORNTPHARM Long Unwinding: DMART, OFSS, TECHM, MARICO, FORTIS -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. ASHOKLEY Buy Above 169.01 2. LODHA Buy Above 787.33 3. BANKBARODA Buy Above 271.04 4. BPCL Buy Above 299.72 5. INDUSINDBK Buy Above 811.83 6. IOC Buy Above 147.02 7. IDEA Buy Above 9.2 8. PNB Buy Above 109.64 9. SBICARD Buy Above 676.05 10. SBIN Buy Above 1052.34 11. COALINDIA Sell Below 450.81 12. NTPC Buy Above 374.34 -------------------- Swing Trading (NSE Cash Scrips): ASIANPAINT Sell Below 2282.4 SL 2336.9 GAIL Sell Below 153.3 SL 156.5 ICICIBANK Sell Below 1309.2 SL 1333.5 INDIGO Short Intraday Above 4767.72 SL 4791.44 KAJARIACER Short Intraday Above 1079.37 SL 1084.74 -------------------- Hot Stocks (Price Action): PVP JINDWORLD ARVSMART CHOLAHLDNG CLSEL ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, VMART, ADANIGREEN, BOSCHLTD, VAKRANGEE -------------------- 5 Worst Performing Stocks since Expiry: IRB, DRREDDY, IPCALAB, BIOCON, VOLTAS --------------- Pivot Based Short Term Ideas APLAPOLLO : Buy Above 2055.1 CSL Below 2020.3 AARTIIND : Buy Above 427.7 CSL Below 417.6 AAVAS : Buy Above 1219 CSL Below 1132.633 ATGL : Buy Above 589 CSL Below 541.25 AMBER : Buy Above 7075 CSL Below 6883 ANURAS : Buy Above 1274.2 CSL Below 1247.567 ASAHIINDIA : Buy Above 860.8 CSL Below 838.1667 ATUL : Buy Above 6423.5 CSL Below 6361 EICHERMOT : Buy Above 7170 CSL Below 7051.333 ENDURANCE : Buy Above 2384.5 CSL Below 2356.333 GARFIBRES : Buy Above 618.5 CSL Below 611.9 GRAPHITE : Buy Above 658 CSL Below 632.8333 HINDPETRO : Buy Above 367.65 CSL Below 362.4 INDUSTOWER : Buy Above 442.95 CSL Below 429.75 MRF : Buy Above 134465 CSL Below 131483.3 NAM-INDIA : Buy Above 921.9 CSL Below 841.2667 PRSMJOHNSN : Buy Above 127.3 CSL Below 124.72 RADICO : Buy Above 2775.5 CSL Below 2683.433 RATNAMANI : Buy Above 2316.9 CSL Below 2270.6 TATACHEM : Buy Above 657.55 CSL Below 627.7167 TIMKEN : Buy Above 3470 CSL Below 3281.1 UTIAMC : Buy Above 980 CSL Below 943.95 VARROC : Buy Above 514 CSL Below 489.8667 ZEEL : Buy Above 80.19 CSL Below 75.44334 MARICO : Sell Below 746.25 CSL Above 750.8 OIL : Sell Below 457.5 CSL Above 478.7 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: EMAMILTD, ESCORTS, HATSUN, IRB, RITES, SANOFI, VINATIORGA, OverBought Stocks: BALRAMCHIN, -------------------- Turtle Trend Trading : No New Trade -------------------- DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : SAIL TGT HIT : Long taken at 153.04 Booked at 168.34 | Profit Booked 15.30(10.00%) SAIL TGT HIT : Long taken at 153.53 Booked at 168.88 | Profit Booked 15.35(10.00%) SAIL TGT HIT : Long taken at 151.71 Booked at 166.88 | Profit Booked 15.17(10.00%) ADANIGREEN Place Order at 1029.65 BANDHANBNK Place Order at 164.75 BOSCHLTD Place Order at 35935 INDUSTOWER Place Order at 382.75 LT Place Order at 4005.9 -------------------- Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) : SBIN Remove Existing Buy Order at 958.42 TITAN TGT HIT : Long taken at 4035.26 Booked at 4438.79 | Profit Booked 403.53(10.00%) Astro Predictions for 09-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 10:35 to 11:37 09:34 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Tuesday, April 7, 2026
EOD Review On 07-Apr-2026 : Levels for Next Trading Day
EOD Review on 07 Apr 2026 My System Levels: 1) Levels to watch are 23340.3 and 22961.9 2) Sell Below 22696.29 SL 22818.64 TGT 22668.77, 22531.54 3) Buy Above 22940.99 SL 22818.64 TGT 23340.3, 23425.57, 23666.74 4) Supports/Resistances to Watch For :- 22531.54 22668.77 22909.94 23047.17 23288.34 23425.57 23666.74 Camarilla Levels: 1) Sell Below 22942.98 SL 23047.04 TGT 22662.21, 22571.39 2) Sell Below 23255.16 SL 23359.22 TGT 23185.79, 23116.41, 23047.04 3) Buy Above 23047.04 SL 22942.98 TGT 23116.41, 23185.79, 23255.16 4) Buy Above 23359.22 SL 23255.16 TGT 23419.01 BANKNIFTY : Levels to watch are 53273.8 and 52471.8 RELIANCE : Levels to watch are 1316.55 and 1301.25 SBIN : Levels to watch are 1042.97 and 1022.92 -------------------- Position as per Trade with Trend : NIFTY(Futures) Holding Long taken at 22856.3 On 06-04-2026 StopLoss 22569.9 | Profit so far 294.8 BANKNIFTY(Futures) Holding Long taken at 51997 On 06-04-2026 StopLoss 51236.67 | Profit so far 875.8 SBIN(Futures) Holding Long taken at 1023.73 On 06-04-2026 StopLoss 1002.52 | Profit so far 9.22 RELIANCE(Futures) Holding Short taken at 1384.87 On 19-03-2026 StopLoss 1344.47 | Profit so far 75.97 NIFTY(Indices) Holding Long taken at 22812.57 On 06-04-2026 StopLoss 22481.6 | Profit so far 311.08 BANK_NIFTY(Indices) Holding Long taken at 51794.1 On 06-04-2026 StopLoss 50978.14 | Profit so far 922.15 NIFTYBEES(BEES) Holding Long taken at 259.26 On 06-04-2026 StopLoss 254.84 | Profit so far 2.21 BANKBEES(BEES) Holding Long taken at 536.38 On 06-04-2026 StopLoss 526.64 | Profit so far 7.58 -------------------- Nifty Options Data: Highest OI : NIFTY23100PE NIFTY23200CE Highest Rise in OI : NIFTY23100PE NIFTY23300CE Highest Fall in OI : NIFTY22000PE NIFTY24000CE Highest Volume : NIFTY22900PE NIFTY23200CE -------------------- Market Mood as on Apr 07, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -8692.11 FII F&O Net = -580.3 FII F&O OI = N.A. DII Cash Net = 7979.5 --------------- FII OI Data: Future Index Long:75768(3200) Future Index Short:335203(-5827) Future Stock Long:4178733(-8258) Future Stock Short:3120209(4326) Option Index Call Long:335168(-109005) Option Index Put Long:698495(-166461) Option Index Call Short:541912(-134914) Option Index Put Short:377686(-169342) Option Stock Call Long:124272(16159) Option Stock Put Long:148784(16341) Option Stock Call Short:149270(12832) Option Stock Put Short:107082(16966) Total Long Contract:5561220(-248024) Total Short Contract:4631361(-275960) Total UP Side Contract:5198709(-250280) Total Down Side Contract:4993873(-273703) L/S FII Index Fut Ratio:18 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: FINNIFTY, JINDALSTEL, EICHERMOT, MPHASIS, KPITTECH Short Covering: NIFTYNXT50, OIL, POLYCAB, ICICIBANK, NAUKRI Short Build Up: JUBLFOOD, KFINTECH, BIOCON, TRENT, BANKINDIA Long Unwinding: HDFCAMC, DMART, PIIND, PPLPHARMA, NYKAA -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. GODREJCP Buy Above 1050.97 2. JINDALSTEL Buy Above 1150.35 3. HAL Buy Above 3768.99 4. BHEL Buy Above 257.49 5. DLF Buy Above 544.19 6. BHARTIARTL Buy Above 1834.86 7. ITC Buy Above 300.36 -------------------- Swing Trading (NSE Cash Scrips): JUSTDIAL Sell Below 530.95 SL 545 DRREDDY Long Intraday Below 1173.11 SL 1167.21 RELIANCE Long Intraday Below 1284.55 SL 1278.09 -------------------- Hot Stocks (Price Action): GALLANTT LUXIND KREBSBIO TITAGARH ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: LUXIND, VMART, DMART, SHILPAMED, VAKRANGEE -------------------- 5 Worst Performing Stocks since Expiry: IRB, M&MFIN, BLUESTARCO, UFLEX, VOLTAS --------------- Pivot Based Short Term Ideas APLLTD : Buy Above 695 CSL Below 674.8 BHEL : Buy Above 254.39 CSL Below 253.2833 COROMANDEL : Buy Above 2040 CSL Below 1977.3 MARICO : Buy Above 755 CSL Below 750.8 NAZARA : Buy Above 243.67 CSL Below 237 OIL : Buy Above 489 CSL Below 478.7 AAVAS : Sell Below 1120 CSL Above 1132.633 GRAPHITE : Sell Below 625.9 CSL Above 632.8333 HAPPSTMNDS : Sell Below 374.5 CSL Above 381.85 JUBLFOOD : Sell Below 408.8 CSL Above 458.2 RADICO : Sell Below 2617.3 CSL Above 2683.433 TIMKEN : Sell Below 3254 CSL Above 3281.1 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: BAJAJHLDNG, BLUEDART, CANFINHOME, COLPAL, EMAMILTD, ESCORTS, FINPIPE, HATSUN, ICICIPRULI, ISEC, IDFCFIRSTB, IDFC, IRB, RECLTD, RITES, SANOFI, SOBHA, TATACONSUM, VINATIORGA, OverBought Stocks: ABBOTINDIA, BALRAMCHIN, -------------------- Turtle Trend Trading : No New Trade -------------------- 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 Existing Buy Order at 958.42 Astro Predictions for 08-Apr-2026 Market Nature : SIDEWAYS Reversal Timings : From 11:37 to 12:39 -- This email has been checked for viruses by AVG antivirus software. www.avg.com
Monday, April 6, 2026
EOD Review On 06-Apr-2026 : Levels for Next Trading Day
EOD Review on 06 Apr 2026 My System Levels: 1) Levels to watch are 23288 and 22826 2) Sell Below 22629.39 SL 22751.74 TGT 22462.33, 22297.66 3) Buy Above 22874.09 SL 22751.74 TGT 23288, 23386.33, 23683.66 4) Supports/Resistances to Watch For :- 22297.66 22462.33 22759.66 22924.33 23221.66 23386.33 23683.66 Camarilla Levels: 1) Sell Below 22802.9 SL 22929.95 TGT 22451.44, 22340.56 2) Sell Below 23184.05 SL 23311.1 TGT 23099.35, 23014.65, 22929.95 3) Buy Above 22929.95 SL 22802.9 TGT 23014.65, 23099.35, 23184.05 4) Buy Above 23311.1 SL 23184.05 TGT 23375.44 BANKNIFTY : Levels to watch are 53688.7 and 52103.7 RELIANCE : Levels to watch are 1344.45 and 1279.75 SBIN : Levels to watch are 1054.17 and 1022.03 -------------------- Position as per Trade with Trend : NIFTY(Futures) Bought at 22856.3 StopLoss 22545.23| Profit so far 200.7 BANKNIFTY(Futures) Bought at 51997 StopLoss 51004| Profit so far 899.2 SBIN(Futures) Bought at 1023.73 StopLoss 997.87| Profit so far 14.37 RELIANCE(Futures) Holding Short taken at 1384.87 On 19-03-2026 StopLoss 1368.9 | Profit so far 72.77 NIFTY(Indices) Bought at 22812.57 StopLoss 22448.03| Profit so far 155.68 BANK_NIFTY(Indices) Bought at 51794.1 StopLoss 50733.17| Profit so far 815 NIFTYBEES(BEES) Bought at 259.26 StopLoss 254.72| Profit so far 0.99 BANKBEES(BEES) Bought at 536.38 StopLoss 524.15| Profit so far 6.97 -------------------- Nifty Options Data: Highest OI : NIFTY22000PE NIFTY24000CE Highest Rise in OI : NIFTY22000PE NIFTY24000CE Highest Fall in OI : NIFTY20200PE NIFTY23000CE Highest Volume : NIFTY22500PE NIFTY22700CE -------------------- Market Mood as on Apr 06, 2026"" FII Mood - Bearish Retailers Mood - Weak Bullish Overall Market Mood - Volatile/Indecisive with Bearish -------------------- FII/DII Figures: FII Cash Net = -8167.17 FII F&O Net = 893.82 FII F&O OI = N.A. DII Cash Net = 8088.7 --------------- FII OI Data: Future Index Long:72568(4510) Future Index Short:341030(4952) Future Stock Long:4186991(14338) Future Stock Short:3115883(-1555) Option Index Call Long:444173(32578) Option Index Put Long:864956(80318) Option Index Call Short:676826(15674) Option Index Put Short:547028(86776) Option Stock Call Long:108113(21464) Option Stock Put Long:132443(27997) Option Stock Call Short:136438(20097) Option Stock Put Short:90116(13014) Total Long Contract:5809244(181205) Total Short Contract:4907321(138958) Total UP Side Contract:5448989(172680) Total Down Side Contract:5267576(147483) L/S FII Index Fut Ratio:18 L/S FII Stock Fut Ratio:57 -------------------- Long Build Up: BOSCHLTD, DALBHARAT, LODHA, INDIGO, COALINDIA Short Covering: BLUESTARCO, BDL, LTF, RBLBANK, HDFCAMC Short Build Up: 360ONE, SWIGGY, JINDALSTEL, EICHERMOT, POWERINDIA Long Unwinding: ONGC, OIL -------------------- Volume Shockers (Futures) : NIL -------------------- Swing Trading (Futures): 1. GODREJPROP Buy Above 1586.44 2. LTF Buy Above 263.18 3. AXISBANK Buy Above 1230.63 4. ADANIENT Buy Above 1940.46 5. AMBUJACEM Buy Above 434.73 6. JIOFIN Buy Above 238.44 7. HAL Buy Above 3820.05 8. TVSMOTOR Buy Above 3527.94 9. BEL Buy Above 427.26 10. HDFCAMC Buy Above 2416.57 -------------------- Swing Trading (NSE Cash Scrips): PIDILITIND Buy Above 1291.2 SL 1259 NATIONALUM Sell Below 407.85 SL 415.8 DRREDDY Long Intraday Below 1190.32 SL 1184.34 SUNPHARMA Long Intraday Below 1646.63 SL 1638.35 TORNTPHARM Long Intraday Below 3930.25 SL 3910.50 UBL Long Intraday Below 1433.89 SL 1426.69 -------------------- Hot Stocks (Price Action): KCP LUXIND SENCO SURAJLTD ------------------- Very High Delivery Volume Stocks -------------------- 5 Best Performing Stocks since Expiry: VMART, LUXIND, DMART, SHILPAMED, VAKRANGEE -------------------- 5 Worst Performing Stocks since Expiry: IRB, ASHOKLEY, M&MFIN, BLUESTARCO, UFLEX --------------- Pivot Based Short Term Ideas CUB : Buy Above 253.2 CSL Below 249.0167 DALBHARAT : Buy Above 1890 CSL Below 1823.833 GLAND : Buy Above 1736 CSL Below 1690.6 MUTHOOTFIN : Buy Above 3303.8 CSL Below 3231.7 RADICO : Buy Above 2695 CSL Below 2683.433 STLTECH : Buy Above 191.36 CSL Below 178.3967 ANURAS : Sell Below 1235.1 CSL Above 1247.567 KNRCON : Sell Below 114.1 CSL Above 117.2267 MARICO : Sell Below 742.45 CSL Above 750.8 OIL : Sell Below 470.05 CSL Above 478.7 VARROC : Sell Below 476.2 CSL Above 489.8667 ----------------- RSI Based OverSold/OverBought Stocks: OverSold Stocks: 3MINDIA, BAJAJHLDNG, CRISIL, EMAMILTD, HATSUN, ICICIPRULI, ISEC, IRB, IOC, MFSL, MIDHANI, PHOENIXLTD, PNB, SOBHA, SBIN, TATACONSUM, OverBought Stocks: BALRAMCHIN, -------------------- Turtle Trend Trading : ASTRAL SL HIT : Long took at 1522.9 on 20260210 Stoploss 1546.9 | Profit Booked 24.00(1.58%) RELIANCE SL HIT : Long took at 1325.2 on 20250428 Stoploss 1307 | Profit Booked -18.20(-1.37%) -------------------- 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 Existing Buy Order at 958.42 AXISBANK Remove Existing Buy Order at 1115.19 Astro Predictions for 07-Apr-2026 Market Nature : VOLATILE Reversal Timings : From 09:35 to 10:36 -- This email has been checked for viruses by AVG antivirus software. www.avg.com