EOD Review on 27 Nov 2020
My System Levels:
1) Levels to watch are 13081.4 and 12953.4
2) Sell Below 12908.17 SL 12970.11 TGT 12829.6, 12804.6
3) Buy Above 13032.05 SL 12970.11 TGT 13081.4, 13153.8, 13213.6
4) Supports/Resistances to Watch For :-
12829.6
12897.8
12957.6
13025.8
13085.6
13153.8
13213.6
Camarilla Levels:
1) Sell Below 12947 SL 12982.2 TGT 12917.36, 12886.64
2) Sell Below 13052.6 SL 13087.8 TGT 13029.13, 13005.67, 12982.2
3) Buy Above 12982.2 SL 12947 TGT 13005.67, 13029.13, 13052.6
4) Buy Above 13087.8 SL 13052.6 TGT 13142.64, 13173.36
BANKNIFTY : Levels to watch are 29866.27 and 29468.12
USDINR-1 : Levels to watch are 74.36 and 74.04
RELIANCE : Levels to watch are 1959.05 and 1925.55
SBIN : Levels to watch are 248.1 and 243.5
Position as per Trade with Trend :
BANKNIFTY(Futures) Holding Long taken at 24693 On 27-10-2020 StopLoss 29143.72 | Profit so far 4974.2
SBIN(Futures) Holding Long taken at 192.73 On 02-11-2020 StopLoss 241.53 | Profit so far 53.07
NIFTY(Futures) Holding Short taken at 12844.77 On 25-11-2020 StopLoss 13076.58 | Profit so far -172.63
RELIANCE(Futures) Holding Short taken at 2020.77 On 11-11-2020 StopLoss 1975.98 | Profit so far 78.47
BANK_NIFTY(Indices) Holding Long taken at 24677.53 On 27-10-2020 StopLoss 29141.37 | Profit so far 4931.52
NIFTY(Indices) Holding Short taken at 12844.65 On 25-11-2020 StopLoss 13066.38 | Profit so far -124.3
NIFTYBEES(BEES) Holding Long taken at 134.27 On 09-11-2020 StopLoss 135.61 | Profit so far 4.11
BANKBEES(BEES) Holding Long taken at 241.3 On 19-10-2020 StopLoss 293.28 | Profit so far 55.76
Nifty Options Data:
Highest OI : NIFTY10500PE NIFTY13000CE
Highest Rise in OI : NIFTY10100PE NIFTY14500CE
Highest Fall in OI : NIFTY12800PE NIFTY13000CE
Highest Volume : NIFTY12950PE NIFTY13100CE
Market Mood as on Nov 27,2020″”
FII Mood – Weak Bullish
Retailers Mood – Weak Bullish
Overall Market Mood – Weak Bullish
FII/DII Figures:
FII Cash Net = N.A.
FII F&O Net = N.A.
FII F&O OI = N.A.
DII Cash Net = N.A.
Long Build Up: MRF, LICHSGFIN, BALKRISIND, ACC, BRITANNIA
Short Covering: L&TFH, BANDHANBNK, TATACHEM, BERGEPAINT, SRF
Short Build Up: KOTAKBANK, SRTRANSFIN, COLPAL, PETRONET, SHREECEM
Long Unwinding: PFC, SIEMENS, PVR, HINDALCO, BAJAJFINSV
Volume Shockers (Futures) :
LICHSGFIN
NATIONALUM
SUNTV
IGL
CADILAHC
MGL
Swing Trading (Futures):
1. HCLTECH Sell Below 829.85
2. CIPLA Buy Above 752.95
Swing Trading (NSE Cash Scrips):
BEL Sell Below 111.1 SL 113.8
CASTROLIND Sell Below 125.4 SL 129.95
GAIL Sell Below 102.65 SL 106.7
GODREJCP Sell Below 699.75 SL 719.6
IDBI Sell Below 38.1 SL 38.85
LICHSGFIN Sell Below 329 SL 341
SRTRANSFIN Sell Below 1070.2 SL 1091.9
ZEEL Sell Below 192.75 SL 201
DHFL Short Intraday Above 27.19 SL 27.32
Option Chain based Stocks:
Strong Upmove Stocks :
Weak Upmove Stocks : MRF, APOLLOHOSP, ICICIGI, NAUKRI, L&TFH, RAMCOCEM, TITAN, ADANIENT, SHREECEM, SBILIFE,
Strong Downmove Stocks :
Weak Downmove Stocks : SAIL, PAGEIND, ESCORTS, HINDALCO, SUNTV, PIDILITIND, BERGEPAINT, ZEEL, EICHERMOT, PETRONET, COLPAL,
5 Best Performing Stocks since Expiry:
CLNINDIA, IGL, MIRZAINT, CUMMINSIND, DBREALTY
5 Worst Performing Stocks since Expiry:
NRBBEARING, INDSWFTLAB, RELCAPITAL, BEPL, VTL