EOD Review on 13 Jan 2026
My System Levels:
1) Levels to watch are 25927.65 and 25653.95
2) Sell Below 25867.67 SL 25935.2 TGT 25653.95, 25521.87, 25382.64
3) Buy Above 26002.73 SL 25935.2 TGT 26069.27, 26203.74
4) Supports/Resistances to Watch For :-
25382.64
25521.87
25656.34
25795.57
25930.04
26069.27
26203.74
Camarilla Levels:
1) Sell Below 25640.27 SL 25715.53 TGT 25557.09, 25491.4
2) Sell Below 25866.07 SL 25941.34 TGT 25815.89, 25765.71, 25715.53
3) Buy Above 25715.53 SL 25640.27 TGT 25765.71, 25815.89, 25866.07
4) Buy Above 25941.34 SL 25866.07 TGT 26038.81, 26104.5
BANKNIFTY : Levels to watch are 59995.2 and 59515.2
RELIANCE : Levels to watch are 1474.25 and 1434.55
SBIN : Levels to watch are 1035.22 and 1022.97
——————–
Position as per Trade with Trend :
SBIN(Futures) Holding Long taken at 1015.9 On 12-01-2026 StopLoss 1004.38 | Profit so far 13.2
NIFTY(Futures) Holding Short taken at 26291.83 On 06-01-2026 StopLoss 25955.13 | Profit so far 501.03
BANKNIFTY(Futures) Holding Short taken at 60041.4 On 08-01-2026 StopLoss 59891 | Profit so far 286.2
RELIANCE(Futures) Holding Short taken at 1581.4 On 06-01-2026 StopLoss 1486.97 | Profit so far 127
NIFTY(Indices) Holding Short taken at 26134.23 On 08-01-2026 StopLoss 25884.52 | Profit so far 401.93
BANK_NIFTY(Indices) Holding Short taken at 59821.75 On 08-01-2026 StopLoss 59682.77 | Profit so far 242.95
NIFTYBEES(BEES) Holding Short taken at 295.43 On 08-01-2026 StopLoss 293.15 | Profit so far 4.3
BANKBEES(BEES) Holding Short taken at 616.27 On 09-01-2026 StopLoss 616.48 | Profit so far 1.7
——————–
Nifty Options Data:
Highest OI : NIFTY25500PE NIFTY26000CE
Highest Rise in OI : NIFTY25550PE NIFTY26000CE
Highest Fall in OI : NIFTY25700PE NIFTY26300CE
Highest Volume : NIFTY25550PE NIFTY25900CE
——————–
BankNifty Options Data:
Highest OI : BNF2712659500PE BNF2712659500CE
Highest Rise in OI : BNF2712657500PE BNF2712659800CE
Highest Fall in OI : BNF2712657000PE BNF2712659300CE
Highest Volume : BNF2712659500PE BNF2712659500CE
——————–
Market Mood as on Jan 13, 2026″”
FII Mood – Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Bearish
——————–
FII/DII Figures:
FII Cash Net = -1499.81
FII F&O Net = -2279.94
FII F&O OI = N.A.
DII Cash Net = 1181.78
—————
FII OI Data:
Future Index Long:17546(-273)
Future Index Short:215201(3973)
Future Stock Long:3803240(-2622)
Future Stock Short:2383988(33013)
Option Index Call Long:432612(-248073)
Option Index Put Long:615309(-271970)
Option Index Call Short:465595(-220624)
Option Index Put Short:333553(-287688)
Option Stock Call Long:159138(14127)
Option Stock Put Long:175132(14293)
Option Stock Call Short:191133(14998)
Option Stock Put Short:133775(14471)
Total Long Contract:5202977(-494518)
Total Short Contract:3723244(-441858)
Total UP Side Contract:4879864(-510058)
Total Down Side Contract:4046358(-426317)
L/S FII Index Fut Ratio:8
L/S FII Stock Fut Ratio:61
——————–
Long Build Up: OIL, DALBHARAT, INOXWIND, FINNIFTY, PAGEIND
Short Covering: SBIN, BANKNIFTY, JUBLFOOD, VEDL, ICICIPRULI
Short Build Up: KFINTECH, KEI, ICICIGI, FEDERALBNK, OBEROIRLTY
Long Unwinding: HCLTECH, ALKEM, DABUR, SOLARINDS, EICHERMOT
——————–
Volume Shockers (Futures) :
NIL
——————–
Swing Trading (Futures):
1. MANAPPURAM Buy Above 304.55
2. ANGELONE Buy Above 2455.28
3. COFORGE Buy Above 1721.7
4. INDUSTOWER Sell Below 424.64
5. AXISBANK Sell Below 1268.54
6. HAL Sell Below 4428.2
——————–
Swing Trading (NSE Cash Scrips):
ICICIPRULI Sell Below 681.45 SL 706.8
BAJFINANCE Long Intraday Below 934.31 SL 929.61
BATAINDIA Long Intraday Below 902.02 SL 897.48
BHARTIARTL Long Intraday Below 2004.83 SL 1994.75
BRITANNIA Long Intraday Below 5866.52 SL 5837.04
CUMMINSIND Long Intraday Below 3909.45 SL 3889.81
DLF Long Intraday Below 637.84 SL 634.64
DRREDDY Long Intraday Below 1179.57 SL 1173.65
INDIGO Long Intraday Below 4701.38 SL 4677.75
UBL Long Intraday Below 1498.57 SL 1491.04
——————–
Hot Stocks (Price Action):
INDSWFTLAB
PREMIERPOL
TARMAT
NAVKARCORP
CHEMPLASTS
REDTAPE
——————-
Very High Delivery Volume Stocks
——————–
5 Best Performing Stocks since Expiry:
HINDCOPPER, CSBBANK, NATIONALUM, MAHABANK, CRISIL
——————–
5 Worst Performing Stocks since Expiry:
MCX, GODFRYPHLP, ITC, VMART, KNRCON
—————
Pivot Based Short Term Ideas
3MINDIA : Buy Above 35215 CSL Below 34910
ALKYLAMINE : Buy Above 1645.1 CSL Below 1594.5
APOLLOTYRE : Buy Above 524 CSL Below 508.1
BALAMINES : Buy Above 1246.5 CSL Below 1109.3
CEATLTD : Buy Above 3864 CSL Below 3773.9
COROMANDEL : Buy Above 2363 CSL Below 2312.333
DALBHARAT : Buy Above 2113.8 CSL Below 2085.9
GLAND : Buy Above 1722.8 CSL Below 1704.1
MANAPPURAM : Buy Above 309.3 CSL Below 298.9833
NAM-INDIA : Buy Above 895 CSL Below 864.5667
ONGC : Buy Above 244.15 CSL Below 236.5167
TECHM : Buy Above 1622.9 CSL Below 1591.467
TIMKEN : Buy Above 3058 CSL Below 3022.733
AUBANK : Sell Below 959.65 CSL Above 980.7
NILKAMAL : Sell Below 1363 CSL Above 1386.2
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: ADANIPORTS, ADVENZYMES, AEGISCHEM, COCHINSHIP, CUMMINSIND, HATHWAY, MINDACORP, MINDAIND, IDEA,
OverBought Stocks: CSBBANK, CADILAHC, COALINDIA, DCBBANK, DABUR, ESCORTS, HAVELLS, IDBI, LUPIN, TATAELXSI, TATAMTRDVR, TATAMOTORS, TORNTPHARM,
——————–
Turtle Trend Trading :
AUROPHARMA SL HIT : Long took at 1155.8 on 20251103 Stoploss 1163.4 | Profit Booked 7.60(0.66%)
——————–
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
