EOD Review On 25-Sep-2025 : Levels for Next Trading Day

EOD Review on 25 Sep 2025

My System Levels:

1) Levels to watch are 25057.15 and 24878.25

2) Sell Below 25138.93 SL 25204.86 TGT 24878.25, 24839.37, 24724.64
3) Buy Above 25270.79 SL 25204.86 TGT

4) Supports/Resistances to Watch For :-

24724.64
24839.37
24903.54
25018.27
25082.44
25197.17
25261.34

Camarilla Levels:
1) Sell Below 24869.3 SL 24918.5 TGT 24843.18
2) Sell Below 25016.9 SL 25066.09 TGT 24984.1, 24951.3, 24918.5
3) Buy Above 24918.5 SL 24869.3 TGT 24951.3, 24984.1, 25016.9
4) Buy Above 25066.09 SL 25016.9 TGT 25200.98, 25243.92
BANKNIFTY : Levels to watch are 55336.7 and 54967.7

RELIANCE : Levels to watch are 1383.1 and 1370.1

SBIN : Levels to watch are 868.47 and 858.93

——————–
Position as per Trade with Trend :
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 860.07 | Profit so far 51.2
NIFTY(Futures) Holding Short taken at 25288.93 On 22-09-2025 StopLoss 25224.23 | Profit so far 321.23
BANKNIFTY(Futures) Holding Short taken at 55444.33 On 24-09-2025 StopLoss 55653.4 | Profit so far 292.13
RELIANCE(Futures) Holding Short taken at 1406.53 On 22-09-2025 StopLoss 1395.13 | Profit so far 29.93

NIFTY(Indices) Holding Short taken at 25297.13 On 22-09-2025 StopLoss 25168.15 | Profit so far 406.28
BANK_NIFTY(Indices) Holding Short taken at 55330.92 On 22-09-2025 StopLoss 55483.25 | Profit so far 354.72
NIFTYBEES(BEES) Holding Short taken at 285.06 On 22-09-2025 StopLoss 284.63 | Profit so far 3.82
BANKBEES(BEES) Holding Short taken at 571.49 On 22-09-2025 StopLoss 573.09 | Profit so far 3.73
——————–
Nifty Options Data:
Highest OI : NIFTY24000PE NIFTY26000CE
Highest Rise in OI : NIFTY24900PE NIFTY25000CE
Highest Fall in OI : NIFTY25100PE NIFTY25650CE
Highest Volume : NIFTY25000PE NIFTY25100CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF3092556000CE
Highest Rise in OI : BNF3092554300PE BNF3092557000CE
Highest Fall in OI : BNF3092555500PE BNF3092558000CE
Highest Volume : BNF3092555000PE BNF3092555500CE
——————–
Market Mood as on Sep 25, 2025″”
FII Mood – Bearish
Retailers Mood – Weak Bearish
Overall Market Mood – Moderate Bearish

——————–
FII/DII Figures:
FII Cash Net = N.A.
FII F&O Net = -223.06
FII F&O OI = N.A.
DII Cash Net = N.A.

 

—————
FII OI Data:
Future Index Long:33574(33574)
Future Index Short:181460(181460)
Future Stock Long:3495527(3495527)
Future Stock Short:2193230(2193230)
Option Index Call Long:490236(490236)
Option Index Put Long:661734(661734)
Option Index Call Short:565970(565970)
Option Index Put Short:342115(342115)
Option Stock Call Long:96253(96253)
Option Stock Put Long:139531(139531)
Option Stock Call Short:119764(119764)
Option Stock Put Short:87031(87031)
Total Long Contract:4916856(4916856)
Total Short Contract:3489570(3489570)
Total UP Side Contract:4544736(4544736)
Total Down Side Contract:3861689(3861689)
L/S FII Index Fut Ratio:16
L/S FII Stock Fut Ratio:61
——————–
Long Build Up: AUBANK, KEI, VEDL, BHARTIARTL, HINDALCO
Short Covering: HEROMOTOCO, INDIANB, BAJAJ-AUTO, SBICARD, PNBHOUSING

Short Build Up: ASIANPAINT, BANKNIFTY, TCS, LTF, TRENT
Long Unwinding: INFY, CDSL, GODREJCP, RVNL, LICI
——————–
Volume Shockers (Futures) :
NAUKRI
TVSMOTOR
BAJFINANCE
HDFCLIFE
ICICIGI
DIXON
SYNGENE
CROMPTON
NYKAA
——————–
Swing Trading (Futures):
NIL

——————–
Swing Trading (NSE Cash Scrips):
UBL Buy Above 1783.4 SL 1761.3
HINDALCO Sell Below 745.65 SL 769.1
ADANIPOWER Long Intraday Below 144.77 SL 144.05
BOSCHLTD Long Intraday Below 38173.18 SL 37981.35
DLF Long Intraday Below 715.21 SL 711.61
EXIDEIND Long Intraday Below 389.24 SL 387.29
GODREJCP Long Intraday Below 1168.23 SL 1162.36
ICICIBANK Long Intraday Below 1364.94 SL 1358.08
ITC Long Intraday Below 396.01 SL 394.02
MARICO Long Intraday Below 698.59 SL 695.08
PAGEIND Long Intraday Below 42118.35 SL 41906.70
PETRONET Long Intraday Below 268.45 SL 267.10
PIDILITIND Long Intraday Below 1482.55 SL 1475.10
STAR Long Intraday Below 832.32 SL 828.14
SUNTV Long Intraday Below 528.35 SL 525.69
TATAMOTORS Long Intraday Below 652.02 SL 648.75
TCS Long Intraday Below 2936.25 SL 2921.49
TECHM Long Intraday Below 1429.82 SL 1422.63
TITAN Long Intraday Below 3353.15 SL 3336.30
ULTRACEMCO Long Intraday Below 12059.40 SL 11998.80
——————–
Hot Stocks (Price Action):

TVSELECT
MCL
MAXIND
CHEMCON
RACLGEAR
NATCAPSUQ

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
3MINDIA, ABB, POWERINDIA, ACC, AIAENG

——————–
5 Worst Performing Stocks since Expiry:
ECLERX, ZYDUSWELL, ZENSARTECH, ZEEL, YESBANK

—————
Pivot Based Short Term Ideas
GODREJIND : Buy Above 1242 CSL Below 1211.167
POLYMED : Buy Above 2080 CSL Below 2015.167
HOMEFIRST : Sell Below 1220 CSL Above 1260.1
NAUKRI : Sell Below 1351.7 CSL Above 1361
TORNTPHARM : Sell Below 3523 CSL Above 3583.333
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: BHARATRAS, HEIDELBERG, JUBLINGREA, PAGEIND, PIDILITIND, PEL, VBL, ZYDUSWELL,
OverBought Stocks: ADANIENT, ADANIGREEN, ADANIPORTS, AXISBANK, DEEPAKNTR, LALPATHLAB, EQUITASBNK, HINDCOPPER, JKPAPER, LTTS, LICHSGFIN, POONAWALLA, SBICARD, SBIN, SUPRAJIT, IDEA,

——————–
Turtle Trend Trading :
CHOLAFIN Bought at 1601.3
DLF Bought at 723.2
NTPC Bought at 345.6

DALBHARAT SL HIT : Long took at 1918.95 on 20250421 Stoploss 2311 | Profit Booked 392.05(20.43%)
TATAMOTORS SL HIT : Long took at 706.5 on 20250908 Stoploss 667.8 | Profit Booked -38.70(-5.48%)

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
PEL TGT HIT : Long taken at 1141 Booked at 1255.10 | Profit Booked 114.10(10.00%)

——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
HINDALCO TGT HIT : Long taken at 694.68 Booked at 764.15 | Profit Booked 69.47(10.00%)

Astro Predictions for 26-Sep-2025
Market Nature : SIDEWAYS

Reversal Timings :
From 10:29 to 11:29
09:29

 

Posted in FnO |

EOD Review On 24-Sep-2025 : Levels for Next Trading Day

EOD Review on 24 Sep 2025

My System Levels:

1) Levels to watch are 25176.15 and 25047.65

2) Sell Below 25230.22 SL 25296 TGT 25047.65, 25003.63, 24929.26
3) Buy Above 25361.78 SL 25296 TGT

4) Supports/Resistances to Watch For :-

24929.26
25003.63
25057.76
25132.13
25186.26
25260.63
25314.76

Camarilla Levels:
1) Sell Below 25041.23 SL 25076.56 TGT 25029.17, 24998.33
2) Sell Below 25147.24 SL 25182.58 TGT 25123.68, 25100.12, 25076.56
3) Buy Above 25076.56 SL 25041.23 TGT 25100.12, 25123.68, 25147.24
4) Buy Above 25182.58 SL 25147.24 TGT 25255.33, 25286.17
BANKNIFTY : Levels to watch are 55518.7 and 54985.7

RELIANCE : Levels to watch are 1394.75 and 1378.65

SBIN : Levels to watch are 874.95 and 858.85

——————–
Position as per Trade with Trend :

NIFTY(Indices) Holding Short taken at 25297.13 On 22-09-2025 StopLoss 25247.82 | Profit so far 240.23
BANK_NIFTY(Indices) Holding Short taken at 55330.92 On 22-09-2025 StopLoss 55613.15 | Profit so far 209.42
NIFTYBEES(BEES) Holding Short taken at 285.06 On 22-09-2025 StopLoss 285.33 | Profit so far 2.18
BANKBEES(BEES) Holding Short taken at 571.49 On 22-09-2025 StopLoss 574.62 | Profit so far 3.17
——————–
Nifty Options Data:
Highest OI : NIFTY25000PE NIFTY26000CE
Highest Rise in OI : NIFTY23500PE NIFTY25100CE
Highest Fall in OI : NIFTY25050PE NIFTY25200CE
Highest Volume : NIFTY25100PE NIFTY25100CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF3092556000CE
Highest Rise in OI : BNF3092554800PE BNF3092555300CE
Highest Fall in OI : BNF3092555000PE BNF3092559000CE
Highest Volume : BNF3092555000PE BNF3092555500CE
——————–
Market Mood as on Sep 24, 2025″”
FII Mood – Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Bearish

——————–
FII/DII Figures:
FII Cash Net = -2425.75
FII F&O Net = -473.43
FII F&O OI = N.A.
DII Cash Net = 1211.68

 

—————
FII OI Data:
Future Index Long:29680(2620)
Future Index Short:174979(5741)
Future Stock Long:3510851(9564)
Future Stock Short:2198150(20060)
Option Index Call Long:387894(74171)
Option Index Put Long:591874(86245)
Option Index Call Short:446592(100415)
Option Index Put Short:316811(78553)
Option Stock Call Long:91139(-3547)
Option Stock Put Long:132671(6147)
Option Stock Call Short:120993(-1303)
Option Stock Put Short:94086(-1650)
Total Long Contract:4744109(175200)
Total Short Contract:3351611(201816)
Total UP Side Contract:4430461(159711)
Total Down Side Contract:3665259(217305)
L/S FII Index Fut Ratio:15
L/S FII Stock Fut Ratio:61
——————–
Long Build Up
Short Covering

Short Build Up
Long Unwinding
——————–
Volume Shockers (Futures) :
APLAPOLLO
——————–
Swing Trading (Futures):
1. GODREJPROP Sell Below 2032.33
2. VEDL Sell Below 444.64
3. HEROMOTOCO Sell Below 5267.06
4. LUPIN Sell Below 1994.59
——————–
Swing Trading (NSE Cash Scrips):
VOLTAS Buy Above 1372.3 SL 1355
ADANIPOWER Long Intraday Below 141.39 SL 140.68
CIPLA Long Intraday Below 1512.70 SL 1505.10
GODREJCP Long Intraday Below 1171.91 SL 1166.02
HDFCBANK Long Intraday Below 938.29 SL 933.57
ICICIBANK Long Intraday Below 1369.62 SL 1362.74
ITC Long Intraday Below 398.70 SL 396.69
MARICO Long Intraday Below 696.55 SL 693.05
PAGEIND Long Intraday Below 42093.48 SL 41881.95
PIDILITIND Long Intraday Below 1467.63 SL 1460.25
TITAN Long Intraday Below 3393.95 SL 3376.89
UPL Long Intraday Below 666.25 SL 662.90
——————–
Hot Stocks (Price Action):

ARCHIES
BHARATGEAR
MUNJALAU
WHEELS
BEARDSELL
KARMAENG
MINDACORP
NRAIL

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
HINDCOPPER, IDEA, IOLCP, HEMIPROP, IFBIND

——————–
5 Worst Performing Stocks since Expiry:
ZYDUSWELL, GODFRYPHLP, PIDILITIND, KRBL, BALRAMCHIN

—————
Pivot Based Short Term Ideas
GLAXO : Sell Below 2735.2 CSL Above 2760.333
HEIDELBERG : Sell Below 206.8 CSL Above 211.4633
JBCHEPHARM : Sell Below 1692.4 CSL Above 1711.5
LAOPALA : Sell Below 250.1 CSL Above 252.25
LINDEINDIA : Sell Below 6346 CSL Above 6376.167
TORNTPOWER : Sell Below 1260.6 CSL Above 1276.1
ZEEL : Sell Below 115.8 CSL Above 117.26
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: ABBOTINDIA, DMART, BHARATRAS, HEIDELBERG, JUBLINGREA, ZYDUSWELL,
OverBought Stocks: ADANIENT, ADANIPORTS, ATGL, ADANITRANS, AUROPHARMA, AXISBANK, CHAMBLFERT, DEEPAKNTR, EQUITASBNK, IFBIND, JKPAPER, LICHSGFIN, LUXIND, POONAWALLA, SBICARD, SBIN, SUPRAJIT, IDEA,

——————–
Turtle Trend Trading :
ADANIENT Bought at 2659
ATGL Bought at 687.75
ADANITRANS Bought at 687.75

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
Astro Predictions for 25-Sep-2025
Market Nature : VOLATILE

Reversal Timings :
From 10:29 to 11:29

 

Posted in FnO |

EOD Review On 23-Sep-2025 : Levels for Next Trading Day

EOD Review on 23 Sep 2025

My System Levels:

1) Levels to watch are 25343.4 and 25168.2

2) Sell Below 25273.73 SL 25339.9 TGT 25168.2, 25073.8, 24989.6
3) Buy Above 25406.07 SL 25339.9 TGT 25424.2, 25515.2

4) Supports/Resistances to Watch For :-

24989.6
25073.8
25164.8
25249
25340
25424.2
25515.2

Camarilla Levels:
1) Sell Below 25159.44 SL 25207.62 TGT 25091.42, 25049.38
2) Sell Below 25303.98 SL 25352.16 TGT 25271.86, 25239.74, 25207.62
3) Buy Above 25207.62 SL 25159.44 TGT 25239.74, 25271.86, 25303.98
4) Buy Above 25352.16 SL 25303.98 TGT 25399.77, 25441.82
BANKNIFTY : Levels to watch are 55957.6 and 55490

RELIANCE : Levels to watch are 1404.15 and 1385.65

SBIN : Levels to watch are 884.38 and 861.53

——————–
Position as per Trade with Trend :
BANKNIFTY(Futures) Holding Long taken at 54811.53 On 11-09-2025 StopLoss 55444.33 | Profit so far 912.27
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 854.12 | Profit so far 60.45
NIFTY(Futures) Holding Short taken at 25288.93 On 22-09-2025 StopLoss 25405.83 | Profit so far 33.13
RELIANCE(Futures) Holding Short taken at 1406.53 On 22-09-2025 StopLoss 1411.07 | Profit so far 11.63

NIFTY(Indices) Holding Short taken at 25297.13 On 22-09-2025 StopLoss 25341.67 | Profit so far 127.63
BANK_NIFTY(Indices) Holding Short taken at 55330.92 On 22-09-2025 StopLoss 55672.36 | Profit so far -178.83
NIFTYBEES(BEES) Holding Short taken at 285.06 On 22-09-2025 StopLoss 288.83 | Profit so far 0.71
BANKBEES(BEES) Holding Short taken at 571.49 On 22-09-2025 StopLoss 575.96 | Profit so far -1.13
——————–
Nifty Options Data:
Highest OI : NIFTY25000PE NIFTY25200CE
Highest Rise in OI : NIFTY25050PE NIFTY25200CE
Highest Fall in OI : NIFTY25200PE NIFTY25300CE
Highest Volume : NIFTY25050PE NIFTY25200CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF28O2557000CE
Highest Rise in OI : BNF3092554200PE BNF3092557200CE
Highest Fall in OI : BNF3092553200PE BNF3092555600CE
Highest Volume : BNF3092555500PE BNF3092555500CE
——————–
Market Mood as on Sep 23, 2025″”
FII Mood – Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Bearish

——————–
FII/DII Figures:
FII Cash Net = -3551.19
FII F&O Net = 786.77
FII F&O OI = N.A.
DII Cash Net = 2670.87

 

—————
FII OI Data:
Future Index Long:27060(1004)
Future Index Short:169238(-1072)
Future Stock Long:3501287(19670)
Future Stock Short:2178090(8078)
Option Index Call Long:313723(-268643)
Option Index Put Long:505629(-162260)
Option Index Call Short:346177(-270372)
Option Index Put Short:238258(-143652)
Option Stock Call Long:94686(-517)
Option Stock Put Long:126524(-788)
Option Stock Call Short:122296(-5848)
Option Stock Put Short:95736(-2728)
Total Long Contract:4568909(-411534)
Total Short Contract:3149795(-415594)
Total UP Side Contract:4270750(-394866)
Total Down Side Contract:3447954(-432262)
L/S FII Index Fut Ratio:14
L/S FII Stock Fut Ratio:62
——————–
Long Build Up
Short Covering

Short Build Up
Long Unwinding
——————–
Volume Shockers (Futures) :
NIL

——————–
Swing Trading (Futures):
1. INDUSINDBK Buy Above 754.8
2. DLF Sell Below 769.21
3. WIPRO Sell Below 251.12
——————–
Swing Trading (NSE Cash Scrips):
RAYMOND Sell Below 624.7 SL 641.9
ADANIPOWER Long Intraday Below 159.45 SL 158.65
CIPLA Long Intraday Below 1509.91 SL 1502.33
ICICIBANK Long Intraday Below 1384.05 SL 1377.09
KAJARIACER Long Intraday Below 1173.11 SL 1167.21
PAGEIND Long Intraday Below 42387.00 SL 42174.00
PIDILITIND Long Intraday Below 1475.29 SL 1467.87
TITAN Long Intraday Below 3387.98 SL 3370.95
UPL Long Intraday Below 666.65 SL 663.30
——————–
Hot Stocks (Price Action):

ASAL
SUBROS
TATAINVEST
TVSELECT
BFUTILITIE
REFEX
MONTECARLO
BOROLTD
AHLADA
BAJAJHCARE
ATL

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
HINDCOPPER, IDEA, HEMIPROP, IOLCP, ICIL

——————–
5 Worst Performing Stocks since Expiry:
ZYDUSWELL, GODFRYPHLP, PIDILITIND, KRBL, BALRAMCHIN

—————
Pivot Based Short Term Ideas
LAOPALA : Buy Above 259.7 CSL Below 252.25
MFSL : Buy Above 1591.9 CSL Below 1576.033
TORNTPOWER : Buy Above 1289.3 CSL Below 1276.1
SBILIFE : Sell Below 1815.4 CSL Above 1832.833
SUZLON : Sell Below 58.63 CSL Above 59.59
ULTRACEMCO : Sell Below 12361 CSL Above 12565
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: GODFRYPHLP, JUBLINGREA, PAGEIND, ZYDUSWELL,
OverBought Stocks: ADANIENT, ADANIGREEN, ADANIPORTS, ATGL, ADANITRANS, AXISBANK, CESC, CHAMBLFERT, LALPATHLAB, EQUITASBNK, HINDCOPPER, HINDZINC, IFBIND, JKPAPER, POONAWALLA, SBICARD, IDEA,

——————–
Turtle Trend Trading :
BRITANNIA Bought at 5930.5
CADILAHC Bought at 5930.5

ASIANPAINT SL HIT : Long took at 2491 on 20250709 Stoploss 2465 | Profit Booked -26.00(-1.04%)
INDHOTEL SL HIT : Long took at 791.45 on 20250820 Stoploss 755.5 | Profit Booked -35.95(-4.54%)
MPHASIS SL HIT : Long took at 2967.6 on 20250910 Stoploss 2760.6 | Profit Booked -207.00(-6.98%)

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
Astro Predictions for 24-Sep-2025
Market Nature : SIDEWAYS

Reversal Timings :
From 09:29 to 10:29

 

Posted in FnO |

EOD Review On 22-Sep-2025 : Levels for Next Trading Day

EOD Review on 22 Sep 2025

My System Levels:

1) Levels to watch are 25350.65 and 25204.75

2) Sell Below 25255.45 SL 25321.68 TGT 25204.75, 25161.03, 25073.46
3) Buy Above 25387.91 SL 25321.68 TGT 25452.83, 25511.16

4) Supports/Resistances to Watch For :-

25073.46
25161.03
25219.36
25306.93
25365.26
25452.83
25511.16

Camarilla Levels:
1) Sell Below 25197.45 SL 25237.58 TGT 25158.14
2) Sell Below 25317.82 SL 25357.94 TGT 25291.07, 25264.33, 25237.58
3) Buy Above 25237.58 SL 25197.45 TGT 25264.33, 25291.07, 25317.82
4) Buy Above 25357.94 SL 25317.82 TGT 25449.94, 25484.96
BANKNIFTY : Levels to watch are 55678.8 and 55264.8

RELIANCE : Levels to watch are 1405.45 and 1384.55

SBIN : Levels to watch are 863.9 and 851.1

——————–
Position as per Trade with Trend :
NIFTY(Futures) Sold at 25288.93 StopLoss 25443.67| Profit so far 11.23
RELIANCE(Futures) Sold at 1406.53 StopLoss 1417.63| Profit so far 11.53
BANKNIFTY(Futures) Holding Long taken at 54811.53 On 11-09-2025 StopLoss 55445.86 | Profit so far 660.27
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 847.38 | Profit so far 45

NIFTY(Indices) Sold at 25297.13 StopLoss 25403.88| Profit so far 94.78
BANK_NIFTY(Indices) Sold at 55330.92 StopLoss 55730.11| Profit so far 46.17
NIFTYBEES(BEES) Sold at 285.06 StopLoss 289.54| Profit so far 0.57
BANKBEES(BEES) Sold at 571.49 StopLoss 576.75| Profit so far 0.47
——————–
Nifty Options Data:
Highest OI : NIFTY25200PE NIFTY25500CE
Highest Rise in OI : NIFTY25200PE NIFTY25300CE
Highest Fall in OI : NIFTY25300PE NIFTY26000CE
Highest Volume : NIFTY25300PE NIFTY25300CE
——————–
BankNifty Options Data:
Highest OI : BNF3092555000PE BNF3092556000CE
Highest Rise in OI : BNF3092550000PE BNF3092555600CE
Highest Fall in OI : BNF3092551500PE BNF3092559500CE
Highest Volume : BNF3092555500PE BNF3092555500CE
——————–
Market Mood as on Sep 22, 2025″”
FII Mood – Bearish
Retailers Mood – Weak Bearish
Overall Market Mood – Moderate Bearish

——————–
FII/DII Figures:
FII Cash Net = -2910.09
FII F&O Net = -628.01
FII F&O OI = N.A.
DII Cash Net = 2582.63

 

—————
FII OI Data:
Future Index Long:26056(574)
Future Index Short:170310(-1945)
Future Stock Long:3481617(9779)
Future Stock Short:2170012(22814)
Option Index Call Long:582366(57405)
Option Index Put Long:667889(32572)
Option Index Call Short:616549(125559)
Option Index Put Short:381910(14768)
Option Stock Call Long:95203(-1528)
Option Stock Put Long:127312(273)
Option Stock Call Short:128144(-1932)
Option Stock Put Short:98464(-2698)
Total Long Contract:4980443(99074)
Total Short Contract:3565389(156566)
Total UP Side Contract:4665616(78300)
Total Down Side Contract:3880216(177341)
L/S FII Index Fut Ratio:13
L/S FII Stock Fut Ratio:62
——————–
Long Build Up
Short Covering

Short Build Up
Long Unwinding
——————–
Volume Shockers (Futures) :
RBLBANK
ADANIGREEN
KFINTECH
——————–
Swing Trading (Futures):
NIL

——————–
Swing Trading (NSE Cash Scrips):
TECHM Buy Above 1505.4 SL 1453.3
PEL Sell Below 1124.2 SL 1189
TATAPOWER Sell Below 395.3 SL 399.9
ADANIPOWER Long Intraday Below 146.56 SL 145.83
TITAN Long Intraday Below 3422.80 SL 3405.60
——————–
Hot Stocks (Price Action):

EMKAY
STCINDIA
BORORENEW
CHEMCON
GUJTHEM
TINNARUBR
MOMGF

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
ATGL, HEMIPROP, HINDCOPPER, IOLCP, IDEA

——————–
5 Worst Performing Stocks since Expiry:
ZYDUSWELL, GODFRYPHLP, KRBL, ERIS, BALRAMCHIN

—————
Pivot Based Short Term Ideas
GLAXO : Buy Above 2779.6 CSL Below 2760.333
ULTRACEMCO : Buy Above 12706 CSL Below 12565
ZEEL : Buy Above 121.8 CSL Below 117.26
ALEMBICLTD : Sell Below 104.94 CSL Above 105.61
BANDHANBNK : Sell Below 162.8 CSL Above 166.82
BOSCHLTD : Sell Below 39400 CSL Above 39716.67
CIPLA : Sell Below 1540 CSL Above 1553.767
DIVISLAB : Sell Below 6081 CSL Above 6172.833
FINEORG : Sell Below 4770 CSL Above 4866.833
GALAXYSURF : Sell Below 2340 CSL Above 2372.633
GILLETTE : Sell Below 10116 CSL Above 10339.67
LTTS : Sell Below 4040 CSL Above 4256.5
METROPOLIS : Sell Below 2067.3 CSL Above 2121.067
SWSOLAR : Sell Below 264.75 CSL Above 267.5833
SUMICHEM : Sell Below 580 CSL Above 596.0333
TCS : Sell Below 3065 CSL Above 3079.433
VINATIORGA : Sell Below 1685 CSL Above 1710.833
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: ATUL, DMART, EIDPARRY, GODFRYPHLP, HEIDELBERG, ZYDUSWELL,
OverBought Stocks: ADANIENT, ADANIGREEN, ADANIPORTS, ATGL, ADANITRANS, ABFRL, AXISBANK, CHAMBLFERT, EQUITASBNK, GAIL, HEROMOTOCO, HINDCOPPER, HINDZINC, IPCALAB, MINDACORP, MINDAIND, NHPC, POONAWALLA, SBICARD, IDEA,

——————–
Turtle Trend Trading :
CANBK Bought at 117.7

HINDUNILVR SL HIT : Long took at 2487.4 on 20250711 Stoploss 2566.5 | Profit Booked 79.10(3.18%)

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
SAIL TGT HIT : Long taken at 125.48 Booked at 138.03 | Profit Booked 12.55(10.00%)
YESBANK TGT HIT : Long taken at 19.55 Booked at 21.50 | Profit Booked 1.95(9.97%)

——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
Astro Predictions for 23-Sep-2025
Market Nature : VOLATILE

Reversal Timings :
From 12:12 to 13:12
From 10:12 to 11:12

 

Posted in FnO |

EOD Review On 19-Sep-2025 : Levels for Next Trading Day

EOD Review on 19 Sep 2025

My System Levels:

1) Levels to watch are 25480.1 and 25342.3

2) Sell Below 25241.08 SL 25307.14 TGT 25207.74, 25182.74
3) Buy Above 25373.2 SL 25307.14 TGT 25480.1, 25555.47, 25621.14

4) Supports/Resistances to Watch For :-

25207.74
25279.87
25345.54
25417.67
25483.34
25555.47
25621.14

Camarilla Levels:
1) Sell Below 25335.41 SL 25373.3 TGT 25299.64, 25266.56
2) Sell Below 25449.09 SL 25486.99 TGT 25423.83, 25398.57, 25373.3
3) Buy Above 25373.3 SL 25335.41 TGT 25398.57, 25423.83, 25449.09
4) Buy Above 25486.99 SL 25449.09 TGT 25542.17, 25575.24
BANKNIFTY : Levels to watch are 55808.1 and 55500.7

RELIANCE : Levels to watch are 1418.9 and 1405.3

SBIN : Levels to watch are 870.75 and 856.75

——————–
Position as per Trade with Trend :

NIFTY(Indices) Holding Long taken at 24654.72 On 03-09-2025 StopLoss 25297.13 | Profit so far 672.33
BANK_NIFTY(Indices) Holding Long taken at 54392.46 On 10-09-2025 StopLoss 55330.92 | Profit so far 1066.39
NIFTYBEES(BEES) Holding Long taken at 283.69 On 16-09-2025 StopLoss 285.06 | Profit so far 2.21
BANKBEES(BEES) Holding Long taken at 564.9 On 11-09-2025 StopLoss 571.49 | Profit so far 8.57
——————–
Nifty Options Data:
Highest OI : NIFTY25300PE NIFTY26000CE
Highest Rise in OI : NIFTY25300PE NIFTY26000CE
Highest Fall in OI : NIFTY25400PE NIFTY25800CE
Highest Volume : NIFTY25300PE NIFTY25400CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF3092556000CE
Highest Rise in OI : BNF3092551000PE BNF3092555500CE
Highest Fall in OI : BNF3092554500PE BNF3092559500CE
Highest Volume : BNF3092555500PE BNF3092555500CE
——————–
Market Mood as on Sep 19, 2025″”
FII Mood – Weak Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Weak Bearish

——————–
FII/DII Figures:
FII Cash Net = 390.74
FII F&O Net = -659.86
FII F&O OI = N.A.
DII Cash Net = 2105.22

 

—————
FII OI Data:
Future Index Long:25482(-2331)
Future Index Short:172255(783)
Future Stock Long:3471838(27702)
Future Stock Short:2147198(32033)
Option Index Call Long:524961(93666)
Option Index Put Long:635317(18824)
Option Index Call Short:490990(71932)
Option Index Put Short:367142(26920)
Option Stock Call Long:96731(1632)
Option Stock Put Long:127039(-485)
Option Stock Call Short:130076(3670)
Option Stock Put Short:101162(3671)
Total Long Contract:4881369(139009)
Total Short Contract:3408823(139009)
Total UP Side Contract:4587316(151260)
Total Down Side Contract:3702875(126757)
L/S FII Index Fut Ratio:13
L/S FII Stock Fut Ratio:62
——————–
Long Build Up
Short Covering

Short Build Up
Long Unwinding
——————–
Volume Shockers (Futures) :
BIOCON
ADANIENT
ADANIPORTS
ADANIENSOL
ADANIGREEN
KAYNES
SAMMAANCAP
——————–
Swing Trading (Futures):
NIL

——————–
Swing Trading (NSE Cash Scrips):
DIVISLAB Sell Below 6200 SL 6280
TITAN Long Intraday Below 3442.70 SL 3425.40
——————–
Hot Stocks (Price Action):

BHARATGEAR
TRIGYN
ISFT
ANUP
ATGL
EXICOM
ALIVUS
NATCAPSUQ

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
IOLCP, IDEA, REDINGTON, HEMIPROP, ICIL

——————–
5 Worst Performing Stocks since Expiry:
ZYDUSWELL, GODFRYPHLP, KRBL, ERIS, JUBLINGREA

—————
Pivot Based Short Term Ideas
CGCL : Buy Above 195 CSL Below 185.5933
GALAXYSURF : Buy Above 2423 CSL Below 2372.633
GILLETTE : Buy Above 10553 CSL Below 10339.67
JBCHEPHARM : Buy Above 1718.9 CSL Below 1711.5
METROPOLIS : Buy Above 2150 CSL Below 2121.067
SWSOLAR : Buy Above 272.6 CSL Below 267.5833
TORNTPHARM : Buy Above 3639.9 CSL Below 3583.333
ATUL : Sell Below 6291 CSL Above 6397.833
EMAMILTD : Sell Below 576.9 CSL Above 587.1166
GODREJIND : Sell Below 1160 CSL Above 1211.167
PNCINFRA : Sell Below 305.1 CSL Above 306.9
POLYMED : Sell Below 1980 CSL Above 2015.167
ROUTE : Sell Below 851.7 CSL Above 872.1833
SUPREMEIND : Sell Below 4402 CSL Above 4413.3
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: GODFRYPHLP, TASTYBITE, ZYDUSWELL,
OverBought Stocks: ADANIENT, ABFRL, AXISBANK, BHEL, BPCL, CHAMBLFERT, CYIENT, LALPATHLAB, EQUITASBNK, GAIL, HEROMOTOCO, HINDCOPPER, HINDZINC, IDFCFIRSTB, IDFC, IRCTC, JKPAPER, LAURUSLABS, LUXIND, MINDACORP, MINDAIND, NHPC, RAILTEL, SBICARD, SBIN, SUNTECK, TRIDENT, VENKEYS, WIPRO,

——————–
Turtle Trend Trading :
TATACONSUM Bought at 1126.7

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
BAJAJHLDNG Bought at 13525

SAIL TGT HIT : Long taken at 124.05 Booked at 136.46 | Profit Booked 12.41(10.00%)

——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
Astro Predictions for 22-Sep-2025
Market Nature : TRENDING

Reversal Timings :
09:30
From 12:30 to 13:30

 

Posted in FnO |

EOD Review On 17-Sep-2025 : Levels for Next Trading Day

EOD Review on 17 Sep 2025

My System Levels:

1) Levels to watch are 25465.35 and 25381.45

2) Sell Below 25179.76 SL 25245.8 TGT
3) Buy Above 25311.84 SL 25245.8 TGT 25465.35, 25494.87, 25543.04

4) Supports/Resistances to Watch For :-

25291.34
25327.07
25375.24
25410.97
25459.14
25494.87
25543.04

Camarilla Levels:
1) Sell Below 25377.26 SL 25400.33 TGT 25330.92, 25310.78
2) Sell Below 25446.47 SL 25469.54 TGT 25431.09, 25415.71, 25400.33
3) Buy Above 25400.33 SL 25377.26 TGT 25415.71, 25431.09, 25446.47
4) Buy Above 25469.54 SL 25446.47 TGT 25498.72
BANKNIFTY : Levels to watch are 55892 and 55507.6

RELIANCE : Levels to watch are 1421.25 and 1412.15

SBIN : Levels to watch are 874.17 and 845.92

——————–
Position as per Trade with Trend :
NIFTY(Futures) Holding Long taken at 24786.53 On 01-09-2025 StopLoss 25220.7 | Profit so far 636.87
BANKNIFTY(Futures) Holding Long taken at 54811.53 On 11-09-2025 StopLoss 55145.4 | Profit so far 888.27
RELIANCE(Futures) Holding Long taken at 1390.23 On 12-09-2025 StopLoss 1402.43 | Profit so far 26.47
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 827.07 | Profit so far 47.55

NIFTY(Indices) Holding Long taken at 24654.72 On 03-09-2025 StopLoss 25131.52 | Profit so far 675.53
BANK_NIFTY(Indices) Holding Long taken at 54392.46 On 10-09-2025 StopLoss 54910.6 | Profit so far 1100.84
NIFTYBEES(BEES) Holding Long taken at 283.69 On 16-09-2025 StopLoss 283.23 | Profit so far 2.29
BANKBEES(BEES) Holding Long taken at 564.9 On 11-09-2025 StopLoss 566.77 | Profit so far 8.88
——————–
Nifty Options Data:
Highest OI : NIFTY25200PE NIFTY26000CE
Highest Rise in OI : NIFTY25200PE NIFTY26500CE
Highest Fall in OI : NIFTY25050PE NIFTY25300CE
Highest Volume : NIFTY25300PE NIFTY25300CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF28O2557000CE
Highest Rise in OI : BNF28O2557000PE BNF28O2557000CE
Highest Fall in OI : BNF3092557000PE BNF3092557000CE
Highest Volume : BNF3092555500PE BNF3092555500CE
——————–
Market Mood as on Sep 17, 2025″”
FII Mood – Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Bearish

——————–
FII/DII Figures:
FII Cash Net = -1124.54
FII F&O Net = -401.79
FII F&O OI = N.A.
DII Cash Net = 2293.53

 

—————
FII OI Data:
Future Index Long:27064(634)
Future Index Short:177724(-8267)
Future Stock Long:3430475(6522)
Future Stock Short:2101997(9686)
Option Index Call Long:375596(77263)
Option Index Put Long:547466(56896)
Option Index Call Short:386440(77870)
Option Index Put Short:304838(75370)
Option Stock Call Long:88221(5149)
Option Stock Put Long:122759(8504)
Option Stock Call Short:122735(5639)
Option Stock Put Short:95281(7065)
Total Long Contract:4591582(154970)
Total Short Contract:3189014(167362)
Total UP Side Contract:4321475(172003)
Total Down Side Contract:3459121(150328)
L/S FII Index Fut Ratio:13
L/S FII Stock Fut Ratio:62
——————–
Long Build Up: IEX, PERSISTENT, HUDCO, BANKINDIA, BLUESTARCO
Short Covering: BDL, BANKNIFTY, KPITTECH, KOTAKBANK, APOLLOHOSP

Short Build Up: NUVAMA, MARICO, LAURUSLABS, TATAELXSI, ITC
Long Unwinding: HFCL, BRITANNIA, FORTIS, AMBER, POLYCAB
——————–
Volume Shockers (Futures) :
MARICO
IEX
KALYANKJIL
——————–
Swing Trading (Futures):
NIL

——————–
Swing Trading (NSE Cash Scrips):
BSOFT Sell Below 381 SL 387.8
CASTROLIND Sell Below 205.01 SL 210.75
PETRONET Sell Below 280.9 SL 282.8
ASIANPAINT Long Intraday Below 2468.40 SL 2455.99
HINDUNILVR Long Intraday Below 2553.67 SL 2540.84
TORNTPHARM Long Intraday Below 3496.53 SL 3478.96
——————–
Hot Stocks (Price Action):

ONMOBILE
TRF
DCMSHRIRAM
VETO
PREMEXPLN
PROZONER
IRMENERGY
PLATIND , Red Candles

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
HEMIPROP, IOLCP, ICIL, ZYDUSWELL, REDINGTON

——————–
5 Worst Performing Stocks since Expiry:
GODFRYPHLP, KRBL, ERIS, IPCALAB, METROPOLIS

—————
Pivot Based Short Term Ideas
CERA : Buy Above 6392 CSL Below 6361
DCMSHRIRAM : Buy Above 1414.4 CSL Below 1286.4
NAUKRI : Buy Above 1401.9 CSL Below 1361
KNRCON : Buy Above 220 CSL Below 198.26
MCX : Buy Above 8035 CSL Below 7711.167
NETWORK18 : Buy Above 58.1 CSL Below 54.95
PNCINFRA : Buy Above 325 CSL Below 306.9
VENKEYS : Buy Above 1522.5 CSL Below 1494.6
HDFCLIFE : Sell Below 762.8 CSL Above 772.9
ICICIGI : Sell Below 1864.2 CSL Above 1889.9
ITC : Sell Below 408.05 CSL Above 409.5
INDIAMART : Sell Below 2537.7 CSL Above 2579.333
MASTEK : Sell Below 2448 CSL Above 2485.4
ROUTE : Sell Below 864.85 CSL Above 872.1833
SYNGENE : Sell Below 650.2 CSL Above 653.3333
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: GODFRYPHLP,
OverBought Stocks: ADANIPORTS, AXISBANK, BHEL, CHAMBLFERT, DELTACORP, GAIL, GRANULES, HEROMOTOCO, HINDCOPPER, HINDZINC, IDFCFIRSTB, IDFC, KPITTECH, LAURUSLABS, MANAPPURAM, OFSS, PNCINFRA, PVR, PETRONET, RITES, RAILTEL, SBICARD, SBIN, STAR, TRIDENT, TIINDIA,

——————–
Turtle Trend Trading :
HAVELLS Bought at 1605
HINDCOPPER Bought at 287.65
HINDZINC Bought at 455.35
HDFC Bought at 455.35
LUPIN Bought at 2016.8

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
DLF Bought at 786.75

BAJAJHLDNG Place Order at 13525

——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
Astro Predictions for 18-Sep-2025
Market Nature : VOLATILE

Reversal Timings :
From 11:31 to 12:31

 

Posted in FnO |

EOD Review On 16-Sep-2025 : Levels for Next Trading Day

EOD Review on 16 Sep 2025

My System Levels:

1) Levels to watch are 25432.4 and 25230.4

2) Sell Below 25109.42 SL 25175.58 TGT 25077.13, 25002.26
3) Buy Above 25241.74 SL 25175.58 TGT 25432.4, 25481.13, 25608.26

4) Supports/Resistances to Watch For :-

25002.26
25077.13
25204.26
25279.13
25406.26
25481.13
25608.26

Camarilla Levels:
1) Sell Below 25220.3 SL 25275.85 TGT 25075.24, 25026.76
2) Sell Below 25386.95 SL 25442.5 TGT 25349.92, 25312.88, 25275.85
3) Buy Above 25275.85 SL 25220.3 TGT 25312.88, 25349.92, 25386.95
4) Buy Above 25442.5 SL 25386.95 TGT 25479.24
BANKNIFTY : Levels to watch are 55492 and 55187.2

RELIANCE : Levels to watch are 1413.3 and 1405.1

SBIN : Levels to watch are 840.47 and 828.12

——————–
Position as per Trade with Trend :
NIFTY(Futures) Holding Long taken at 24786.53 On 01-09-2025 StopLoss 25141.87 | Profit so far 544.87
BANKNIFTY(Futures) Holding Long taken at 54811.53 On 11-09-2025 StopLoss 54964.61 | Profit so far 528.07
RELIANCE(Futures) Holding Long taken at 1390.23 On 12-09-2025 StopLoss 1394.23 | Profit so far 18.97
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 823.63 | Profit so far 21.8

NIFTY(Indices) Holding Long taken at 24654.72 On 03-09-2025 StopLoss 25052.42 | Profit so far 584.38
BANK_NIFTY(Indices) Holding Long taken at 54392.46 On 10-09-2025 StopLoss 54721.86 | Profit so far 755.14
NIFTYBEES(BEES) Bought at 283.69 StopLoss 282.51| Profit so far 1.2
BANKBEES(BEES) Holding Long taken at 564.9 On 11-09-2025 StopLoss 564.37 | Profit so far 4.93
——————–
Nifty Options Data:
Highest OI : NIFTY25000PE NIFTY25300CE
Highest Rise in OI : NIFTY25250PE NIFTY26800CE
Highest Fall in OI : NIFTY25000PE NIFTY25500CE
Highest Volume : NIFTY25250PE NIFTY25300CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF3092557000CE
Highest Rise in OI : BNF28O2557000PE BNF28O2557000CE
Highest Fall in OI : BNF3092557000PE BNF3092557000CE
Highest Volume : BNF3092555000PE BNF3092555000CE
——————–
Market Mood as on Sep 16, 2025″”
FII Mood – Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Bearish

——————–
FII/DII Figures:
FII Cash Net = 308.32
FII F&O Net = 797.8
FII F&O OI = N.A.
DII Cash Net = 1518.73

 

—————
FII OI Data:
Future Index Long:26430(-149)
Future Index Short:185991(-11744)
Future Stock Long:3423953(23507)
Future Stock Short:2092311(13521)
Option Index Call Long:298333(-201153)
Option Index Put Long:490570(-227423)
Option Index Call Short:308570(-227355)
Option Index Put Short:229468(-201099)
Option Stock Call Long:83072(2639)
Option Stock Put Long:114255(917)
Option Stock Call Short:117096(1554)
Option Stock Put Short:88216(3199)
Total Long Contract:4436612(-401663)
Total Short Contract:3021652(-421925)
Total UP Side Contract:4149472(-373056)
Total Down Side Contract:3308793(-450530)
L/S FII Index Fut Ratio:12
L/S FII Stock Fut Ratio:62
——————–
Long Build Up: SUZLON, KEI, HAVELLS, NCC, MARUTI
Short Covering: HFCL, FINNIFTY, NBCC, UPL, BOSCHLTD

Short Build Up: TORNTPOWER, AUBANK, MAXHEALTH, NUVAMA, MFSL
Long Unwinding: ANGELONE, KPITTECH, NESTLEIND, RBLBANK, FORTIS
——————–
Volume Shockers (Futures) :
NCC
——————–
Swing Trading (Futures):
1. UPL Buy Above 701.47
2. ULTRACEMCO Buy Above 12635.09
3. AMBUJACEM Buy Above 572.55
——————–
Swing Trading (NSE Cash Scrips):
PIDILITIND Buy Above 3074 SL 3055.1
ACC Sell Below 1866 SL 1879.8
BERGEPAINT Sell Below 536.75 SL 554.4
HINDUNILVR Long Intraday Below 2559.74 SL 2546.87
TITAN Long Intraday Below 3484.49 SL 3466.98
TORNTPHARM Long Intraday Below 3508.47 SL 3490.84
——————–
Hot Stocks (Price Action):

GESHIP
KOTHARIPRO
MIRZAINT
REDINGTON
RUBYMILLS
WILLAMAGOR
ZODIACLOTH
ADSL
AMDIND
VASCONEQ
SUPERHOUSE
KHADIM
SINDHUTRAD
SRM
ORIENTTECH
LAXMIDENTL

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
ZYDUSWELL, IOLCP, HEMIPROP, ICIL, HINDCOPPER

——————–
5 Worst Performing Stocks since Expiry:
GODFRYPHLP, KRBL, IPCALAB, ERIS, VBL

—————
Pivot Based Short Term Ideas
CHAMBLFERT : Buy Above 547.9 CSL Below 541.1667
IIFL : Buy Above 455.1 CSL Below 440.95
MASTEK : Buy Above 2555.5 CSL Below 2485.4
POONAWALLA : Buy Above 447.7 CSL Below 439.95
PGHH : Buy Above 13421 CSL Below 13289.33
REDINGTON : Buy Above 289.7 CSL Below 243.0833
ROUTE : Buy Above 879.4 CSL Below 872.1833
SUNPHARMA : Buy Above 1615 CSL Below 1607.533
ULTRACEMCO : Buy Above 12599 CSL Below 12565
NAUKRI : Sell Below 1343 CSL Above 1361
MCX : Sell Below 7607 CSL Above 7711.167
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: ASTRAZEN, SHILPAMED,
OverBought Stocks: AXISBANK, BAJAJ-AUTO, BAJAJFINSV, BRITANNIA, BURGERKING, DELTACORP, GAIL, GRANULES, GREAVESCOT, HEROMOTOCO, HINDALCO, HINDCOPPER, HINDZINC, IDFCFIRSTB, IDFC, JKTYRE, LXCHEM, MANAPPURAM, OFSS, PETRONET, SBICARD, TRIDENT, TIINDIA, VTL, WIPRO,

——————–
Turtle Trend Trading :
IDEA Bought at 7.94

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
PEL Bought at 1141

BAJAJHLDNG Place Order at 13525
DLF Place Order at 786.75

——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade

Posted in FnO |

EOD Review On 15-Sep-2025 : Levels for Next Trading Day

EOD Review on 15 Sep 2025

My System Levels:

1) Levels to watch are 25193.05 and 25136.35

2) Sell Below 25033.61 SL 25099.36 TGT
3) Buy Above 25165.11 SL 25099.36 TGT 25193.05, 25228.7, 25253.4

4) Supports/Resistances to Watch For :-

25083.3
25115.3
25140
25172
25196.7
25228.7
25253.4

Camarilla Levels:
1) Sell Below 25133.51 SL 25149.11 TGT 25112.15
2) Sell Below 25180.29 SL 25195.88 TGT 25169.9, 25159.5, 25149.11
3) Buy Above 25149.11 SL 25133.51 TGT 25159.5, 25169.9, 25180.29
4) Buy Above 25195.88 SL 25180.29 TGT 25225.55, 25239.15
BANKNIFTY : Levels to watch are 55199.8 and 55027.4

RELIANCE : Levels to watch are 1408.15 and 1397.45

SBIN : Levels to watch are 831.1 and 824.1

——————–
Position as per Trade with Trend :
NIFTY(Futures) Holding Long taken at 24786.53 On 01-09-2025 StopLoss 25107.23 | Profit so far 378.17
BANKNIFTY(Futures) Holding Long taken at 54811.53 On 11-09-2025 StopLoss 54834.53 | Profit so far 302.07
RELIANCE(Futures) Holding Long taken at 1390.23 On 12-09-2025 StopLoss 1386.73 | Profit so far 12.57
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 822.58 | Profit so far 15.1

NIFTY(Indices) Holding Long taken at 24654.72 On 03-09-2025 StopLoss 25008.98 | Profit so far 414.48
BANK_NIFTY(Indices) Holding Long taken at 54392.46 On 10-09-2025 StopLoss 54596.75 | Profit so far 495.39
BANKBEES(BEES) Holding Long taken at 564.9 On 11-09-2025 StopLoss 562.86 | Profit so far 2.59
NIFTYBEES(BEES) Holding Short taken at 281.38 On 22-08-2025 StopLoss 283.69 | Profit so far -1.74
——————–
Nifty Options Data:
Highest OI : NIFTY25000PE NIFTY25500CE
Highest Rise in OI : NIFTY24850PE NIFTY25250CE
Highest Fall in OI : NIFTY25100PE NIFTY26350CE
Highest Volume : NIFTY25000PE NIFTY25250CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF3092557000CE
Highest Rise in OI : BNF3092554900PE BNF3092556000CE
Highest Fall in OI : BNF3092557000PE BNF3092557000CE
Highest Volume : BNF3092555000PE BNF3092555000CE
——————–
Market Mood as on Sep 15, 2025″”
FII Mood – Weak Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Weak Bearish

——————–
FII/DII Figures:
FII Cash Net = -1268.59
FII F&O Net = -1661.92
FII F&O OI = N.A.
DII Cash Net = 1933.33

 

—————
FII OI Data:
Future Index Long:26579(-82)
Future Index Short:197735(-1275)
Future Stock Long:3400446(-14510)
Future Stock Short:2078790(10404)
Option Index Call Long:499486(42947)
Option Index Put Long:717993(39013)
Option Index Call Short:535925(78614)
Option Index Put Short:430567(27863)
Option Stock Call Long:80433(2655)
Option Stock Put Long:113338(1569)
Option Stock Call Short:115542(4154)
Option Stock Put Short:85017(1616)
Total Long Contract:4838275(71592)
Total Short Contract:3443577(121377)
Total UP Side Contract:4522528(60489)
Total Down Side Contract:3759323(132479)
L/S FII Index Fut Ratio:12
L/S FII Stock Fut Ratio:62
——————–
Long Build Up: ANGELONE, PPLPHARMA, RVNL, LTF, CONCOR
Short Covering: NBCC, NHPC, HFCL, LODHA, LICI

Short Build Up: MAZDOCK, SHREECEM, OIL, BANDHANBNK, M&M
Long Unwinding: SRF, HCLTECH, RBLBANK, TECHM, HDFCAMC
——————–
Volume Shockers (Futures) :
NIL

——————–
Swing Trading (Futures):
1. JIOFIN Buy Above 315.35
——————–
Swing Trading (NSE Cash Scrips):
COALINDIA Sell Below 394.75 SL 400.65
CONCOR Sell Below 556 SL 562.9
ENGINERSIN Sell Below 210.88 SL 218
TATAMOTORS Sell Below 712.9 SL 721.95
YESBANK Sell Below 21.01 SL 21.28
HINDUNILVR Long Intraday Below 2555.56 SL 2542.72
ULTRACEMCO Long Intraday Below 12262.38 SL 12200.76
——————–
Hot Stocks (Price Action):

ANANTRAJ
BANCOINDIA
EMKAY
RAMANEWS
SHREEPUSHK
GOKULAGRO
DCI
AEGISLOG
VEEDOL

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
IOLCP, HEMIPROP, ZYDUSWELL, IDEA, HINDCOPPER

——————–
5 Worst Performing Stocks since Expiry:
KRBL, IPCALAB, JKCEMENT, METROPOLIS, JSL

—————
Pivot Based Short Term Ideas
APLLTD : Buy Above 979 CSL Below 950.7833
NAUKRI : Buy Above 1374.8 CSL Below 1361
OBEROIRLTY : Buy Above 1652.2 CSL Below 1618.933
SPARC : Buy Above 145.35 CSL Below 143.2467
TTML : Buy Above 58.95 CSL Below 57.63
VINATIORGA : Buy Above 1724.4 CSL Below 1710.833
CIPLA : Sell Below 1546.1 CSL Above 1553.767
GALAXYSURF : Sell Below 2352.6 CSL Above 2372.633
INDIGOPNTS : Sell Below 1129.6 CSL Above 1132.433
POLYMED : Sell Below 1978 CSL Above 2015.167
REDINGTON : Sell Below 241 CSL Above 243.0833
SUNPHARMA : Sell Below 1595.4 CSL Above 1607.533
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: COROMANDEL, EIDPARRY, SHILPAMED,
OverBought Stocks: AVANTIFEED, BAJAJFINSV, CROMPTON, DELTACORP, GAIL, GRANULES, GREAVESCOT, HINDALCO, HINDZINC, IOLCP, INDHOTEL, LAURUSLABS, LXCHEM, OFSS, PETRONET, SBICARD, STAR, TATAMOTORS, TRIDENT, TIINDIA, VTL, VENKEYS,

——————–
Turtle Trend Trading :
TORNTPHARM SL HIT : Long took at 3377 on 20250630 Stoploss 3541.6 | Profit Booked 164.60(4.87%)

——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
PEL Place Order at 1141

——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
BAJFINANCE TGT HIT : Long taken at 930.3 Booked at 1023.33 | Profit Booked 93.03(10.00%)

 

Posted in FnO |

EOD Review On 12-Sep-2025 : Levels for Next Trading Day

EOD Review on 12 Sep 2025

My System Levels:

1) Levels to watch are 25253.25 and 25156.75

2) Sell Below 24978.22 SL 25044.96 TGT
3) Buy Above 25111.69 SL 25044.96 TGT 25253.25, 25281.2, 25339.6

4) Supports/Resistances to Watch For :-

25050.1
25088.2
25146.6
25184.7
25243.1
25281.2
25339.6

Camarilla Levels:
1) Sell Below 25151.92 SL 25178.46 TGT 25089.63, 25066.47
2) Sell Below 25231.54 SL 25258.08 TGT 25213.85, 25196.15, 25178.46
3) Buy Above 25178.46 SL 25151.92 TGT 25196.15, 25213.85, 25231.54
4) Buy Above 25258.08 SL 25231.54 TGT 25282.63
BANKNIFTY : Levels to watch are 55140.1 and 54886.7

RELIANCE : Levels to watch are 1406.85 and 1390.95

SBIN : Levels to watch are 827.55 and 822.65

——————–
Position as per Trade with Trend :
RELIANCE(Futures) Bought at 1390.23 StopLoss 1382.47| Profit so far 8.67
NIFTY(Futures) Holding Long taken at 24786.53 On 01-09-2025 StopLoss 25058.5 | Profit so far 418.47
BANKNIFTY(Futures) Holding Long taken at 54811.53 On 11-09-2025 StopLoss 54684.33 | Profit so far 201.87
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 818.8 | Profit so far 12.6

NIFTY(Indices) Holding Long taken at 24654.72 On 03-09-2025 StopLoss 24964.42 | Profit so far 459.28
BANK_NIFTY(Indices) Holding Long taken at 54392.46 On 10-09-2025 StopLoss 54460.92 | Profit so far 416.84
BANKBEES(BEES) Holding Long taken at 564.9 On 11-09-2025 StopLoss 561.36 | Profit so far 1.51
NIFTYBEES(BEES) Holding Short taken at 281.38 On 22-08-2025 StopLoss 283.55 | Profit so far -2.13
——————–
Nifty Options Data:
Highest OI : NIFTY25000PE NIFTY25500CE
Highest Rise in OI : NIFTY25000PE NIFTY25300CE
Highest Fall in OI : NIFTY22700PE NIFTY25000CE
Highest Volume : NIFTY25100PE NIFTY25300CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF3092557000CE
Highest Rise in OI : BNF3092555000PE BNF3092555000CE
Highest Fall in OI : BNF3092552500PE BNF3092554600CE
Highest Volume : BNF3092554500PE BNF3092555000CE
——————–
Market Mood as on Sep 12, 2025″”
FII Mood – Weak Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Weak Bearish

——————–
FII/DII Figures:
FII Cash Net = 129.58
FII F&O Net = 1059.31
FII F&O OI = N.A.
DII Cash Net = 1556.02

 

—————
FII OI Data:
Future Index Long:26661(1542)
Future Index Short:199010(-8909)
Future Stock Long:3414956(9486)
Future Stock Short:2068386(-269)
Option Index Call Long:456539(77966)
Option Index Put Long:678980(89582)
Option Index Call Short:457311(48247)
Option Index Put Short:402704(72393)
Option Stock Call Long:77778(3077)
Option Stock Put Long:111769(3808)
Option Stock Call Short:111388(4535)
Option Stock Put Short:83401(3978)
Total Long Contract:4766683(185461)
Total Short Contract:3322200(119975)
Total UP Side Contract:4462039(168442)
Total Down Side Contract:3626844(136994)
L/S FII Index Fut Ratio:12
L/S FII Stock Fut Ratio:62
——————–
Long Build Up: HFCL, GMRAIRPORT, VEDL, ABCAPITAL, NUVAMA
Short Covering: FINNIFTY, MAZDOCK, SHRIRAMFIN, MCX, NHPC

Short Build Up: NBCC, LODHA, GODREJCP, KPITTECH, BOSCHLTD
Long Unwinding: OFSS, UNOMINDA, JINDALSTEL, HCLTECH, CGPOWER
——————–
Volume Shockers (Futures) :
HINDZINC
——————–
Swing Trading (Futures):
1. MCX Buy Above 7784.14
2. ETERNAL Sell Below 321.26
——————–
Hot Stocks (Price Action):

JBMA
PUNJABCHEM
NAGREEKEXP
THEMISMED
CCCL
HINDCOPPER
GPPL
LAMBODHARA
NKIND
HITECH
MTARTECH

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
HEMIPROP, IOLCP, ZYDUSWELL, HINDCOPPER, ICIL

——————–
5 Worst Performing Stocks since Expiry:
SUDARSCHEM, JSL, IPCALAB, DELTACORP, ERIS

—————
Pivot Based Short Term Ideas
COCHINSHIP : Buy Above 1755 CSL Below 1655.733
LALPATHLAB : Buy Above 3350 CSL Below 3300.167
FINCABLES : Buy Above 851 CSL Below 845.0833
GRAPHITE : Buy Above 540.9 CSL Below 525.0333
GPPL : Buy Above 163.44 CSL Below 152.42
HFCL : Buy Above 73.7 CSL Below 71.68
JINDALSAW : Buy Above 209.95 CSL Below 203.2
MCX : Buy Above 7811 CSL Below 7711.167
SOLARINDS : Buy Above 14669 CSL Below 14235
BERGEPAINT : Sell Below 535.25 CSL Above 544.8833
BLUEDART : Sell Below 5685.5 CSL Above 5707.333
JSL : Sell Below 736.7 CSL Above 752.0333
JUBLFOOD : Sell Below 631.5 CSL Above 638.2333
KAJARIACER : Sell Below 1216.8 CSL Above 1227.833
MASTEK : Sell Below 2432.4 CSL Above 2485.4
SPARC : Sell Below 142.62 CSL Above 143.2467
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: COROMANDEL, EIDPARRY,
OverBought Stocks: AVANTIFEED, BAJAJ-AUTO, CGPOWER, CARBORUNIV, DELTACORP, GAIL, GRANULES, GREAVESCOT, HEROMOTOCO, HINDZINC, IOLCP, IPCALAB, LAURUSLABS, LXCHEM, MANAPPURAM, OFSS, SBICARD, SFL, STAR, TRIDENT, VENKEYS,

——————–
Turtle Trend Trading :
No New Trade
——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
No New Trade
Astro Predictions for 15-Sep-2025
Market Nature : TRENDING

Reversal Timings :
From 12:32 to 13:33
From 10:31 to 11:32

 

Posted in FnO |

EOD Review On 08-Sep-2025 : Levels for Next Trading Day

EOD Review on 08 Sep 2025

My System Levels:

1) Levels to watch are 24951.1 and 24834.3

2) Sell Below 24745.41 SL 24814.56 TGT
3) Buy Above 24883.71 SL 24814.56 TGT 24951.1, 25028.1, 25077.2

4) Supports/Resistances to Watch For :-

24726.8
24794.5
24843.6
24911.3
24960.4
25028.1
25077.2

Camarilla Levels:
1) Sell Below 24828.46 SL 24860.58 TGT 24817.81, 24789.78
2) Sell Below 24924.82 SL 24956.94 TGT 24903.41, 24881.99, 24860.58
3) Buy Above 24860.58 SL 24828.46 TGT 24881.99, 24903.41, 24924.82
4) Buy Above 24956.94 SL 24924.82 TGT 25023.38, 25051.42
BANKNIFTY : Levels to watch are 54725.5 and 54274.1

RELIANCE : Levels to watch are 1389.2 and 1375.4

SBIN : Levels to watch are 816.62 and 809.18

——————–
Position as per Trade with Trend :
NIFTY(Futures) Holding Long taken at 24786.53 On 01-09-2025 StopLoss 24797.43 | Profit so far 106.17
SBIN(Futures) Holding Long taken at 812.5 On 01-09-2025 StopLoss 808.62 | Profit so far 0.4
BANKNIFTY(Futures) Holding Short taken at 55760.33 On 22-08-2025 StopLoss 54644.07 | Profit so far 1260.53
RELIANCE(Futures) Holding Short taken at 1408.43 On 22-08-2025 StopLoss 1385.47 | Profit so far 26.13

NIFTY(Indices) Holding Long taken at 24654.72 On 03-09-2025 StopLoss 24693.78 | Profit so far 118.43
BANK_NIFTY(Indices) Holding Short taken at 55631.23 On 22-08-2025 StopLoss 54425.77 | Profit so far 1444.33
NIFTYBEES(BEES) Holding Short taken at 281.38 On 22-08-2025 StopLoss 281.44 | Profit so far 1.39
BANKBEES(BEES) Holding Short taken at 574.66 On 22-08-2025 StopLoss 563.5 | Profit so far 14.17
——————–
Nifty Options Data:
Highest OI : NIFTY24100PE NIFTY24900CE
Highest Rise in OI : NIFTY24100PE NIFTY25400CE
Highest Fall in OI : NIFTY24600PE NIFTY25500CE
Highest Volume : NIFTY24350PE NIFTY24800CE
——————–
BankNifty Options Data:
Highest OI : BNF3092554000PE BNF3092557000CE
Highest Rise in OI : BNF3092554000PE BNF3092557000CE
Highest Fall in OI : BNF3092552500PE BNF3092557500CE
Highest Volume : BNF3092554000PE BNF3092555000CE
——————–
Market Mood as on Sep 08, 2025″”
FII Mood – Weak Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Weak Bearish

——————–
FII/DII Figures:
FII Cash Net = -2170.35
FII F&O Net = 1262.1
FII F&O OI = N.A.
DII Cash Net = 3014.3

 

—————
FII OI Data:
Future Index Long:18193(1478)
Future Index Short:209553(1423)
Future Stock Long:3415244(14645)
Future Stock Short:2047788(-3233)
Option Index Call Long:562423(75399)
Option Index Put Long:697622(76262)
Option Index Call Short:554786(25530)
Option Index Put Short:411510(75104)
Option Stock Call Long:67833(4674)
Option Stock Put Long:98675(4869)
Option Stock Call Short:100291(3576)
Option Stock Put Short:70822(1040)
Total Long Contract:4859990(177327)
Total Short Contract:3394750(103440)
Total UP Side Contract:4546025(172340)
Total Down Side Contract:3708715(108427)
L/S FII Index Fut Ratio:8
L/S FII Stock Fut Ratio:63
——————–
Long Build Up: MARUTI, UPL, MANAPPURAM, NCC, IIFL
Short Covering: BHARATFORG, SHREECEM, BSE, KFINTECH, MANKIND

Short Build Up: TRENT, BLUESTARCO, PERSISTENT, HCLTECH, APOLLOHOSP
Long Unwinding: AMBER, PPLPHARMA, DRREDDY, MARICO, PAYTM
——————–
Volume Shockers (Futures) :
BHARATFORG
——————–
Swing Trading (Futures):
1. INDUSTOWER Buy Above 342.42
2. TRENT Sell Below 5410.43
3. VEDL Sell Below 436.01
4. ASIANPAINT Sell Below 2516.25
——————–
Swing Trading (NSE Cash Scrips):
BOSCHLTD Sell Below 41355 SL 41760
HCLTECH Long Intraday Below 1394.00 SL 1386.99
——————–
Hot Stocks (Price Action):

CENTEXT
IOLCP
PRECAM
AKASH
INCREDIBLE
STYLAMIND
HPIL

——————-
Very High Delivery Volume Stocks

——————–
5 Best Performing Stocks since Expiry:
HEMIPROP, IOLCP, ZYDUSWELL, SUNTECK, NATIONALUM

——————–
5 Worst Performing Stocks since Expiry:
VTL, HONAUT, INTELLECT, JSL, IPCALAB

—————
Pivot Based Short Term Ideas
AARTIIND : Buy Above 394.2 CSL Below 384.2667
ADANIPORTS : Buy Above 1363.4 CSL Below 1333.433
AVANTIFEED : Buy Above 675.9 CSL Below 656.3
BPCL : Buy Above 318.15 CSL Below 315.5333
BLUEDART : Buy Above 5781 CSL Below 5707.333
CENTRALBK : Buy Above 36.15 CSL Below 35.27333
DCBBANK : Buy Above 126.81 CSL Below 125.4867
HAL : Buy Above 4470 CSL Below 4423.867
HINDPETRO : Buy Above 395.3 CSL Below 389.65
IIFL : Buy Above 453.5 CSL Below 440.95
JUSTDIAL : Buy Above 827.65 CSL Below 823.8834
KPRMILL : Buy Above 1013.95 CSL Below 1000
KAJARIACER : Buy Above 1245 CSL Below 1227.833
NLCINDIA : Buy Above 240 CSL Below 232.75
NETWORK18 : Buy Above 56.88 CSL Below 54.95
RALLIS : Buy Above 367.5 CSL Below 358.0333
TATACHEM : Buy Above 952.95 CSL Below 939.5833
TORNTPHARM : Buy Above 3639 CSL Below 3583.333
TIINDIA : Buy Above 3095 CSL Below 2996.1
UTIAMC : Buy Above 1345.9 CSL Below 1325.833
UJJIVANSFB : Buy Above 44.44 CSL Below 42.99667
VIPIND : Buy Above 433.8 CSL Below 428.2167
FDC : Sell Below 465 CSL Above 469.9167
FINCABLES : Sell Below 832 CSL Above 845.0833
GILLETTE : Sell Below 10298 CSL Above 10339.67
LUXIND : Sell Below 1286 CSL Above 1300.4
MHRIL : Sell Below 349.1 CSL Above 353.4833
PGHH : Sell Below 13221 CSL Above 13289.33
SPARC : Sell Below 140.8 CSL Above 143.2467
TRENT : Sell Below 5300 CSL Above 5361.167
—————–
RSI Based OverSold/OverBought Stocks:
OverSold Stocks: ABBOTINDIA, ASTRAZEN, CASTROLIND, DEEPAKNTR, EIDPARRY, RHIM, SUNPHARMA, TATAELXSI, TATAMTRDVR,
OverBought Stocks: ABFRL, CARBORUNIV, EICHERMOT, IDFCFIRSTB, IDFC, MRF, MPHASIS, RELAXO, SUNTECK,

——————–
Turtle Trend Trading :
No New Trade
——————–
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
BAJAJ-AUTO TGT HIT : Long taken at 8588.5 Booked at 9447.35 | Profit Booked 858.85(10.00%)
TATASTEEL TGT HIT : Long taken at 154.48 Booked at 169.93 | Profit Booked 15.45(10.00%)

——————–
Bottom Fishing Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
M&M TGT HIT : Long taken at 3272.53 Booked at 3599.78 | Profit Booked 327.25(10.00%)

 

Posted in FnO |