EOD Review on 14 Jan 2021
My System Levels:
1) Levels to watch are 14697.67 and 14558.52
2) Sell Below 14479.26 SL 14538.47 TGT 14453, 14401.4
3) Buy Above 14597.68 SL 14538.47 TGT 14697.67, 14731.3, 14818.85
4) Supports/Resistances to Watch For :-
14401.4
14453
14540.55
14592.15
14679.7
14731.3
14818.85
Camarilla Levels:
1) Sell Below 14551.57 SL 14589.83 TGT 14451.72, 14418.33
2) Sell Below 14666.37 SL 14704.63 TGT 14640.86, 14615.34, 14589.83
3) Buy Above 14589.83 SL 14551.57 TGT 14615.34, 14640.86, 14666.37
4) Buy Above 14704.63 SL 14666.37 TGT 14730.02
BANKNIFTY : Levels to watch are 32797.45 and 32498.15
USDINR-1 : Levels to watch are 73.27 and 72.99
RELIANCE : Levels to watch are 1976.33 and 1950.78
SBIN : Levels to watch are 310.78 and 304.92
Position as per Trade with Trend :
NIFTY(Futures) Holding Long taken at 13640.08 On 24-12-2020 StopLoss 14478.35 | Profit so far 988.02
BANKNIFTY(Futures) Holding Long taken at 30102.58 On 24-12-2020 StopLoss 32207.98 | Profit so far 2545.22
RELIANCE(Futures) Holding Long taken at 1950.5 On 12-01-2021 StopLoss 1924.05 | Profit so far 13.05
SBIN(Futures) Holding Long taken at 290.98 On 12-01-2021 StopLoss 292.88 | Profit so far 16.87
NIFTY(Indices) Holding Long taken at 13629.67 On 24-12-2020 StopLoss 14446.68 | Profit so far 965.93
BANK_NIFTY(Indices) Holding Long taken at 30086.68 On 24-12-2020 StopLoss 32105.48 | Profit so far 2433.07
BANKBEES(BEES) Holding Long taken at 304.57 On 24-12-2020 StopLoss 323 | Profit so far 22.68
NIFTYBEES(BEES) Holding Short taken at 144.99 On 21-12-2020 StopLoss 155.85 | Profit so far -10.77
Nifty Options Data:
Highest OI : NIFTY14500PE NIFTY14700CE
Highest Rise in OI : NIFTY14500PE NIFTY14700CE
Highest Fall in OI : NIFTY14000PE NIFTY14800CE
Highest Volume : NIFTY14500PE NIFTY14700CE
Market Mood as on Jan 14,2021″”
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 = 42.44
FII F&O OI = 200897.9
DII Cash Net = N.A.
Long Build Up: PAGEIND, HINDPETRO, LUPIN, CADILAHC, MRF
Short Covering: M&M, BRITANNIA, CONCOR, BANKBARODA, EXIDEIND
Short Build Up: TITAN, MGL, HCLTECH, NTPC, APOLLOTYRE
Long Unwinding: SAIL, CHOLAFIN, BHEL, INFY, CANBK
Volume Shockers (Futures) :
SAIL
Swing Trading (Futures):
1. RELIANCE Buy Above 1965.77
Swing Trading (NSE Cash Scrips):
IGL Sell Below 567.95 SL 581
BANKBARODA Short Intraday Above 78.29 SL 78.68
CESC Short Intraday Above 713.55 SL 717.10
M&M Short Intraday Above 848.07 SL 852.29
NESTLEIND Long Intraday Below 17958.76 SL 17868.51
Option Chain based Stocks:
Strong Upmove Stocks : TATAPOWER, TCS, COALINDIA, GAIL, BPCL,
Weak Upmove Stocks : BHEL, ITC, L&TFH, IOC, BHARTIARTL,
Strong Downmove Stocks : IDEA, INFY,
Weak Downmove Stocks : WIPRO, NTPC, BEL, ASHOKLEY, HCLTECH, ONGC, AXISBANK, SBIN, PNB,
5 Best Performing Stocks since Expiry:
TATAELXSI, GTLINFRA, TATAMOTORS, 3IINFOTECH, J&KBANK
5 Worst Performing Stocks since Expiry:
VENKEYS, INDORAMA, ANSALAPI, SAIL, USHAMART
Turtle Trend Trading :
No New Trade
DMA Based Trend Trading (without SL, Reccomended TGT 10%, Avg on Lower prices on Signal) :
TORNTPHARM Place Order at 2383.05