EOD Review On 23-Oct-2020 : Calls for Next Trading Day

EOD Review on 23 Oct 2020

My System Levels:

1) Levels to watch are 11970.4 and 11898.3

2) Sell Below 11852.83 SL 11909.15 TGT 11829.35, 11804.35
3) Buy Above 11965.47 SL 11909.15 TGT 11970.4, 12012.75, 12045.65

4) Supports/Resistances to Watch For :-

11829.35
11868.55
11901.45
11940.65
11973.55
12012.75
12045.65

Camarilla Levels:
1) Sell Below 11894.69 SL 11914.52 TGT 11880.35, 11863.05
2) Sell Below 11954.18 SL 11974 TGT 11940.96, 11927.74, 11914.52
3) Buy Above 11914.52 SL 11894.69 TGT 11927.74, 11940.96, 11954.18
4) Buy Above 11974 SL 11954.18 TGT 12007.25, 12024.55

BANKNIFTY : Levels to watch are 24741.88 and 24332.12

USDINR-1 : Levels to watch are 73.76 and 73.55

RELIANCE : Levels to watch are 2138.6 and 2099.6

SBIN : Levels to watch are 205.27 and 201.23

Position as per Trade with Trend :
NIFTY(Futures)              Holding Long  taken at 11898.75 On 20-10-2020 StopLoss 11834.03 | Profit so far 35.6
BANKNIFTY(Futures)          Holding Long  taken at 23960.02 On 19-10-2020 StopLoss 24263.17 | Profit so far 576.98
SBIN(Futures) Holding Long  taken at 200.67 On 19-10-2020 StopLoss 200.72 | Profit so far 2.58
RELIANCE(Futures)           Holding Short  taken at 2243.82 On 15-10-2020 StopLoss 2158.62 | Profit so far 124.72

NIFTY(Indices)              Holding Long  taken at 11904.48 On 20-10-2020 StopLoss 11835.98 | Profit so far 25.87
BANK_NIFTY(Indices)         Holding Long  taken at 23898.92 On 19-10-2020 StopLoss 24236.97 | Profit so far 579.38

Nifty Options Data:
Highest OI         :        NIFTY10500PE  NIFTY12500CE
Highest Rise in OI :        NIFTY10800PE  NIFTY12500CE
Highest Fall in OI :        NIFTY11800PE  NIFTY11900CE
Highest Volume     :        NIFTY11900PE  NIFTY12000CE

Market Mood as on Oct 23,2020″”
FII Mood – Weak Bearish
Retailers Mood – Weak Bullish
Overall Market Mood – Volatile/Indecisive with Weak Bearish

FII/DII Figures:
FII Cash Net = N.A.
FII F&O Net = -221.77
FII F&O OI = 170063.9
DII Cash Net = N.A.

Long Build Up: AMARAJABAT, IDEA, M&MFIN, HDFCLIFE, APOLLOTYRE
Short Covering: ASIANPAINT, ASHOKLEY, POWERGRID, GODREJPROP, MFSL

Short Build Up: COFORGE, INFRATEL, CIPLA, SBILIFE, MGL
Long Unwinding: AMBUJACEM, ACC, LICHSGFIN, AUROPHARMA, PETRONET

Volume Shockers (Futures) :
IDEA
JINDALSTEL
IBULHSGFIN

Swing Trading (Futures):
1. M&M             Buy Above               615.99
2. ITC             Buy Above               170.15
3. INDUSINDBK      Sell Below              605.01
4. HINDUNILVR      Sell Below              2127.95

Swing Trading (NSE Cash Scrips):
BALKRISIND         Buy Above 1388.1        SL 1329.7
BANKBARODA         Sell Below 43.15        SL 43.65
L&TFH              Sell Below 65           SL 66.8
M&MFIN             Sell Below 134.7        SL 137.2
MCX                Sell Below 1800.05      SL 1837.6
HINDZINC           Short Intraday Above 244.22           SL 245.43
BRITANNIA          Long Intraday Below 3424.84           SL 3407.63
RELIANCE           Long Intraday Below 2085.92           SL 2075.44

Option Chain based Stocks:

Strong Upmove Stocks : APOLLOTYRE, BAJAJ-AUTO, MARUTI, POWERGRID, HAVELLS, SRTRANSFIN, TATASTEEL,
Weak Upmove Stocks : MRF, BHARATFORG, NAUKRI,
Strong Downmove Stocks : AMBUJACEM, GODREJCP, AMARAJABAT,
Weak Downmove Stocks : MFSL, TORNTPHARM, BIOCON, INFRATEL, RBLBANK, SHREECEM, HINDALCO, IDEA,

5 Best Performing Stocks since Expiry:
HIMATSEIDE, NOIDATOLL, AGCNET, SINTEX, GOKEX

5 Worst Performing Stocks since Expiry:
ANANTRAJ, RCOM, GARDENSILK, FMGOETZE, NDTV