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MARKET WRAP
Indian equity market up 1.2%, Nifty above 5500, up 62 pts & Sensex up 192 pts
EUR core CPI came down at 1% vs. 1.1%, CPI y/y came as expected at 2.4%.
European markets were down with FTSE worst, Dow future was up 30 pts.
Indian equity market ended up 1.20% ahead of crucial RBI credit policy meet on
17th March. Nifty added 62 pts to end above 5500 at 5512 while Sensex gained 191 pts
to end at 18359. Euro markets were down due to negative economic data with FTSE
worst 40 pts at 5655, CAC 30 pts & DAX down 9 pts at 6640. Dow future was up 30 pts.
MARKET PERFORMANCE
NIFTY GAINERS
COMPANY NAME CURRENT PREV. CLOSE(RS) CANG.(RS) CHAG.(%)
R Infra 645.65 613.80 31.85 5.19
Ambuja 130.00 125.25 4.75 3.79
SBI 2643.95 2562.50 81.45 3.18
ICICI Bank 1027.45 996.60 30.85 3.10
Sun Pharma 440.10 427.65 12.45 2.91
NIFTY LOSERS
COMPANY NAME CURRENT PREV. CLOSE(RS) CANG.(RS) CHAG.(%)
HUL 271.35 274.75 -3.40 -1.24
Cipla 296.00 297.65 -1.65 -0.55
Hindalco 203.15 204.20 -1.05 -0.51
Hero Honda 1516.40 1524.00 -7.60 -0.50
HDFC 659.85 663.10 -3.25 -0.49
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SECTORIAL INDICES
INDEX P.CLOSE OPEN HIGH LOW LAST %
CHANGE
S&P CNX NIFTY 5449.65 5475.95 5535.10 5475.95 5511.15 1.13
CNX NIFTY JR. 10596.90 10641.20 10762.00 10641.20 10739.90 1.35
CNX IT 6689.05 6689.25 6776.90 6689.25 6733.30 0.66
BANK NIFTY 10725.80 10777.10 11001.25 10777.10 10957.60 2.16
INDIA VIX 26.63 26.63 26.63 24.14 24.89 -6.53
CNX 100 5340.35 5362.25 5423.35 5362.25 5402.40 1.16
S&P CNX DEFTY 4168.65 4198.30 4248.35 4196.90 4231.55 1.51
S&P CNX 500 4334.70 4349.15 4401.75 4349.15 4386.45 1.19
CNX MIDCAP 7533.90 7592.15 7654.55 7592.15 7639.70 1.40
NIFTY MIDCAP 50 2355.40 2368.10 2393.55 2368.10 2382.05 1.13
CNX INFRA 2825.05 2837.25 2880.25 2837.25 2863.75 1.37
CNX REALTY 273.10 274.25 281.35 274.25 279.55 2.36
INDEX MOVERS (PULLING IT UP)
COMPANY NAME CONTRIBUTION
SBI 8.25
TCS 7.82
ICICI Bank 5.65
RIL 5.14
OTHERS 40.02
INDEX MOVERS (PULLING IT DOWN)
COMPANY NAME CONTRIBUTION
HUL -1.20
HDFC -0.76
Hindalco -0.32
Hero Honda -0.24
OTHERS -0.48
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5 DAYS UP (NIFTY)
COMPANY NAME DAY'S CLOSING
PRICE (RS.) PREV CLOSE (RS.) 5 DAYS AGO (RS.)
5 DAYS
RETURN(%)
R Capital 575.50 567.00 512.15 12.37
R Com 103.00 101.00 96.30 6.96
R Infra 645.65 613.80 604.65 6.78
BPCL 576.55 570.70 545.85 5.62
RIL 1047.10 1037.25 992.05 5.55
5 DAYS DOWN (NIFTY)
COMPANY NAME DAY'S CLOSING
PRICE (RS.) PREV CLOSE (RS.) 5 DAYS AGO (RS.)
5 DAYS
RETURN(%)
ONGC 271.80 271.15 281.75 -3.53
Suzlon 46.25 46.15 47.60 -2.84
Maruti 1219.25 1214.15 1250.85 -2.53
Sesa Goa 263.40 261.60 270.05 -2.46
BHEL 1923.45 1917.30 1969.30 -2.33
VOLUME SHOCKERS
Company Name Last Price % Chg Last Volume Prev Volume % Chg
HT Media 132.85 0.80 353912.00 12898.00 2644.00
Atul 164.25 5.02 62318.00 3761.00 1557.00
Sanghvi Movers 105.95 -2.66 243593.00 17239.00 1313.00
Pantaloon 204.65 -1.49 36718.00 2819.00 1203.00
Cera Sanitary 156.15 1.36 21479.00 1758.00 1122.00
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FII TRADING ACTIVITY (NSE & BSE) In Crores
CATEGORY DATE BUY VALUE SELL VALUE NET VALUE
FII 16-Mar-2011 2233.78 2368.30 -134.52
DII TRADING ACTIVITY (NSE & BSE) In Crores
CATEGORY DATE BUY VALUE SELL VALUE NET VALUE
DII 16-Mar-2011 1153.03 826.31 326.72
F&O TRADE STATISTICS
PRODUCT NO OF CONTRACTS TURNOVER IN RS. CR. PUT CALL RATIO
Index Futures 541754.00 13947.89 -
Stock Futures 500413.00 12822.27 -
Index Options 2421336.00 66778.16 1.21
Stock Options 103161.00 2776.59 0.40
F&O Total 3566664.00 96324.91 1.16
ASIAN MARKETS
Name Open High Low Current Value Change % Chg
Nikkei 225 8,767.20 9,168.51 8,763.95 9,093.72 488.57 5.37
Hang Seng 22,814.50 22,814.50 22,541.55 22,700.88 22.63 0.10
KOSPI 1,951.68 1,965.15 1,931.38 1,957.97 34.05 1.74
Jakarta 3,524.67 3,535.23 3,493.61 3,531.48 7.00 0.20
Shanghai 2,894.25 2,934.02 2,894.25 2,930.80 34.54 1.18
TECHNICAL
DAILY PIVOT
SCRIPT R4 R3
NIFTY 5684 5625
OUTLOOK
Trend: - Consolidate
Resistance: - 5540
Support: - 5470, 5
Strategy: - Sell on highs
ECHNICAL VIEW
NIFTY
R2 R1 P S1 S2
5566 5539 5507 5480 5448
Consolidate
5540, 5650
, 5390
Sell on highs
NIFTY DAILY
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S2 S3 S4
5448 5389 5330
DAILY PIVOT
SCRIPT R4 R3
BANK NIFTY 11666 11420
OUTLOOK
Trend: - Consolidate
Resistance: - 11080
Support: - 10800, 1
Strategy: - Sell on highs
BANK NIFTY
R2 R1 P S1 S2
11420 11174 11079 10928 10833 10682
Consolidate
1080, 11275
, 10620
on highs
BANK NIFTY DAILY
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S2 S3 S4
10682 10436 10190
Stock
CapitalHeight’s stock recommendation for
JSW Steel is consolidating between the level of 935
ended down nearly 0.5% at
EMA has given a negative crossover,
level of 900 – 895 and test the level of 870.
Our recommendation on JSW Steel is
tock Recommendation
stock recommendation for 17/03/2011 is
consolidating between the level of 935-895 and today in a bullish market
nearly 0.5% at 905.6 signaling its weakness. The 10 Day and 30 Day
has given a negative crossover, with that, we expect stock to break its
and test the level of 870.
JSW Steel is SELL below 900 for the target of 890
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ecommendation
is JSW Steel.
895 and today in a bullish market
The 10 Day and 30 Day
expect stock to break its support
below 900 for the target of 890 – 875.
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