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Derivative Report
                                                                                                        India Research
Comments                                                                                                        June 22, 2010

๏ฎ The Nifty futuresโ€™ open interest decreased by 0.46%,               Nifty Vs OI
      while, Minifty futures open interest increased by 8.64%
      as market closed at 5353.30 levels.
๏ฎ The Nifty June future closed at a premium of 4.35
      points, as against a discount of 1.45 points in the last
      trading session, while the July future closed at a
      premium of 11.10 points.
๏ฎ The PCR-OI increased from 1.67 to 1.76 points.
๏ฎ The       Implied volatility of At-the-money             options
      increased from 16.00% to 17.50%.
๏ฎ Rollover for Nifty futures is 27.16% and for Minifty
      futures it is 37.61%
๏ฎ The total OI of the market is Rs.1,53,834cr and the
      stock futures OI is Rs37,822cr.
๏ฎ Some liquid counters where cost of carry is positive are
      GMRINFRA, DCHL, WELCORP, IDEA and BHARTIARTL.

OI Gainers
                                OI                      PRICE
SCRIP                OI       CHANGE       PRICE       CHANGE         View
                                (%)                      (%)
                                                                      ๏ฎ FIIs have again formed some long positions in the
CESC                569500        31.43    386.30           0.39         Index Futures, with significant buying in the Index
                                                                         options. They were net buyers of Rs1564 in the cash
BGRENERGY           212400        25.16    772.85           1.95
                                                                         market segment.
TATATEA             888350        24.99   1183.90           4.59
                                                                      ๏ฎ Yesterday, a huge build-up has taken place in the
PATNI              1804600        23.76    537.65          -3.86         5300 and 5400 Put options, at the same time,
DCHL               2683400        19.08    124.70           0.12
                                                                         unwinding in the 5200 and 5300 calls continued.
                                                                      ๏ฎ BANKINDIA       is showing strength, some long
OI Losers                                                                formations from lower levels have also been
                                 OI                     PRICE            observed. We may see a positive move up-to
SCRIP                 OI       CHANGE       PRICE      CHANGE            Rs370. Positional traders can form long positions
                                 (%)                     (%)             with the stop loss of Rs324.
TCS                 4262500      -17.51     787.70          0.57      ๏ฎ CAIRN is showing resistance around current levels.
                                                                         We do not expect significant positive move from
IOB                 4329800      -17.31     103.15          2.84
                                                                         here. Traders can trade with negative bias for the
DABUR                654300      -16.90     191.15          2.69         target of Rs296, with the stop loss of Rs317.
GESHIP               868000      -16.52     307.55          3.05
INFOSYSTCH          2506525      -14.39   2800.80           0.52

Put-Call Ratio                                                         Historical Volatility

SCRIP                          PCR-OI           PCR-VOL                SCRIP                                     HV

NIFTY                            1.76               1.02               SESAGOA                                  76.28

RELIANCE                         0.37               0.32               STER                                     64.97

TATASTEEL                        0.56               0.28               ABIRLANUVO                               39.96

ONGC                             0.97               0.38               TATASTEEL                                52.91

RCOM                             0.88               0.49               TATATEA                                  38.46


SEBI Registration No: INB 010996539                                                   For Private Circulation Only          1
Derivative Report | India Research



FII Statistics for 21-June-2010                                                                 Turnover on 21-June-2010

                                                                    Open Interest
                                                                                                                   No. of       Turnover             Change
 Detail          Buy            Sell           Net                                                Instrument
                                                                                                                  Contracts     (Rs. in cr.)           (%)
                                                        Contracts       Value        Change
                                                                      (Rs. in cr.)     (%)
INDEX                                                                                           Index Futures     720715        18146.68             21.86
              3587.25     3161.73         425.52         592670       15782.40         3.99
FUTURES
INDEX                                                                                           Stock Futures     871065        25841.14             17.93
              7541.99     6450.49        1,091.50       2206206       59016.39         4.35
OPTIONS
STOCK                                                                                           Index Options     2725795       72042.41             25.36
              5577.81     5773.31         (195.50)      1084981       30812.40         0.18
FUTURES
STOCK                                                                                           Stock Options     114074        3738.96              -14.65
               245.11     245.96              (0.85)     47701          1587.75        0.01
OPTIONS
TOTAL         16952.16 15631.49          1,320.67       3931558      107198.94         3.06     Total             4431649      119769.19             21.40




 Nifty Spot = 5353.30                          Lot Size = 50


 Bull-Call Spreads                                                                   Bear-Put Spreads

 Action       Strike    Price          Risk          Reward       BEP                Action    Strike     Price     Risk      Reward           BEP

 Buy         5400       19.65                                                        Buy       5300       16.55
                                       17.45         82.55     5417.45                                             11.75      88.25       5288.25
 Sell        5500        2.20                                                        Sell      5200        4.80
 Buy         5400       19.65                                                        Buy       5300       16.55
                                       19.25      180.75       5419.25                                             14.10      185.90      5285.90
 Sell        5600        0.40                                                        Sell      5100        2.45
 Buy         5500        2.20                                                        Buy       5200        4.80
                                       1.80          98.20     5501.80                                              2.35      97.65       5197.65
 Sell        5600        0.40                                                        Sell      5100        2.45

Note: Above mentioned Bullish or Bearish Spreads in Nifty (June Series) are given as an information and not as a recommendation




Nifty Put-Call Analysis




 For Private Circulation Only                                SEBI Registration No: INB 010996539                                                         2
Derivative Report | India Research



         Strategy Date                                   Scrip                                      Strategy                                      Status

          31-May-2010                                    Nifty                                 Long Put Ladder                                  Continue

          07-Jun-2010                               HINDUNILVR                                 Ratio Put Spread                                 Continue

          07-Jun-2010                                   RCOM                                   Ratio Put Spread                                 Continue

          14-Jun-2010                               HINDALCO                                  Ratio Call Spread                                 Continue

          14-Jun-2010                                      LT                                   Short Straddle                     Loss Booked on 17-Jun-2010

          21-Jun-2010                                ICICIBANK                                      Long Put                                Did not trigger

          21-Jun-2010                                ASHOKLEY                                      Long Call                                    Continue




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Opinion expressed is our current opinion as of the date appearing on this material only. While we endeavor to update on a reasonable basis the information discussed in
this material, there may be regulatory, compliance, or other reasons that prevent us from doing so. Prospective investors and others are cautioned that any forward-
looking statements are not predictions and may be subject to change without notice. Our proprietary trading and investment businesses may make investment decisions
that are inconsistent with the recommendations expressed herein.
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general guidance only. While every effort is made to ensure the accuracy and completeness of information contained, the company takes no guarantee and assumes no
liability for any errors or omissions of the information. No one can use the information as the basis for any claim, demand or cause of action.
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go up or down. Past performance is not a guide for future performance.
Certain transactions - futures, options and other derivatives as well as non-investment grade securities - involve substantial risks and are not suitable for all investors.
Reports based on technical analysis centers on studying charts of a stock's price movement and trading volume, as opposed to focusing on a company's fundamentals and
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Sebi Registration No.: INB 010996539




Derivative Research Team                                                                                                  derivatives.desk@angeltrade.com

For Private Circulation Only                                 SEBI Registration No: INB 010996539                                                                           3

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Derivatives Report - June 22, 2010

  • 1. Derivative Report India Research Comments June 22, 2010 ๏ฎ The Nifty futuresโ€™ open interest decreased by 0.46%, Nifty Vs OI while, Minifty futures open interest increased by 8.64% as market closed at 5353.30 levels. ๏ฎ The Nifty June future closed at a premium of 4.35 points, as against a discount of 1.45 points in the last trading session, while the July future closed at a premium of 11.10 points. ๏ฎ The PCR-OI increased from 1.67 to 1.76 points. ๏ฎ The Implied volatility of At-the-money options increased from 16.00% to 17.50%. ๏ฎ Rollover for Nifty futures is 27.16% and for Minifty futures it is 37.61% ๏ฎ The total OI of the market is Rs.1,53,834cr and the stock futures OI is Rs37,822cr. ๏ฎ Some liquid counters where cost of carry is positive are GMRINFRA, DCHL, WELCORP, IDEA and BHARTIARTL. OI Gainers OI PRICE SCRIP OI CHANGE PRICE CHANGE View (%) (%) ๏ฎ FIIs have again formed some long positions in the CESC 569500 31.43 386.30 0.39 Index Futures, with significant buying in the Index options. They were net buyers of Rs1564 in the cash BGRENERGY 212400 25.16 772.85 1.95 market segment. TATATEA 888350 24.99 1183.90 4.59 ๏ฎ Yesterday, a huge build-up has taken place in the PATNI 1804600 23.76 537.65 -3.86 5300 and 5400 Put options, at the same time, DCHL 2683400 19.08 124.70 0.12 unwinding in the 5200 and 5300 calls continued. ๏ฎ BANKINDIA is showing strength, some long OI Losers formations from lower levels have also been OI PRICE observed. We may see a positive move up-to SCRIP OI CHANGE PRICE CHANGE Rs370. Positional traders can form long positions (%) (%) with the stop loss of Rs324. TCS 4262500 -17.51 787.70 0.57 ๏ฎ CAIRN is showing resistance around current levels. We do not expect significant positive move from IOB 4329800 -17.31 103.15 2.84 here. Traders can trade with negative bias for the DABUR 654300 -16.90 191.15 2.69 target of Rs296, with the stop loss of Rs317. GESHIP 868000 -16.52 307.55 3.05 INFOSYSTCH 2506525 -14.39 2800.80 0.52 Put-Call Ratio Historical Volatility SCRIP PCR-OI PCR-VOL SCRIP HV NIFTY 1.76 1.02 SESAGOA 76.28 RELIANCE 0.37 0.32 STER 64.97 TATASTEEL 0.56 0.28 ABIRLANUVO 39.96 ONGC 0.97 0.38 TATASTEEL 52.91 RCOM 0.88 0.49 TATATEA 38.46 SEBI Registration No: INB 010996539 For Private Circulation Only 1
  • 2. Derivative Report | India Research FII Statistics for 21-June-2010 Turnover on 21-June-2010 Open Interest No. of Turnover Change Detail Buy Sell Net Instrument Contracts (Rs. in cr.) (%) Contracts Value Change (Rs. in cr.) (%) INDEX Index Futures 720715 18146.68 21.86 3587.25 3161.73 425.52 592670 15782.40 3.99 FUTURES INDEX Stock Futures 871065 25841.14 17.93 7541.99 6450.49 1,091.50 2206206 59016.39 4.35 OPTIONS STOCK Index Options 2725795 72042.41 25.36 5577.81 5773.31 (195.50) 1084981 30812.40 0.18 FUTURES STOCK Stock Options 114074 3738.96 -14.65 245.11 245.96 (0.85) 47701 1587.75 0.01 OPTIONS TOTAL 16952.16 15631.49 1,320.67 3931558 107198.94 3.06 Total 4431649 119769.19 21.40 Nifty Spot = 5353.30 Lot Size = 50 Bull-Call Spreads Bear-Put Spreads Action Strike Price Risk Reward BEP Action Strike Price Risk Reward BEP Buy 5400 19.65 Buy 5300 16.55 17.45 82.55 5417.45 11.75 88.25 5288.25 Sell 5500 2.20 Sell 5200 4.80 Buy 5400 19.65 Buy 5300 16.55 19.25 180.75 5419.25 14.10 185.90 5285.90 Sell 5600 0.40 Sell 5100 2.45 Buy 5500 2.20 Buy 5200 4.80 1.80 98.20 5501.80 2.35 97.65 5197.65 Sell 5600 0.40 Sell 5100 2.45 Note: Above mentioned Bullish or Bearish Spreads in Nifty (June Series) are given as an information and not as a recommendation Nifty Put-Call Analysis For Private Circulation Only SEBI Registration No: INB 010996539 2
  • 3. Derivative Report | India Research Strategy Date Scrip Strategy Status 31-May-2010 Nifty Long Put Ladder Continue 07-Jun-2010 HINDUNILVR Ratio Put Spread Continue 07-Jun-2010 RCOM Ratio Put Spread Continue 14-Jun-2010 HINDALCO Ratio Call Spread Continue 14-Jun-2010 LT Short Straddle Loss Booked on 17-Jun-2010 21-Jun-2010 ICICIBANK Long Put Did not trigger 21-Jun-2010 ASHOKLEY Long Call Continue DISCLAIMER: This document is not for public distribution and has been furnished to you solely for your information and must not be reproduced or redistributed to any other person. Persons into whose possession this document may come are required to observe these restrictions. Opinion expressed is our current opinion as of the date appearing on this material only. While we endeavor to update on a reasonable basis the information discussed in this material, there may be regulatory, compliance, or other reasons that prevent us from doing so. Prospective investors and others are cautioned that any forward- looking statements are not predictions and may be subject to change without notice. Our proprietary trading and investment businesses may make investment decisions that are inconsistent with the recommendations expressed herein. The information in this document has been printed on the basis of publicly available information, internal data and other reliable sources believed to be true and are for general guidance only. While every effort is made to ensure the accuracy and completeness of information contained, the company takes no guarantee and assumes no liability for any errors or omissions of the information. No one can use the information as the basis for any claim, demand or cause of action. Recipients of this material should rely on their own investigations and take their own professional advice. Each recipient of this document should make such investigations as it deems necessary to arrive at an independent evaluation of an investment in the securities of companies referred to in this document (including the merits and risks involved), and should consult their own advisors to determine the merits and risks of such an investment. Price and value of the investments referred to in this material may go up or down. Past performance is not a guide for future performance. Certain transactions - futures, options and other derivatives as well as non-investment grade securities - involve substantial risks and are not suitable for all investors. Reports based on technical analysis centers on studying charts of a stock's price movement and trading volume, as opposed to focusing on a company's fundamentals and as such, may not match with a report on a company's fundamentals. We do not undertake to advise you as to any change of our views expressed in this document. While we would endeavor to update the information herein on a reasonable basis, Angel Broking, its subsidiaries and associated companies, their directors and employees are under no obligation to update or keep the information current. Also there may be regulatory, compliance, or other reasons that may prevent Angel Broking and affiliates from doing so. Prospective investors and others are cautioned that any forward-looking statements are not predictions and may be subject to change without notice. Angel Broking Limited and affiliates, including the analyst who has issued this report, may, on the date of this report, and from time to time, have long or short positions in, and buy or sell the securities of the companies mentioned herein or engage in any other transaction involving such securities and earn brokerage or compensation or act as advisor or have other potential conflict of interest with respect to company/ies mentioned herein or inconsistent with any recommendation and related information and opinions. Angel Broking Limited and affiliates may seek to provide or have engaged in providing corporate finance, investment banking or other advisory services in a merger or specific transaction to the companies referred to in this report, as on the date of this report or in the past. Sebi Registration No.: INB 010996539 Derivative Research Team derivatives.desk@angeltrade.com For Private Circulation Only SEBI Registration No: INB 010996539 3