Your SlideShare is downloading. ×
Smc global derivative report 24 10-2013
Smc global derivative report 24 10-2013
Smc global derivative report 24 10-2013
Smc global derivative report 24 10-2013
Upcoming SlideShare
Loading in...5
×

Thanks for flagging this SlideShare!

Oops! An error has occurred.

×
Saving this for later? Get the SlideShare app to save on your phone or tablet. Read anywhere, anytime – even offline.
Text the download link to your phone
Standard text messaging rates apply

Smc global derivative report 24 10-2013

72

Published on

Derivatives Research is a daily futures and options market report, which provides derivative market information along with the technical recommendation, outlook for the market and short term trading …

Derivatives Research is a daily futures and options market report, which provides derivative market information along with the technical recommendation, outlook for the market and short term trading strategies in indices and individual stocks. This report aims to target the F/O traders, who aim to earn from the short term market fluctuations.

Published in: Business, Economy & Finance
0 Comments
0 Likes
Statistics
Notes
  • Be the first to comment

  • Be the first to like this

No Downloads
Views
Total Views
72
On Slideshare
0
From Embeds
0
Number of Embeds
0
Actions
Shares
0
Downloads
1
Comments
0
Likes
0
Embeds 0
No embeds

Report content
Flagged as inappropriate Flag as inappropriate
Flag as inappropriate

Select your reason for flagging this presentation as inappropriate.

Cancel
No notes for slide

Transcript

  • 1. NIFTY SNAPSHOT 24.10.2013 Nifty Spot Nifty Oct Nifty Nov Chg. OI (Oct) (%) Chg. OI (Nov) (%) Implied Volatility (%) Nifty Support Nifty Resistance 50 Day EMA 100 Day EMA 200 Day EMA Put-Call Ratio Historical Volatility (%) Volatility Index CURRENT 6178.35 6190.30 6240.00 -3.85 15.02 19.47 6120 6300 5772 5804 5850 1.56 25.09 20.35 PREVIOUS 6202.80 6222.65 6273.1 -1.17 15.88 18.75 6150 6300 5759 5803 5850 1.57 25.75 19.96 NIFTY STRATEGY We recommend the following trading strategy: Buy 1 Lot Oct Month Nifty 6200 CE around 56. Sell 1 Lot Oct Month Nifty 6300 CE around 20. Strategy Stop Loss: 20 (6200CE-6300CE) Lot size: 50 Max Profit: 3200 (64*50) Max Loss: 1800 (36*50) NIFTY-TECHNICAL OUTLOOK Today the markets are likely open on flat note. All emerging markets are trading in red. The coming session is likely to witness a range of 6120 on declines and 6300 on advances. WORLD MARKET COMMENTARY In last session all leading American indices like Dow Jones Industrial Average, NASDAQ index and the S&P 500 (SPX) ended in red. Dow was down by 0.35% and closed at 15413; S&P 500 was shed by 0.47% at 1746. European indices ended in red. FTSE was down by 0.32%, DAX shed by 0.31% & CAC 40 was down by 0.81%. Today major stock markets in Asia are trading in red. Shanghai Composite is down by 0.48% at 2173 and Hang Seng is down by 0.76% at 22826. Japan’s Nikkei is down by 0.42% at 14366 and Singapore’s Straits Times down by 0.06% at 3203. Singapore Nifty future is currently up by 7 point at 6198. SECURITY IN BAN PERIOD No Security is in ban period for trade date Oct 24, 2013 F&O segment.
  • 2. FII’S ACTIVITY IN F&O IN LAST TEN SESSIONS (DERIVATIVE SEGMENT) 871.39 1000.00 FII’S ACTIVITY IN F&O IN LAST SESSION (DERIVATIVE SEGMENT) 743.70 692.66 431.60 500.00 0.00 -503.26 -1000.00 -851.72 Buy 50.55% Sell 49.45% -188.49 -500.00 -953.45 -881.24 -1500.00 -1591.45 23-Oct 22-Oct 21-Oct 18-OCt 17-Oct 15-Oct 14-Oct 11-Oct NIFTY TOTAL OPEN INTEREST Call 38.85 NIFTY CHANGE IN OPEN INTREST Call  FII’s are net buyer in (F&O segment) last Put session by INR 692.66 crores.  Nifty Oct futures closed at a premium of 1500000 11.95 points. 1000000  Maximum Call for Oct month stands at the 500000 levels of 6300. 0  Maximum Put for Oct month stands at the levels of 5700. -500000  Nifty is down by 0.39% and open interest 6400 6300 6200 6100 6000 5900 5800 5700 5600 5300 -1000000 shed by 3.85%. 6400 6300 6200 23-oCT 22-Oct 21-Oct 18-Oct 17-Oct 15-OCt 14-Oct 11-Oct 10-Oct 11.95 6100 21.2 19.85 5800 21.1 5700 25.15 21.6 Put 7000000 6000000 5000000 4000000 3000000 2000000 1000000 0 5600 30.65 5500 34.3 5400 41.05 09-Oct 45 40 35 30 25 20 15 10 5 0 6000 BASIS GAP IN NIFTY 5900 10-Oct 09-Oct -2000.00
  • 3. REC0MMENDATIONS: SBIN View: Bullish CMP: 1724.00 On the daily chart, stock is trading above 20 days moving average. Momentum oscillators are neutral to positive. We recommend to: Buy Oct 1750 Call Above 30.00 Target: 38.00 Stop Loss: 26.00 Lot size: 125 BIOCON View: Bullish CMP: 340.10 On the daily chart, stock tests 20 days moving average support. Momentum oscillators are neutral to positive. We recommend to: Buy Oct 340 Call Above 10.00 Target: 14.00 Stop Loss: 7.50 Lot size: 1000 M&M View: Bearish CMP: 867.50 On the daily chart, stock shows weakness against the market. Momentum oscillators are neutral to negative. We recommend to: Buy Oct 860 Put Above 14.00 Target: 20.00 Stop Loss: 10.00 Lot size: 250
  • 4. For Any Query or Suggestions email at researchfeedback@smcindiaonline.com Analyst Dhirender Singh Bisht Boardline : 011-30111000 Extn.649 dhirenderbisht@smcindiaonline.com Disclaimer : This report is for the personal information of the authorized recipient and doesn’t construe to be any investment, legal or taxation advice to you. It is only for private circulation and use .The report is based upon information that we consider reliable, but we do not represent that it is accurate or complete, and it should not be relied upon as such. No action is solicited on the basis of the contents of the report. The report should not be reproduced or redistributed to any other person(s)in any form without prior written permission of the SMC. The contents of this material are general and are neither comprehensive nor inclusive. Neither SMC nor any of its affiliates, associates, representatives, directors or employees shall be responsible for any loss or damage that may arise to any person due to any action taken on the basis of this report. It does not constitute personal recommendations or take into account the particular investment objectives, financial situations or needs of an individual client or a corporate/s or any entity/s. All investments involve risk and past performance doesn’t guarantee future results. The value of, and income from investments may vary because of the changes in the macro and micro factors given at a certain period of time. The person should use his/her own judgment while taking investment decisions. Please note that we and our affiliates, officers, directors, and employees, including persons involved in the preparation or issuance if this material;(a) from time to time, may have long or short positions in, and buy or sell the securities thereof, of company (ies) mentioned here in or (b) be engaged in any other transaction involving such securities and earn brokerage or other compensation or act as a market maker in the financial instruments of the company (ies) discussed herein or may perform or seek to perform investment banking services for such company(ies) or act as advisor or lender/borrower to such company(ies) or (c) may have any other potential conflict of interest with respect to any recommendation and related information and opinions. All disputes shall be subject to the exclusive jurisdiction of Delhi High court.

×