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Derivative Report
India Research
Oct 28, 2010
SEBI Registration No: INB 010996539 For Private Circulation Only 1
Comments
 The Nifty futures’ open interest increased by 1.70%
while Minifty futures’ open interest increased by 7.71%
as market closed at 6012.65 levels.
 The Nifty Oct future closed at a premium of 24.85
points, against a premium of 26.25 points in the last
trading session. On the other hand, Nov future closed
at a premium of 54.95 points.
 The PCR-OI decreased from 1.22 to 1.18 points.
 The Implied volatility of At-the-money options for
October series increased from 17.75% to 22.00%,
while for November series, it increased from
19.00% to 19.75%.
 The total OI of the market is `1,98,928cr and the
stock futures OI is `55,439cr.
 Rollover for Nifty futures is 53.19%, Minifty futures is
45.69%, while market-wide rollover is 60.41%.
Nifty Vs OI
OI Gainers
SCRIP OI
OI
CHANGE
(%)
PRICE
PRICE
CHANGE
(%)
ONMOBILE 1060000 24.56 330.40 -6.20
KOTAKBANK 4818000 15.43 480.10 -2.44
SYNDIBANK 10324000 14.92 143.35 0.84
BANKBARODA 2181000 13.68 991.30 1.20
HINDUNILVR 15252000 12.77 293.00 -1.76
Put-Call Ratio
SCRIP PCR-OI PCR-VOL
NIFTY 1.18 0.96
RELIANCE 0.58 0.30
TATASTEEL 0.22 0.43
INFOSYSTCH 0.19 0.56
SBIN 0.56 0.62
View
 FIIs have formed some short positions in the Index
futures and unwound some of their longs in the
stock futures.
 Yesterday, build up was observed in the 6000 and
6100 call option, and the 5900 and 6000 put
options of Oct series. In Nov. expiry most of the call
and put options added significant open interest.
The 6200 call and 5800 put options have highest
open interest in new series.
 In new series less rollover, in the Index futures as
well as market wide, was observed till now. Few
large cap stocks where rollover is less are
HDFCBANK, GAIL, SAIL, LT and ITC.
 After continuous short formations from higher levels
some unwinding was observed in NATIONALUM
yesterday. Stock has strong support around current
levels. It is advisable to trade with bias in the Nov.
series around `396 for the target of `415 with a
stop loss of `388.
 Traders can trade with negative bias in GRASIM for
the target of `2210 with a stop loss of `2310, as
stock is showing further weakness in it.
Historical Volatility
SCRIP HV
UNIONBANK 44.85
ASIANPAINT 26.69
ONMOBILE 52.99
NTPC 27.30
SRTRANSFIN 34.73
OI Losers
SCRIP OI
OI
CHANGE
(%)
PRICE
PRICE
CHANGE
(%)
CHAMBLFERT 18760000 -18.68 82.10 -5.14
STER 19886000 -17.11 172.80 0.35
ICSA 3220000 -15.66 133.60 1.21
SRTRANSFIN 284500 -15.33 810.15 4.26
HEXAWARE 3680000 -13.45 86.05 2.38
Derivative Report | India Research
For Private Circulation Only SEBI Registration No: INB 010996539 2
FII Statistics for 27-Oct-2010
Detail Buy Sell Net
Open Interest
Contracts Value Change
(Rs. in cr.) (%)
INDEX
FUTURES
7480.74 7852.85 (372.11) 668550 20226.85 3.06
INDEX
OPTIONS
10931.76 10177.51 754.25 2125413 63897.24 0.15
STOCK
FUTURES
9886.94 10358.63 (471.69) 1497776 45385.59 -0.46
STOCK
OPTIONS
369.29 390.76 (21.47) 37932 1238.94 -6.03
TOTAL 28668.73 28779.75 (111.02) 4329671 130748.61 0.31
Turnover on 27-Oct-2010
Instrument
No. of
Contracts
Turnover
(Rs. in cr.)
Change
(%)
Index Futures 976391 28573.78 37.52
Stock Futures 1412330 46787.74 15.79
Index Options 4113242 125320.97 60.27
Stock Options 164467 5885 17.08
Total 6666430 206567.49 43.05
Nifty Spot = 6012.65 Lot Size = 50
Bull-Call Spreads Bear-Put Spreads
Action Strike Price Risk Reward BEP Action Strike Price Risk Reward BEP
Buy 6100 117.35
41.65 58.35 6141.65
Buy 6000 107.05
33.95 66.05 5966.05
Sell 6200 75.70 Sell 5900 73.10
Buy 6100 117.35
72.65 127.35 6172.65
Buy 6000 107.05
57.90 142.10 5942.10
Sell 6300 44.70 Sell 5800 49.15
Buy 6200 75.70
31.00 69.00 6231.00
Buy 5900 73.10
23.95 76.05 5876.05
Sell 6300 44.70 Sell 5800 49.15
Note: Above mentioned Bullish or Bearish Spreads in Nifty (November Series) are given as an information and not as a recommendation
Nifty Put-Call Analysis
Derivative Report | India Research
For Private Circulation Only SEBI Registration No: INB 010996539 3
Strategy Date Scrip Strategy Status
04-Oct-10 JPASSOCIAT Bull Call Spread Continue
11-Oct-10 RELIANCE Long Call Profit booked on 25-Oct-10
18-Oct-10 NIFTY Long Call Ladder Continue
18-Oct-10 CAIRN Short Straddle Continue
25-Oct-10 TATASTEEL Long Call Call not triggered
DISCLAIMER
This document is solely for the personal information of the recipient, and must not be singularly used as the basis of any investment
decision. Nothing in this document should be construed as investment or financial advice. Each recipient of this document should
make such investigations as they deem necessary to arrive at an independent evaluation of an investment in the securities of the
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.
Angel Broking Limited, its affiliates, directors, its proprietary trading and investment businesses may, from time to time, make
investment decisions that are inconsistent with or contradictory to the recommendations expressed herein. The views contained in this
document are those of the analyst, and the company may or may not subscribe to all the views expressed within.
Reports based on technical and derivative analysis center on studying charts of a stock's price movement, outstanding positions 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.
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, but we do not represent that it is accurate or complete and it should not be relied on as such, as this
document is for general guidance only. Angel Broking or any of its affiliates/ group companies shall not be in any way responsible
for any loss or damage that may arise to any person from any inadvertent error in the information contained in this report. Angel
Broking Limited has not independently verified all the information contained within this document. Accordingly, we cannot testify, nor
make any representation or warranty, express or implied, to the accuracy, contents or data contained within this document. While
Angel Broking Limited endeavours 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.
This document is being supplied to you solely for your information, and its contents, information or data may not be reproduced,
redistributed or passed on, directly or indirectly.
Angel Broking Limited and its 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.
Neither Angel Broking Limited, nor its directors, employees or affiliates shall be liable for any loss or damage that may arise from or
in connection with the use of this information.
Note: Please refer to the important `Stock Holding Disclosure' report on the Angel website (Research Section).
Derivative Research Team derivatives.desk@angeltrade.com

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Derivatives report 28 oct-2010

  • 1. Derivative Report India Research Oct 28, 2010 SEBI Registration No: INB 010996539 For Private Circulation Only 1 Comments  The Nifty futures’ open interest increased by 1.70% while Minifty futures’ open interest increased by 7.71% as market closed at 6012.65 levels.  The Nifty Oct future closed at a premium of 24.85 points, against a premium of 26.25 points in the last trading session. On the other hand, Nov future closed at a premium of 54.95 points.  The PCR-OI decreased from 1.22 to 1.18 points.  The Implied volatility of At-the-money options for October series increased from 17.75% to 22.00%, while for November series, it increased from 19.00% to 19.75%.  The total OI of the market is `1,98,928cr and the stock futures OI is `55,439cr.  Rollover for Nifty futures is 53.19%, Minifty futures is 45.69%, while market-wide rollover is 60.41%. Nifty Vs OI OI Gainers SCRIP OI OI CHANGE (%) PRICE PRICE CHANGE (%) ONMOBILE 1060000 24.56 330.40 -6.20 KOTAKBANK 4818000 15.43 480.10 -2.44 SYNDIBANK 10324000 14.92 143.35 0.84 BANKBARODA 2181000 13.68 991.30 1.20 HINDUNILVR 15252000 12.77 293.00 -1.76 Put-Call Ratio SCRIP PCR-OI PCR-VOL NIFTY 1.18 0.96 RELIANCE 0.58 0.30 TATASTEEL 0.22 0.43 INFOSYSTCH 0.19 0.56 SBIN 0.56 0.62 View  FIIs have formed some short positions in the Index futures and unwound some of their longs in the stock futures.  Yesterday, build up was observed in the 6000 and 6100 call option, and the 5900 and 6000 put options of Oct series. In Nov. expiry most of the call and put options added significant open interest. The 6200 call and 5800 put options have highest open interest in new series.  In new series less rollover, in the Index futures as well as market wide, was observed till now. Few large cap stocks where rollover is less are HDFCBANK, GAIL, SAIL, LT and ITC.  After continuous short formations from higher levels some unwinding was observed in NATIONALUM yesterday. Stock has strong support around current levels. It is advisable to trade with bias in the Nov. series around `396 for the target of `415 with a stop loss of `388.  Traders can trade with negative bias in GRASIM for the target of `2210 with a stop loss of `2310, as stock is showing further weakness in it. Historical Volatility SCRIP HV UNIONBANK 44.85 ASIANPAINT 26.69 ONMOBILE 52.99 NTPC 27.30 SRTRANSFIN 34.73 OI Losers SCRIP OI OI CHANGE (%) PRICE PRICE CHANGE (%) CHAMBLFERT 18760000 -18.68 82.10 -5.14 STER 19886000 -17.11 172.80 0.35 ICSA 3220000 -15.66 133.60 1.21 SRTRANSFIN 284500 -15.33 810.15 4.26 HEXAWARE 3680000 -13.45 86.05 2.38
  • 2. Derivative Report | India Research For Private Circulation Only SEBI Registration No: INB 010996539 2 FII Statistics for 27-Oct-2010 Detail Buy Sell Net Open Interest Contracts Value Change (Rs. in cr.) (%) INDEX FUTURES 7480.74 7852.85 (372.11) 668550 20226.85 3.06 INDEX OPTIONS 10931.76 10177.51 754.25 2125413 63897.24 0.15 STOCK FUTURES 9886.94 10358.63 (471.69) 1497776 45385.59 -0.46 STOCK OPTIONS 369.29 390.76 (21.47) 37932 1238.94 -6.03 TOTAL 28668.73 28779.75 (111.02) 4329671 130748.61 0.31 Turnover on 27-Oct-2010 Instrument No. of Contracts Turnover (Rs. in cr.) Change (%) Index Futures 976391 28573.78 37.52 Stock Futures 1412330 46787.74 15.79 Index Options 4113242 125320.97 60.27 Stock Options 164467 5885 17.08 Total 6666430 206567.49 43.05 Nifty Spot = 6012.65 Lot Size = 50 Bull-Call Spreads Bear-Put Spreads Action Strike Price Risk Reward BEP Action Strike Price Risk Reward BEP Buy 6100 117.35 41.65 58.35 6141.65 Buy 6000 107.05 33.95 66.05 5966.05 Sell 6200 75.70 Sell 5900 73.10 Buy 6100 117.35 72.65 127.35 6172.65 Buy 6000 107.05 57.90 142.10 5942.10 Sell 6300 44.70 Sell 5800 49.15 Buy 6200 75.70 31.00 69.00 6231.00 Buy 5900 73.10 23.95 76.05 5876.05 Sell 6300 44.70 Sell 5800 49.15 Note: Above mentioned Bullish or Bearish Spreads in Nifty (November Series) are given as an information and not as a recommendation Nifty Put-Call Analysis
  • 3. Derivative Report | India Research For Private Circulation Only SEBI Registration No: INB 010996539 3 Strategy Date Scrip Strategy Status 04-Oct-10 JPASSOCIAT Bull Call Spread Continue 11-Oct-10 RELIANCE Long Call Profit booked on 25-Oct-10 18-Oct-10 NIFTY Long Call Ladder Continue 18-Oct-10 CAIRN Short Straddle Continue 25-Oct-10 TATASTEEL Long Call Call not triggered DISCLAIMER This document is solely for the personal information of the recipient, and must not be singularly used as the basis of any investment decision. Nothing in this document should be construed as investment or financial advice. Each recipient of this document should make such investigations as they deem necessary to arrive at an independent evaluation of an investment in the securities of the 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. Angel Broking Limited, its affiliates, directors, its proprietary trading and investment businesses may, from time to time, make investment decisions that are inconsistent with or contradictory to the recommendations expressed herein. The views contained in this document are those of the analyst, and the company may or may not subscribe to all the views expressed within. Reports based on technical and derivative analysis center on studying charts of a stock's price movement, outstanding positions 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. 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, but we do not represent that it is accurate or complete and it should not be relied on as such, as this document is for general guidance only. Angel Broking or any of its affiliates/ group companies shall not be in any way responsible for any loss or damage that may arise to any person from any inadvertent error in the information contained in this report. Angel Broking Limited has not independently verified all the information contained within this document. Accordingly, we cannot testify, nor make any representation or warranty, express or implied, to the accuracy, contents or data contained within this document. While Angel Broking Limited endeavours 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. This document is being supplied to you solely for your information, and its contents, information or data may not be reproduced, redistributed or passed on, directly or indirectly. Angel Broking Limited and its 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. Neither Angel Broking Limited, nor its directors, employees or affiliates shall be liable for any loss or damage that may arise from or in connection with the use of this information. Note: Please refer to the important `Stock Holding Disclosure' report on the Angel website (Research Section). Derivative Research Team derivatives.desk@angeltrade.com