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WEEKLY REPORT
11TH NOV - 15TH NOV
Trade House 426 Alok Nagar, Kanadia Main Road Near Bangali Square
Indore-452001 (M.P.) India Mobile :+91-9039261444
E-mail: info@tradenivesh.in
11TH NOVEMBER–15TH NOVEMBER
61.34 61.34
WEEKLY REPORT
11TH NOV - 15TH NOV
MARKET SUMMARY
 Sensex closed 330.13 points or 0.81% in the red at 40323.61, and the Nif-
ty closed 103.80 points lower or 0.86% at 11908.20. YES Bank, IndusInd
Bank and ICICI Bank were the top gainers while Sun Pharma, Vedanta
and ONGC were the top drags.
 On the economy front, Moody’s downgraded India’s rating to negative
from stable, noting slowdown in the economy. FPIs bought equities worth
USD 782 million over the past five trading sessions while DIIs sold USD 563
million worth of equities in the same period. Market sentiment is positive
but valuations of large caps are almost fair.
INDIAN SECTORIAL INDICES
INDICES
CHANGE
(weekly)
% CHANGE
(weekly)
NIFTY500 9,683.30 -0.24%
NIFTY NEXT 50 28,387.25 -1.02%
NIFTY MID100 16,713.35 -0.92%
NIFTY IT 15,383.30 -0.64%
NIFTY 100 12,044.85 -0.08%
NIFTY BANK 30,749.40 1.27%
NIFTY REALTY 281.05 3.82%
NIFTY INFRA 3,254.60 -1.49%
NIFTY ENERGY 15,911.00 -2.93%
NIFTY MIDCAP 50 4,595.65 -1.31%
INDICES VALUE CHANGE (weekly)
% CHANGE
(weekly)
NIFTY 11908.2 17.6 0.15%
SENSEX 40323.61 158.58 0.39%
BANK NIFTY 30749.4 418.9 1.38%
INDIAN MARKETS
WEEKLY REPORT
11TH NOV - 15TH NOV
Losers of the Week
Symbol CMP % change
Titan Company 1,156.75 -11.15
Hind. Petrol 293.95 -8.41
Zee Entertainment
En
287.5 -7.11
Indian Oil Corp 134.05 -6.03
Gainers of the Week
Symbol CMP % change
Bharti Infratel
Ltd.
218.3 7.83
ICICI Bank 489.45 5.88
JSW Steel 250 5.22
Hindalco Indus. 203.85 5.21
GLOBAL INDICES WEEKLY
United States
DJIA S&P 500 NASDAQ
27,681.24 (1.22%) 3,093.08 (0.85%) 8,475.31(1.06%)
European
CAC 40 DAX FTSE 100
5889.7(2.22%) 13,228.56 (2.06%) 7,359.38(0.78%)
Asian
NIKKEI HANG SENG SHANGHAI COM.
23,391.87 (2.37%) 27,651.14 (2.03%) 2,964.18 (0.20%)
MOVERS & SHAKERS LAST WEEK
INDIAN CURRENCY WEEKLY
USD-INR EUR-INR GBP-INR JPY-INR USD INDEX
71.38 (0.96%) 78.65 (-0.62%) 91.18 (-0.36%) 65.33 (-0.02%) 98.218
(1.24%)
WEEKLY REPORT
11TH NOV - 15TH NOV
TECHNICAL VIEW NIFTY FUTURE
NIFTY FUTURE: ITS UP TREND AND IN WEEKLY CHARTS A ROUNDING BOTTOM BREAKOUT GIVES UPPER SIDE RESITANCE LEVEL 12000
AND DOWN SIDE MAJORS SUPPORT LEVEL 11500 THE RANGE BETWEEN 12250-11500, AND IN DAILY CHARTS FLAG PATTERN
BREAKOUT 11800, RSI GIVES BUY SIGNALS
BUY NIFTY IN FUTURE ABOVE 12000 TGT 12400/12900 SL BELOW 11470
NIFTY WEEKLY OUTLOOK
WEEKLY
R3 12,331.68
R2 12,147.78
R1 12,042.67
Pivot 11,963.88
S1 11,858.77
S2 11,779.98
S3 11,596.08
WEEKLY
CLOSE 11937.55
OPEN 11950.30
HIGH 12069.00
LOW 11885.10
CHANGE 2.55
%
CHANGE
0.02%
WEEKLY REPORT
11TH NOV - 15TH NOV
TECHNICAL VIEW
BANK NIFTY : ITS UP TREND AND IN WEEKLY CHARTS DOUBLE BOTTOM PATTERN FOMRED BREAKOUT GIVEN AND IN DAILY CHARTS
BULLISH FLAGS PATTREN IS FORMED BREAKOUT GIVEN AND UPPER RESISTANCE LEVEL 31000 IN DOWN SIDE MAJOR SUPPORT LEV-
EL IS 30000 , BULLISH TREND REMAIN CONTIONOUS ,RSI GIVES BUY SIGNALS.
BUY BANK NIFTY IN FUTRE ABOVE 30800 TGT 31400/32000 SL BELOW 29900
.
NIFTY BANK WEEKLY OUTLOOK
WEEKLY
R3 32,733.70
R2 31,689.80
R1 31,237.00
Pivot 30,645.90
S1 30,193.10
S2 29,602.00
S3 28,558.10
WEEKLY
CLOSE 30784.20
OPEN 30422.70
HIGH 31098.70
LOW 30054.80
CHANGE 376.2
%
CHANGE
1.24%
WEEKLY REPORT
11TH NOV - 15TH NOV
TECHNICAL VIEW
YESBANK FUTURE : IN STRONG UP TREND AND IN WEEKLY CHARTS BULLISH WIDE RANGE PATTERN AND ROUNDING BOTTOM PAT-
TERN IS FORMED BREAKOUT LEVEL 72 FORMED AND DAILY CHARTS RANGE BREAKOUT GIVES AND UPPER SIDE STRONGE RESISTANCE
BREAKOUT LEVEL 72. AND Stochastic ALSO GIVES BUY SINGNALS.
BUY YESBANK IN FUTURE ABOVE 70 TGT 74.50/80 SL BELOW 64
WEEKLY RECOMMENDATIONS YESBANK FUTURE BUY
WEEKLY
R3 97.60
R2 82.00
R1 75.95
Pivot 66.40
S1 60.35
S2 50.80
S3 35.20
WEEKLY
CLOSE 69.90
OPEN 59.85
HIGH 72.45
LOW 56.85
CHANGE 3.8
%
CHANGE
5.75%
WEEKLY REPORT
11TH NOV - 15TH NOV
AXISBANK FUTURE
AXISBANK FUTURE :IN WEEKLY CHARTS BULLISH DARK CLOUD COVER BEARISH REVERSAL CANDELSTRICK PATTERN FORMED AND DAI-
LY CHARTS DOUBLE TOP BREAKOUT GIVEN AND DOWN SIDES STRONGE SUPPORT LEVEL BREAKOUT LEVEL 725 . AND Stochastic ALSO
GIVES SELL SINGNALS.
SELL AXISBANK IN FUTURE BELOW TGT 725 TGT 711/690 SL BELOW 740
WEEKLY RECOMMENDATIONS AXISBANK FUTURE BUY
WEEKLY
R3 799.42
R2 768.27
R1 748.38
Pivot 737.12
S1 717.23
S2 705.97
S3 674.82
WEEKLY
CLOSE 728.50
OPEN 757.00
HIGH 757.00
LOW 725.85
CHANGE -21.1
%
CHANGE
-2.81%
WEEKLY REPORT
11TH NOV - 15TH NOV
TECHNICAL VIEW
YESBANK LTD :IN STRONG UP TREND AND IN WEEKLY CHARTS BULLISH WIDE RANGE PATTERN AND ROUNDING BOTTOM PATTERN
IS FORMED BREAKOUT LEVEL 72 FORMED AND DAILY CHARTS RANGE BREAKOUT GIVES AND UPPER SIDE STRONGE RESISTANCE
BREAKOUT LEVEL 72. AND Stochastic ALSO GIVES BUY SINGNALS.
BUY YESBANK IN CASH ABOVE 70 TGT 74.50/80 SL BELOW 64
OUR WEEKLY RECOMMENDATIONS YESBANK LTD
WEEKLY
R3 96.63
R2 81.48
R1 75.57
Pivot 66.33
S1 60.42
S2 51.18
S3 36.03
WEEKLY
CLOSE 69.65
OPEN 57.25
HIGH 72.25
LOW 57.10
CHANGE 3.55
%
CHANGE
5.37%
WEEKLY REPORT
11TH NOV - 15TH NOV
TECHNICAL VIEW
WOCKPHARMA LTD : IN WEEKLY CHARTS IS THE UP TREND IS REVERSE FORMED UPPER RESISTANCE LEVEL 310 AND SHOOTING STAR IS
FORMED A REVERSE CANDELSTRICK PATTERN FOMRED AND MAJOR SUPPORT LEVEL 280, AND Stochastic ALSO GIVES SELL SINGNALS.
SELL WOCKPHARMA IN CASH BELOW 285 TGT 276/263 SL ABOVE 298
WEEKLY RECOMMENDATIONS WOCKPHARMA LTD (CASH)
WEEKLY
R3 350.70
R2 322.20
R1 304.10
Pivot 293.70
S1 275.60
S2 265.20
S3 236.70
WEEKLY
CLOSE 286.00
OPEN 289.30
HIGH 311.80
LOW 283.30
CHANGE -1
%
CHANGE
-0.35%
WEEKLY REPORT
11TH NOV - 15TH NOV
 Ashok Leyland Q2: Net profit went down 92.6 percent at Rs 38.9 crore against Rs 527.7 crore YoY. Revenue fell 48.4 per-
cent at Rs 3,929.5 crore against Rs 7,621.1 crore YoY. EBITDA sent down 72.4 percent at Rs 228.6 crore against Rs 829.1
crore YoY.
 Magma Fincorp Q2: Consolidated net profit went down 61.4 percent at Rs 29.5 crore against Rs 76.6 crore YoY. Consoli-
dated revenue grew 6.4 percent at Rs 663 crore against Rs 622.6 crore YoY.
 Novartis India Q2: Net loss at Rs 5.2 crore against Rs 9.4 crore YoY. Revenue went up 10.5 percent at Rs 118 crore against
Rs 106.6 crore YoY.
 Aditya Birla Capital Q2: Net profit went up 37 percent at Rs 256 crore against Rs 186 crore YoY. Revenue went up 8 per-
cent at Rs 4,299 crore against Rs 3,978 crore YoY.
 Moody's cuts outlook on 6 Indian financial companies: Moody's cuts outlook on 6 Indian financial companies to nega-
tive from stable: Moody's revised outlook of EXIM India, HDFC Bank, HUDCO and State Bank of India to negative. Out-
look on Bank of India, Canara Bank, Syndicate Bank and Union Bank maintained at stable.
 Eicher Motors Q2 net profit jumps 18.5% YoY to Rs 570.5 crore=Eicher Motors posted an 18.5 percent year-on-year
jump in its second quarter (July-September) net profit at Rs 570.5 crore. Revenue fell 9.2 percent to Rs 2,181.9 crore. Earn-
ings before interest, tax, depreciation and amortisation (EBITDA) fell 25.8 percent to Rs 546.1 crore, while EBITDA margin
dipped 550 bps to 25.1 percent.
STOCKS IN NEWS
WEEKLY REPORT
11TH NOV - 15TH NOV
WEEKLY PIVOT TABLE
WEEKLY REPORT
11TH NOV - 15TH NOV
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.
Reports based on technical and derivative analysis center on studying charts of a stock's price movement, outstanding posi-
tions and trading volume. 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. Trade Nivesh shall not be in any way respon-
sible for any loss or damage that may arise to any person from any inadvertent error in the information contained in this
report. Trade Nivesh 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 Trade Nivesh endeavors to update on a reasonable basis the information discussed in this ma-
terial, there may be regulatory, compliance, or other reasons that prevent us from doing so.
Investment in equity & Commodity market has its own risks. We Trade Nivesh shall not be liable or responsible for any
loss or damage that may arise from the use of this information.
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Equity weekly report 11 nov -15 nov

  • 1. WEEKLY REPORT 11TH NOV - 15TH NOV Trade House 426 Alok Nagar, Kanadia Main Road Near Bangali Square Indore-452001 (M.P.) India Mobile :+91-9039261444 E-mail: info@tradenivesh.in 11TH NOVEMBER–15TH NOVEMBER 61.34 61.34
  • 2. WEEKLY REPORT 11TH NOV - 15TH NOV MARKET SUMMARY  Sensex closed 330.13 points or 0.81% in the red at 40323.61, and the Nif- ty closed 103.80 points lower or 0.86% at 11908.20. YES Bank, IndusInd Bank and ICICI Bank were the top gainers while Sun Pharma, Vedanta and ONGC were the top drags.  On the economy front, Moody’s downgraded India’s rating to negative from stable, noting slowdown in the economy. FPIs bought equities worth USD 782 million over the past five trading sessions while DIIs sold USD 563 million worth of equities in the same period. Market sentiment is positive but valuations of large caps are almost fair. INDIAN SECTORIAL INDICES INDICES CHANGE (weekly) % CHANGE (weekly) NIFTY500 9,683.30 -0.24% NIFTY NEXT 50 28,387.25 -1.02% NIFTY MID100 16,713.35 -0.92% NIFTY IT 15,383.30 -0.64% NIFTY 100 12,044.85 -0.08% NIFTY BANK 30,749.40 1.27% NIFTY REALTY 281.05 3.82% NIFTY INFRA 3,254.60 -1.49% NIFTY ENERGY 15,911.00 -2.93% NIFTY MIDCAP 50 4,595.65 -1.31% INDICES VALUE CHANGE (weekly) % CHANGE (weekly) NIFTY 11908.2 17.6 0.15% SENSEX 40323.61 158.58 0.39% BANK NIFTY 30749.4 418.9 1.38% INDIAN MARKETS
  • 3. WEEKLY REPORT 11TH NOV - 15TH NOV Losers of the Week Symbol CMP % change Titan Company 1,156.75 -11.15 Hind. Petrol 293.95 -8.41 Zee Entertainment En 287.5 -7.11 Indian Oil Corp 134.05 -6.03 Gainers of the Week Symbol CMP % change Bharti Infratel Ltd. 218.3 7.83 ICICI Bank 489.45 5.88 JSW Steel 250 5.22 Hindalco Indus. 203.85 5.21 GLOBAL INDICES WEEKLY United States DJIA S&P 500 NASDAQ 27,681.24 (1.22%) 3,093.08 (0.85%) 8,475.31(1.06%) European CAC 40 DAX FTSE 100 5889.7(2.22%) 13,228.56 (2.06%) 7,359.38(0.78%) Asian NIKKEI HANG SENG SHANGHAI COM. 23,391.87 (2.37%) 27,651.14 (2.03%) 2,964.18 (0.20%) MOVERS & SHAKERS LAST WEEK INDIAN CURRENCY WEEKLY USD-INR EUR-INR GBP-INR JPY-INR USD INDEX 71.38 (0.96%) 78.65 (-0.62%) 91.18 (-0.36%) 65.33 (-0.02%) 98.218 (1.24%)
  • 4. WEEKLY REPORT 11TH NOV - 15TH NOV TECHNICAL VIEW NIFTY FUTURE NIFTY FUTURE: ITS UP TREND AND IN WEEKLY CHARTS A ROUNDING BOTTOM BREAKOUT GIVES UPPER SIDE RESITANCE LEVEL 12000 AND DOWN SIDE MAJORS SUPPORT LEVEL 11500 THE RANGE BETWEEN 12250-11500, AND IN DAILY CHARTS FLAG PATTERN BREAKOUT 11800, RSI GIVES BUY SIGNALS BUY NIFTY IN FUTURE ABOVE 12000 TGT 12400/12900 SL BELOW 11470 NIFTY WEEKLY OUTLOOK WEEKLY R3 12,331.68 R2 12,147.78 R1 12,042.67 Pivot 11,963.88 S1 11,858.77 S2 11,779.98 S3 11,596.08 WEEKLY CLOSE 11937.55 OPEN 11950.30 HIGH 12069.00 LOW 11885.10 CHANGE 2.55 % CHANGE 0.02%
  • 5. WEEKLY REPORT 11TH NOV - 15TH NOV TECHNICAL VIEW BANK NIFTY : ITS UP TREND AND IN WEEKLY CHARTS DOUBLE BOTTOM PATTERN FOMRED BREAKOUT GIVEN AND IN DAILY CHARTS BULLISH FLAGS PATTREN IS FORMED BREAKOUT GIVEN AND UPPER RESISTANCE LEVEL 31000 IN DOWN SIDE MAJOR SUPPORT LEV- EL IS 30000 , BULLISH TREND REMAIN CONTIONOUS ,RSI GIVES BUY SIGNALS. BUY BANK NIFTY IN FUTRE ABOVE 30800 TGT 31400/32000 SL BELOW 29900 . NIFTY BANK WEEKLY OUTLOOK WEEKLY R3 32,733.70 R2 31,689.80 R1 31,237.00 Pivot 30,645.90 S1 30,193.10 S2 29,602.00 S3 28,558.10 WEEKLY CLOSE 30784.20 OPEN 30422.70 HIGH 31098.70 LOW 30054.80 CHANGE 376.2 % CHANGE 1.24%
  • 6. WEEKLY REPORT 11TH NOV - 15TH NOV TECHNICAL VIEW YESBANK FUTURE : IN STRONG UP TREND AND IN WEEKLY CHARTS BULLISH WIDE RANGE PATTERN AND ROUNDING BOTTOM PAT- TERN IS FORMED BREAKOUT LEVEL 72 FORMED AND DAILY CHARTS RANGE BREAKOUT GIVES AND UPPER SIDE STRONGE RESISTANCE BREAKOUT LEVEL 72. AND Stochastic ALSO GIVES BUY SINGNALS. BUY YESBANK IN FUTURE ABOVE 70 TGT 74.50/80 SL BELOW 64 WEEKLY RECOMMENDATIONS YESBANK FUTURE BUY WEEKLY R3 97.60 R2 82.00 R1 75.95 Pivot 66.40 S1 60.35 S2 50.80 S3 35.20 WEEKLY CLOSE 69.90 OPEN 59.85 HIGH 72.45 LOW 56.85 CHANGE 3.8 % CHANGE 5.75%
  • 7. WEEKLY REPORT 11TH NOV - 15TH NOV AXISBANK FUTURE AXISBANK FUTURE :IN WEEKLY CHARTS BULLISH DARK CLOUD COVER BEARISH REVERSAL CANDELSTRICK PATTERN FORMED AND DAI- LY CHARTS DOUBLE TOP BREAKOUT GIVEN AND DOWN SIDES STRONGE SUPPORT LEVEL BREAKOUT LEVEL 725 . AND Stochastic ALSO GIVES SELL SINGNALS. SELL AXISBANK IN FUTURE BELOW TGT 725 TGT 711/690 SL BELOW 740 WEEKLY RECOMMENDATIONS AXISBANK FUTURE BUY WEEKLY R3 799.42 R2 768.27 R1 748.38 Pivot 737.12 S1 717.23 S2 705.97 S3 674.82 WEEKLY CLOSE 728.50 OPEN 757.00 HIGH 757.00 LOW 725.85 CHANGE -21.1 % CHANGE -2.81%
  • 8. WEEKLY REPORT 11TH NOV - 15TH NOV TECHNICAL VIEW YESBANK LTD :IN STRONG UP TREND AND IN WEEKLY CHARTS BULLISH WIDE RANGE PATTERN AND ROUNDING BOTTOM PATTERN IS FORMED BREAKOUT LEVEL 72 FORMED AND DAILY CHARTS RANGE BREAKOUT GIVES AND UPPER SIDE STRONGE RESISTANCE BREAKOUT LEVEL 72. AND Stochastic ALSO GIVES BUY SINGNALS. BUY YESBANK IN CASH ABOVE 70 TGT 74.50/80 SL BELOW 64 OUR WEEKLY RECOMMENDATIONS YESBANK LTD WEEKLY R3 96.63 R2 81.48 R1 75.57 Pivot 66.33 S1 60.42 S2 51.18 S3 36.03 WEEKLY CLOSE 69.65 OPEN 57.25 HIGH 72.25 LOW 57.10 CHANGE 3.55 % CHANGE 5.37%
  • 9. WEEKLY REPORT 11TH NOV - 15TH NOV TECHNICAL VIEW WOCKPHARMA LTD : IN WEEKLY CHARTS IS THE UP TREND IS REVERSE FORMED UPPER RESISTANCE LEVEL 310 AND SHOOTING STAR IS FORMED A REVERSE CANDELSTRICK PATTERN FOMRED AND MAJOR SUPPORT LEVEL 280, AND Stochastic ALSO GIVES SELL SINGNALS. SELL WOCKPHARMA IN CASH BELOW 285 TGT 276/263 SL ABOVE 298 WEEKLY RECOMMENDATIONS WOCKPHARMA LTD (CASH) WEEKLY R3 350.70 R2 322.20 R1 304.10 Pivot 293.70 S1 275.60 S2 265.20 S3 236.70 WEEKLY CLOSE 286.00 OPEN 289.30 HIGH 311.80 LOW 283.30 CHANGE -1 % CHANGE -0.35%
  • 10. WEEKLY REPORT 11TH NOV - 15TH NOV  Ashok Leyland Q2: Net profit went down 92.6 percent at Rs 38.9 crore against Rs 527.7 crore YoY. Revenue fell 48.4 per- cent at Rs 3,929.5 crore against Rs 7,621.1 crore YoY. EBITDA sent down 72.4 percent at Rs 228.6 crore against Rs 829.1 crore YoY.  Magma Fincorp Q2: Consolidated net profit went down 61.4 percent at Rs 29.5 crore against Rs 76.6 crore YoY. Consoli- dated revenue grew 6.4 percent at Rs 663 crore against Rs 622.6 crore YoY.  Novartis India Q2: Net loss at Rs 5.2 crore against Rs 9.4 crore YoY. Revenue went up 10.5 percent at Rs 118 crore against Rs 106.6 crore YoY.  Aditya Birla Capital Q2: Net profit went up 37 percent at Rs 256 crore against Rs 186 crore YoY. Revenue went up 8 per- cent at Rs 4,299 crore against Rs 3,978 crore YoY.  Moody's cuts outlook on 6 Indian financial companies: Moody's cuts outlook on 6 Indian financial companies to nega- tive from stable: Moody's revised outlook of EXIM India, HDFC Bank, HUDCO and State Bank of India to negative. Out- look on Bank of India, Canara Bank, Syndicate Bank and Union Bank maintained at stable.  Eicher Motors Q2 net profit jumps 18.5% YoY to Rs 570.5 crore=Eicher Motors posted an 18.5 percent year-on-year jump in its second quarter (July-September) net profit at Rs 570.5 crore. Revenue fell 9.2 percent to Rs 2,181.9 crore. Earn- ings before interest, tax, depreciation and amortisation (EBITDA) fell 25.8 percent to Rs 546.1 crore, while EBITDA margin dipped 550 bps to 25.1 percent. STOCKS IN NEWS
  • 11. WEEKLY REPORT 11TH NOV - 15TH NOV WEEKLY PIVOT TABLE
  • 12. WEEKLY REPORT 11TH NOV - 15TH NOV 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. Reports based on technical and derivative analysis center on studying charts of a stock's price movement, outstanding posi- tions and trading volume. 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. Trade Nivesh shall not be in any way respon- sible for any loss or damage that may arise to any person from any inadvertent error in the information contained in this report. Trade Nivesh 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 Trade Nivesh endeavors to update on a reasonable basis the information discussed in this ma- terial, there may be regulatory, compliance, or other reasons that prevent us from doing so. Investment in equity & Commodity market has its own risks. We Trade Nivesh shall not be liable or responsible for any loss or damage that may arise from the use of this information. DISCLAIMER