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MARKET WRAP
Indian markets ends down marginally; Nifty down 18 pts & Sensex down 74 pts.
German factory orders m/m came better than expected, up at 2.4% vs. 0.6%.
European markets were in green with DAX leading, Dow future was up 47 pts.
Indian equity market ended with marginal loss with Nifty losing 18 pts to end at 5892
while Sensex was down by 75 pts to settle at 19612. European markets were positive
with FTSE up 39 pts at 6047, CAC up 10 pts at 4051 & DAX up 54 pts at 7229 pts on
better than expected economic data & rate hike expectations. Dow future was up 47 pts.
MARKET PERFORMANCE
NIFTY GAINERS
COMPANY NAME CURRENT PREV. CLOSE(RS) CANG.(RS) CHAG.(%)
Sesa Goa 325.75 314.75 11.00 3.49
GAIL 475.00 461.80 13.20 2.86
Hero Honda 1682.30 1643.25 39.05 2.38
R Power 136.55 133.75 2.80 2.09
NTPC 191.80 188.05 3.75 1.99
NIFTY LOSERS
COMPANY NAME CURRENT PREV. CLOSE(RS) CANG.(RS) CHAG.(%)
Cairn India 350.55 365.10 -14.55 -3.99
Wipro 465.95 481.00 -15.05 -3.13
Airtel 353.30 360.25 -6.95 -1.93
SAIL 172.60 175.50 -2.90 -1.65
TCS 1221.85 1239.85 -18.00 -1.45
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SECTORIAL INDICES
%
INDEX P.CLOSE OPEN HIGH LOW LAST
CHANGE
S&P CNX NIFTY 5910.05 5908.00 5944.45 5868.80 5891.75 -0.31
CNX NIFTY Jr. 11624.80 11644.25 11705.15 11592.25 11638.05 0.11
CNX IT 7313.80 7305.75 7344.90 7242.30 7270.85 -0.59
BANK NIFTY 11798.90 11784.55 11838.05 11686.55 11730.05 -0.58
INDIA VIX 19.90 19.90 20.54 19.42 20.36 2.31
CNX 100 5801.75 5800.00 5835.90 5765.70 5787.55 -0.24
S&P CNX DEFTY 4610.80 4625.20 4654.90 4594.60 4616.55 0.12
S&P CNX 500 4722.85 4721.75 4753.50 4698.75 4718.60 -0.09
CNX MIDCAP 8306.00 8306.65 8382.35 8296.00 8342.00 0.43
NIFTY MIDCAP 50 2610.55 2615.85 2640.95 2607.20 2624.85 0.55
CNX INFRA 3142.45 3140.60 3163.95 3122.30 3138.00 -0.14
CNX REALTY 324.80 324.15 337.40 324.15 335.65 3.34
INDEX MOVERS (PULLING IT UP)
COMPANY NAME CONTRIBUTION
NTPC 4.90
GAIL 2.65
ONGC 2.17
Tata Motors 1.84
OTHERS 8.72
INDEX MOVERS (PULLING IT DOWN)
COMPANY NAME CONTRIBUTION
Wipro -5.85
TCS -5.58
Cairn India -4.38
Airtel -4.18
OTHERS -17.70
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5 DAYS UP (NIFTY)
DAY'S CLOSING 5 DAYS
COMPANY NAME PREV CLOSE (RS.) 5 DAYS AGO (RS.)
PRICE (RS.) RETURN(%)
Sesa Goa 325.75 314.75 298.30 9.20
HCL 491.70 486.80 467.15 5.26
Hero Honda 1682.30 1643.25 1602.75 4.96
Tata Motors 1298.70 1280.35 1241.80 4.58
TCS 1221.85 1239.85 1180.15 3.53
5 DAYS DOWN (NIFTY)
DAY'S CLOSING 5 DAYS
COMPANY NAME PREV CLOSE (RS.) 5 DAYS AGO (RS.)
PRICE (RS.) RETURN(%)
HUL 277.20 275.35 283.95 -2.38
Wipro 465.95 481.00 476.05 -2.12
HDFC 698.90 698.35 708.20 -1.31
Tata Power 1303.05 1314.55 1317.35 -1.09
Cairn India 350.55 365.10 354.35 -1.07
VOLUME SHOCKERS
Company Name Last Price % Chg Last Volume Prev Volume % Chg
Dalmia Enter 185.00 0.84 165463.00 2443.00 6673.00
AP Paper Mills 397.50 5.01 1314533.00 35705.00 3582.00
Stride Arcolab 396.00 8.05 818820.00 31929.00 2465.00
Jai Corp 197.90 15.43 7218916.00 377519.00 1812.00
Transport Corp 100.95 1.56 123768.00 7637.00 152.00
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FII TRADING ACTIVITY (NSE & BSE) In Crores
CATEGORY DATE BUY VALUE SELL VALUE NET VALUE
FII 6-Apr-2011 2856.44 2327.97 528.47
DII TRADING ACTIVITY (NSE & BSE) In Crores
CATEGORY DATE BUY VALUE SELL VALUE NET VALUE
DII 6-Apr-2011 1118.81 1649.86 -531.05
F&O TRADE STATISTICS
PRODUCT NO OF CONTRACTS TURNOVER IN RS. CR. PUT CALL RATIO
Index Futures 508139.00 14031.17 -
Stock Futures 609405.00 16777.23 -
Index Options 2347482.00 69582.10 1.08
Stock Options 111844.00 3144.55 0.27
F&O Total 3576870.00 103535.06 1.03
ASIAN MARKETS
Name Open High Low Current Value Change % Chg
Nikkei 225 9,668.11 9,671.46 9,562.16 9,584.37 -31.18 -0.33
Hang Seng 24,182.83 24,322.26 24,102.60 24,285.05 134.47 0.55
Taiwan 8,772.13 8,860.02 8,767.21 8,851.98 146.85 1.66
KOSPI 2,129.13 2,136.29 2,119.66 2,126.71 -3.72 -0.17
Jakarta 3,685.84 3,728.17 3,671.18 3,727.80 41.86 1.12
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BANK NIFTY
DAILY PIVOT
SCRIPT R4 R3 R2 R1 P S1 S2 S3 S4
BANK NIFTY 12289 12125 11961 11861 11797 11697 11633 11469 11305
OUTLOOK
Trend: - Consolidate
Resistance: - 11950, 12200
Support: - 11680, 11440
Strategy: - Sell on highs
BANK NIFTY DAILY
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Stock Recommendation
Capital Height’s stock recommendation for 07/04/2011 is Polaris Software.
Software
Polaris Software has made an upside breakout of a symmetrical triangle pattern The
pattern.
stock has ended up more than 7% up at 208.75. The stock is now in its upper range and
given the positive crossover of 30 Day and 50 Day EMA and MACD, the stock is
expected to continue its bullish trend; and if breaches 210 then can test 225.
2
Our recommendation on Polaris Software is BUY above 210 for the Target of 214 - 220
arget
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