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Weekly Newsletter
    ly Newsletter-Equity

                       21 MAY 2012




EQUITY ANALYSIS - DAILY
Weekly Newsletter
Contents
           Market Wrap
           Market Performance
               NSE Gainers
               NSE Losers
               Volume Toppers
               World Indices
               Indian Equity Market
           Technical Analysis
               Nifty Spot
               Bank Nifty Future
MARKET WRAP
      Nifty and Sensex both ended with moderate loss this week down less than 1%.
      U.S. Unemployment claims came at 367K; Trade Balance came at (-) 51.8B.
      This week all international markets were under pressure & given weak ending.


Negative cues from domestic and global markets made the markets vulnerable. The
markets remained inconsistent this week, the trend generally being negative. Both
benchmark indices closed in the red and barring healthcare, all sectoral indices, too,
closed negative. The Sensex and Nifty lost nearly 0.8% over the week. Nifty this week is
expected to remain consolidate and may be moving in a range of 4700-5100.




India's Prices continued to spiral upward in April, with inflation climbing to a higher-
than-expected 7.23% from 6.89% in March. Primary articles inflation at 9.71% vs 9.62%
(MoM), Food group inflation at 10.49% vs 9.94% (MoM), WPI inflation revised to 7.36%
vs 6.95% (Prov), Manufacturing inflation at 5.12% vs 4.87% (MoM), Fuel group inflation
at 11.03% vs 10.41% (MoM), WPI all commodities index up 2.1% (MoM). Soaring food
price was the main culprit, and increase in excise duty and service tax this year.




The mayhem continued this week as well, as sentiment remained jittery over the fate of
Greece following the inconclusive elections. The leaders failed to cobble together a new
government, prompting the Greek President to declare fresh polls in June. Greece also
suffered another rating downgrade from Fitch. Meanwhile, Spain too hogged the
limelight due to growing concerns over its fragile banking sector. the rupee plummeted
to a record low amid rising risk aversion and worsening external account.
MARKET PERFORMANCE
 NSE GAINERS

  COMPANY NAME        CURRENT   PREV. CLOSE(RS)   CANG.(RS)   CHAG.(%)
    Allsec Tech.       14.95        10.95           4.00       36.53
  Pudumjee Agro        15.75        12.35           3.40       27.53
  Welspun Global       34.55        27.20           7.35       27.02
   Soma Textiles       5.05          4.05           1.00       24.69
  ITD Cementation     214.75        177.10         37.65       21.26


 NSE LOSERS
  COMPANY NAME        CURRENT   PREV. CLOSE(RS)   CANG.(RS)   CHAG.(%)
Shri Lakshmi Cotsyn    93.35        127.60         -34.25      -26.84
   Gemini Comm         18.15        23.70           -5.55      -23.42
  Balaji Telefilms     34.55        45.10          -10.55      -23.39
   Kiri Industries     36.75        47.30          -10.55      -22.30
   LCC Infotech        0.35          0.45           -0.10      -22.22


VOLUME TOPPERS
  COMPANY NAME        CURRENT   PREV. CLOSE(RS)    CHAG.(%)   Volume in
                                                               (‘000s)
   Suzlon Energy       20.10         20.00           0.50      23138.43
  Lanco Infratech      12.00         12.10           -0.83     22408.75
      Unitech          21.45         21.40           0.23      18516.99
        HDIL           61.95         62.00           -0.08     15555.55
    JP Associate       62.05         62.25           -0.32     15395.14
SECTORIAL INDICES

  Indices       Country           Date       Index        Net Change     Change (%)
Hang Seng      Hong Kong      18-May-2012   18951.85       -1275.43        -6.31
 Jakarta
                Indonesia     18-May-2012   3980.50        -153.13         -3.70
Composite
Nikkei 225       Japan        18-May-2012   8611.31        -398.34         -4.42
  KLSE
                Malaysia      18-May-2012   1532.46         -55.60         -3.50
Composite

  Seoul
               South Korea    18-May-2012   1782.46        -162.47         -8.35
Composite

Strait Times   Singapore      18-May-2012   2779.10        -104.30         -3.62

                 United
FTSE 100                      18-May-2012   5267.62        -276.38         -4.99
                Kingdom

                 United
  Nasdaq                      18-May-2012   2778.79        -154.85         -5.28
                 States

                 United
   DJIA                       18-May-2012   12369.38       -485.66         -3.78
                 States

                 United
 S&P 500                      18-May-2012   1295.22         -62.77         -4.62
                 States



INDIAN EQUITY MARKET

     INDICES                  VALUE            CHANGE                  % CHANGE

      NIFTY                  4891.00            -40.00                  -0.81
   BANK NIFTY                9257.00            -122.00                 -1.30
     SENSEX                  16153.00           -140.00                 -0.86
TECHNICAL VIEW
                                       NIFTY

WEEKLY PIVOT
INDICES      R4     R3      R2        R1     P      S1     S2     S3     S4
 NIFTY      5386   5217    5048      4969   4879   4800   4710   4541   4372


OUTLOOK
          Trend: - Consolidate

          Resistance: - 5050 5200
                         050,

          Support: - 4750, 4
                           4600

          Strategy: - Sell on High

                                  NIFTY WEEKLY
BANK NIFTY

WEEKLY PIVOT
  SCRIPT      R4      R3      R2     R1     P      S1     S2     S3     S4
BANK NIFTY   10786   10261   9736   9496   9211   8971   8686   8161   7636

OUTLOOK
      Trend: - Consolidate

      Resistance: - 9650 10000
                       0,

      Support: - 8800, 85
                       8500

      Strategy: - Sell on High

                             BANK NIFTY DAILY
Disclaimer
The information and views in this report, our website & all the service we provide are believed to be reliable, but we do not
accept any responsibility (or liability) for errors of fact or opinion. Users have the right to choose the product/s that suits
them the most.

Sincere efforts have been made to present the right investment perspective. The information contained herein is based on
analysis and up on sources that we consider reliable.

This material is for personal information and based upon it & takes no responsibility

The information given herein should be treated as only factor, while making investment decision. The report does not
provide individually tailor-made investment advice. TheEquicom recommends that investors independently evaluate
particular investments and strategies, and encourages investors to seek the advice of a financial adviser. TheEquicom shall
not be responsible for any transaction conducted based on the information given in this report, which is in violation of rules
and regulations of NSE and BSE.

The share price projections shown are not necessarily indicative of future price performance. The information herein,
together with all estimates and forecasts, can change without notice. Analyst or any person related to TheEquicom might be
holding positions in the stocks recommended. It is understood that anyone who is browsing through the site has done so at
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All Rights Reserved.

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We, however, do not vouch for the accuracy or the completeness thereof. we are not responsible for any loss incurred
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Equity market prediction for the week 21 to 25 may

  • 1. Weekly Newsletter ly Newsletter-Equity 21 MAY 2012 EQUITY ANALYSIS - DAILY
  • 2. Weekly Newsletter Contents Market Wrap Market Performance NSE Gainers NSE Losers Volume Toppers World Indices Indian Equity Market Technical Analysis Nifty Spot Bank Nifty Future
  • 3. MARKET WRAP Nifty and Sensex both ended with moderate loss this week down less than 1%. U.S. Unemployment claims came at 367K; Trade Balance came at (-) 51.8B. This week all international markets were under pressure & given weak ending. Negative cues from domestic and global markets made the markets vulnerable. The markets remained inconsistent this week, the trend generally being negative. Both benchmark indices closed in the red and barring healthcare, all sectoral indices, too, closed negative. The Sensex and Nifty lost nearly 0.8% over the week. Nifty this week is expected to remain consolidate and may be moving in a range of 4700-5100. India's Prices continued to spiral upward in April, with inflation climbing to a higher- than-expected 7.23% from 6.89% in March. Primary articles inflation at 9.71% vs 9.62% (MoM), Food group inflation at 10.49% vs 9.94% (MoM), WPI inflation revised to 7.36% vs 6.95% (Prov), Manufacturing inflation at 5.12% vs 4.87% (MoM), Fuel group inflation at 11.03% vs 10.41% (MoM), WPI all commodities index up 2.1% (MoM). Soaring food price was the main culprit, and increase in excise duty and service tax this year. The mayhem continued this week as well, as sentiment remained jittery over the fate of Greece following the inconclusive elections. The leaders failed to cobble together a new government, prompting the Greek President to declare fresh polls in June. Greece also suffered another rating downgrade from Fitch. Meanwhile, Spain too hogged the limelight due to growing concerns over its fragile banking sector. the rupee plummeted to a record low amid rising risk aversion and worsening external account.
  • 4. MARKET PERFORMANCE NSE GAINERS COMPANY NAME CURRENT PREV. CLOSE(RS) CANG.(RS) CHAG.(%) Allsec Tech. 14.95 10.95 4.00 36.53 Pudumjee Agro 15.75 12.35 3.40 27.53 Welspun Global 34.55 27.20 7.35 27.02 Soma Textiles 5.05 4.05 1.00 24.69 ITD Cementation 214.75 177.10 37.65 21.26 NSE LOSERS COMPANY NAME CURRENT PREV. CLOSE(RS) CANG.(RS) CHAG.(%) Shri Lakshmi Cotsyn 93.35 127.60 -34.25 -26.84 Gemini Comm 18.15 23.70 -5.55 -23.42 Balaji Telefilms 34.55 45.10 -10.55 -23.39 Kiri Industries 36.75 47.30 -10.55 -22.30 LCC Infotech 0.35 0.45 -0.10 -22.22 VOLUME TOPPERS COMPANY NAME CURRENT PREV. CLOSE(RS) CHAG.(%) Volume in (‘000s) Suzlon Energy 20.10 20.00 0.50 23138.43 Lanco Infratech 12.00 12.10 -0.83 22408.75 Unitech 21.45 21.40 0.23 18516.99 HDIL 61.95 62.00 -0.08 15555.55 JP Associate 62.05 62.25 -0.32 15395.14
  • 5. SECTORIAL INDICES Indices Country Date Index Net Change Change (%) Hang Seng Hong Kong 18-May-2012 18951.85 -1275.43 -6.31 Jakarta Indonesia 18-May-2012 3980.50 -153.13 -3.70 Composite Nikkei 225 Japan 18-May-2012 8611.31 -398.34 -4.42 KLSE Malaysia 18-May-2012 1532.46 -55.60 -3.50 Composite Seoul South Korea 18-May-2012 1782.46 -162.47 -8.35 Composite Strait Times Singapore 18-May-2012 2779.10 -104.30 -3.62 United FTSE 100 18-May-2012 5267.62 -276.38 -4.99 Kingdom United Nasdaq 18-May-2012 2778.79 -154.85 -5.28 States United DJIA 18-May-2012 12369.38 -485.66 -3.78 States United S&P 500 18-May-2012 1295.22 -62.77 -4.62 States INDIAN EQUITY MARKET INDICES VALUE CHANGE % CHANGE NIFTY 4891.00 -40.00 -0.81 BANK NIFTY 9257.00 -122.00 -1.30 SENSEX 16153.00 -140.00 -0.86
  • 6. TECHNICAL VIEW NIFTY WEEKLY PIVOT INDICES R4 R3 R2 R1 P S1 S2 S3 S4 NIFTY 5386 5217 5048 4969 4879 4800 4710 4541 4372 OUTLOOK Trend: - Consolidate Resistance: - 5050 5200 050, Support: - 4750, 4 4600 Strategy: - Sell on High NIFTY WEEKLY
  • 7. BANK NIFTY WEEKLY PIVOT SCRIPT R4 R3 R2 R1 P S1 S2 S3 S4 BANK NIFTY 10786 10261 9736 9496 9211 8971 8686 8161 7636 OUTLOOK Trend: - Consolidate Resistance: - 9650 10000 0, Support: - 8800, 85 8500 Strategy: - Sell on High BANK NIFTY DAILY
  • 8. Disclaimer The information and views in this report, our website & all the service we provide are believed to be reliable, but we do not accept any responsibility (or liability) for errors of fact or opinion. Users have the right to choose the product/s that suits them the most. Sincere efforts have been made to present the right investment perspective. The information contained herein is based on analysis and up on sources that we consider reliable. This material is for personal information and based upon it & takes no responsibility The information given herein should be treated as only factor, while making investment decision. The report does not provide individually tailor-made investment advice. TheEquicom recommends that investors independently evaluate particular investments and strategies, and encourages investors to seek the advice of a financial adviser. TheEquicom shall not be responsible for any transaction conducted based on the information given in this report, which is in violation of rules and regulations of NSE and BSE. The share price projections shown are not necessarily indicative of future price performance. The information herein, together with all estimates and forecasts, can change without notice. Analyst or any person related to TheEquicom might be holding positions in the stocks recommended. It is understood that anyone who is browsing through the site has done so at his free will and does not read any views expressed as a recommendation for which either the site or its owners or anyone can be held responsible for . Any surfing and reading of the information is the acceptance of this disclaimer. All Rights Reserved. Investment in Commodity and equity market has its own risks. We, however, do not vouch for the accuracy or the completeness thereof. we are not responsible for any loss incurred whatsoever for any financial profits or loss which may arise from the recommendations above. TheEquicom does not purport to be an invitation or an offer to buy or sell any financial instrument. Our Clients (Paid Or Unpaid), Any third party or anyone else have no rights to forward or share our calls or SMS or Report or Any Information Provided by us to/with anyone which is received directly or indirectly by them. If found so then Serious Legal Actions can be taken.