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Derivative Report
                                                                                                           India Research
                                                                                                                     Aug 19, 2010
Comments
                                                                    Nifty Vs OI
 The Nifty futures’ open interest increased by 2.14%
      while Minifty futures’ open interest increased by
      26.29% as market closed at 5479.15 levels.
 The Nifty Aug future closed at a premium of 3.90
      points, against a premium of 10.65 points in the last
      trading session. On the other hand, Sep future closed
      at a premium of 8.20 points.
 The PCR-OI increased from 1.45 to 1.57 points.
 The       Implied volatility of At-the-money            options
      decreased from 15.5% to 13%.
 The total OI of the market is Rs1,80,788cr and the
      stock futures OI is Rs50,692cr.
 Few liquid counters where cost of carry is positive are
      GTL, STERLINBIO, NAGARCONST, MOSERBAER and
      RNRL.

OI Gainers
                                                                     View
                                 OI                    PRICE
SCRIP                 OI       CHANGE      PRICE      CHANGE          After some selling in the past few trading sessions in
                                 (%)                    (%)             the Stock futures, FIIs formed some long positions in
                                                                        the Index futures and the Stock futures yesterday.
TULIP              1743750      54.49     177.20           -2.29        They were net buyers of Rs675cr in the cash market
GESHIP             1255000      40.22     307.25           2.13         segment.

CHAMBLFERT        12456000      32.29      72.45           6.94       Substantial unwinding was visible in the 5400 and
                                                                        5500 call options; on the other hand, 5400 and
MINIFTY            1698920      26.29     5479.15          1.20
                                                                        5500 put options added significant open interest.
JINDALSAW          9823000      19.52     205.65           1.43
                                                                      SAIL has strong support around Rs190 and the
                                                                        stock has significant short positions. Yesterday,
OI Losers
                                                                        some buying was visible in the counter from support
                                 OI                    PRICE            levels. We may see a positive move in the counter
SCRIP                 OI       CHANGE      PRICE      CHANGE            up to Rs202 due to short covering. Positional
                                 (%)                    (%)             traders can form long positions around 192-193
ANDHRABANK          4854000      -10.28   165.10           3.93         levels, with the stop loss of Rs189.

CANBK               2252500      -10.04   527.00           1.77       RELINFRA has its immediate support around 1030-
                                                                        1040 levels. CoC has also increased. We may see
PFC                 1153000      -9.78    337.65           -0.50        a bounce due to short covering in the stock.
APOLLOTYRE          9348000      -9.42     69.10           5.50         Therefore, trading with positive bias is advisable for
                                                                        the target of Rs1090. Keep a stop loss of Rs 1015.
ONMOBILE            1036000      -8.80    330.30           1.46


Put-Call Ratio                                                        Historical Volatility

SCRIP                          PCR-OI         PCR-VOL                 SCRIP                                      HV

NIFTY                           1.57               1.21               CHAMBLFERT                                41.23

RELIANCE                        0.18               0.28               MOSERBAER                                 41.81

BANKNIFTY                       1.78               1.18               SUNPHARMA                                 25.73

SBIN                            1.43               0.54               RANBAXY                                   27.62

TATAMOTORS                      0.99               0.46               HDFCBANK                                  24.24


SEBI Registration No: INB 010996539                                                   For Private Circulation Only            1
Derivative Report | India Research




FII Statistics for 18-Aug-2010                                                                Turnover on 18-Aug-2010

                                                                   Open Interest
                                                                                                                  No. of      Turnover         Change
 Detail          Buy            Sell          Net                                               Instrument
                                                                                                                 Contracts    (Rs. in cr.)       (%)
                                                       Contracts       Value        Change
                                                                     (Rs. in cr.)     (%)
INDEX                                                                                         Index Futures      562791       14451.64         51.58
              1830.82     1313.67         517.15       655962        17969.82        1.20
FUTURES
INDEX                                                                                         Stock Futures      812141       25337.02         22.41
              5175.97     5041.41         134.56       2311853       63333.20        0.35
OPTIONS
STOCK                                                                                         Index Options      2179367      59243.51         31.99
              3146.83     2952.47         194.36       1380664       38219.75        1.10
FUTURES
STOCK                                                                                         Stock Options      190577        6641.89         49.56
               767.09     799.30          (32.21)       64591         2000.15        4.51
OPTIONS
TOTAL         10920.72 10106.85           813.86       4413070      121522.92        0.77     Total              3744876      105674.06        32.83




 Nifty Spot = 5479.15                         Lot Size = 50


 Bull-Call Spreads                                                                  Bear-Put Spreads

 Action       Strike    Price          Risk         Reward         BEP              Action    Strike     Price       Risk    Reward          BEP

 Buy         5500       33.00                                                       Buy       5400      20.60
                                       26.85        73.15    5526.85                                               12.65     87.35       5387.35
 Sell        5600       6.15                                                        Sell      5300       7.95
 Buy         5500       33.00                                                       Buy       5400      20.60
                                       31.75        168.25   5531.75                                               17.05     182.95      5382.95
 Sell        5700       1.25                                                        Sell      5200       3.55
 Buy         5600       6.15                                                        Buy       5300       7.95
                                       4.90         95.10    5604.90                                                4.40     95.60       5295.60
 Sell        5700       1.25                                                        Sell      5200       3.55

Note: Above mentioned Bullish or Bearish Spreads in Nifty (August Series) are given as an information and not as a recommendation




Nifty Put-Call Analysis




 For Private Circulation Only                            SEBI Registration No: INB 010996539                                                       2
Derivative Report | India Research




       Strategy Date                        Scrip                             Strategy                             Status

        02-Aug-2010                          IDBI                             Long Call               Profit booked on 17-Aug-2010

        02-Aug-2010                         NIFTY                         Ratio Put Spread                        Continue

        09-Aug-2010                       RELIANCE                            Long Call                           Continue

        09-Aug-2010                       ICICIBANK                       Ratio Put Spread                        Continue

        16-Aug-2010                         NTPC                        Covered Call Writing                      Continue

        16-Aug-2010                           LT                              Long Call                           Continue




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


For Private Circulation Only                    SEBI Registration No: INB 010996539                                                    3

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Derivatives Report - August 19, 2010

  • 1. Derivative Report India Research Aug 19, 2010 Comments Nifty Vs OI  The Nifty futures’ open interest increased by 2.14% while Minifty futures’ open interest increased by 26.29% as market closed at 5479.15 levels.  The Nifty Aug future closed at a premium of 3.90 points, against a premium of 10.65 points in the last trading session. On the other hand, Sep future closed at a premium of 8.20 points.  The PCR-OI increased from 1.45 to 1.57 points.  The Implied volatility of At-the-money options decreased from 15.5% to 13%.  The total OI of the market is Rs1,80,788cr and the stock futures OI is Rs50,692cr.  Few liquid counters where cost of carry is positive are GTL, STERLINBIO, NAGARCONST, MOSERBAER and RNRL. OI Gainers View OI PRICE SCRIP OI CHANGE PRICE CHANGE  After some selling in the past few trading sessions in (%) (%) the Stock futures, FIIs formed some long positions in the Index futures and the Stock futures yesterday. TULIP 1743750 54.49 177.20 -2.29 They were net buyers of Rs675cr in the cash market GESHIP 1255000 40.22 307.25 2.13 segment. CHAMBLFERT 12456000 32.29 72.45 6.94  Substantial unwinding was visible in the 5400 and 5500 call options; on the other hand, 5400 and MINIFTY 1698920 26.29 5479.15 1.20 5500 put options added significant open interest. JINDALSAW 9823000 19.52 205.65 1.43  SAIL has strong support around Rs190 and the stock has significant short positions. Yesterday, OI Losers some buying was visible in the counter from support OI PRICE levels. We may see a positive move in the counter SCRIP OI CHANGE PRICE CHANGE up to Rs202 due to short covering. Positional (%) (%) traders can form long positions around 192-193 ANDHRABANK 4854000 -10.28 165.10 3.93 levels, with the stop loss of Rs189. CANBK 2252500 -10.04 527.00 1.77  RELINFRA has its immediate support around 1030- 1040 levels. CoC has also increased. We may see PFC 1153000 -9.78 337.65 -0.50 a bounce due to short covering in the stock. APOLLOTYRE 9348000 -9.42 69.10 5.50 Therefore, trading with positive bias is advisable for the target of Rs1090. Keep a stop loss of Rs 1015. ONMOBILE 1036000 -8.80 330.30 1.46 Put-Call Ratio Historical Volatility SCRIP PCR-OI PCR-VOL SCRIP HV NIFTY 1.57 1.21 CHAMBLFERT 41.23 RELIANCE 0.18 0.28 MOSERBAER 41.81 BANKNIFTY 1.78 1.18 SUNPHARMA 25.73 SBIN 1.43 0.54 RANBAXY 27.62 TATAMOTORS 0.99 0.46 HDFCBANK 24.24 SEBI Registration No: INB 010996539 For Private Circulation Only 1
  • 2. Derivative Report | India Research FII Statistics for 18-Aug-2010 Turnover on 18-Aug-2010 Open Interest No. of Turnover Change Detail Buy Sell Net Instrument Contracts (Rs. in cr.) (%) Contracts Value Change (Rs. in cr.) (%) INDEX Index Futures 562791 14451.64 51.58 1830.82 1313.67 517.15 655962 17969.82 1.20 FUTURES INDEX Stock Futures 812141 25337.02 22.41 5175.97 5041.41 134.56 2311853 63333.20 0.35 OPTIONS STOCK Index Options 2179367 59243.51 31.99 3146.83 2952.47 194.36 1380664 38219.75 1.10 FUTURES STOCK Stock Options 190577 6641.89 49.56 767.09 799.30 (32.21) 64591 2000.15 4.51 OPTIONS TOTAL 10920.72 10106.85 813.86 4413070 121522.92 0.77 Total 3744876 105674.06 32.83 Nifty Spot = 5479.15 Lot Size = 50 Bull-Call Spreads Bear-Put Spreads Action Strike Price Risk Reward BEP Action Strike Price Risk Reward BEP Buy 5500 33.00 Buy 5400 20.60 26.85 73.15 5526.85 12.65 87.35 5387.35 Sell 5600 6.15 Sell 5300 7.95 Buy 5500 33.00 Buy 5400 20.60 31.75 168.25 5531.75 17.05 182.95 5382.95 Sell 5700 1.25 Sell 5200 3.55 Buy 5600 6.15 Buy 5300 7.95 4.90 95.10 5604.90 4.40 95.60 5295.60 Sell 5700 1.25 Sell 5200 3.55 Note: Above mentioned Bullish or Bearish Spreads in Nifty (August Series) are given as an information and not as a recommendation Nifty Put-Call Analysis For Private Circulation Only SEBI Registration No: INB 010996539 2
  • 3. Derivative Report | India Research Strategy Date Scrip Strategy Status 02-Aug-2010 IDBI Long Call Profit booked on 17-Aug-2010 02-Aug-2010 NIFTY Ratio Put Spread Continue 09-Aug-2010 RELIANCE Long Call Continue 09-Aug-2010 ICICIBANK Ratio Put Spread Continue 16-Aug-2010 NTPC Covered Call Writing Continue 16-Aug-2010 LT Long Call Continue 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 For Private Circulation Only SEBI Registration No: INB 010996539 3