This daily market report provides an overview of global and Indian stock market performance, key sectoral indices, and notable company earnings results. Some of the key highlights include:
- Global indices were mostly up, while Indian indices closed slightly down.
- Several companies reported increased quarterly profits, including IIFL Holdings, Berger Paints, and SRF.
- Yes Bank, Hindalco and Axis Bank saw share price gains, while Infosys, NTPC and HCL Tech declined.
- Technical recommendations were given to sell Hindalco, SAIL, Nifty and Bank Nifty futures based on chart analysis.
2. Daily Report
Friday Nov 2 2018
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GLOBAL MARKETS
INDICES VALUE % change
DJIA 25,380.74 1.06
S&P 500 2,740.37 1.06
NASDAQ 7,434.06 1.72
FTSE 100 7114.66 -0.19
DAX 11,468.54 0.18
CAC 40 5,085.78 -0.15
NIKKEI 21,843.68 0.71
HENGSENG 26,006.85 2.32
MARKETS AT A GLANCE
INDIAN MARKETS
INDICES VALUE CHANGE % CHANGE
NIFTY 10380.50 -6.10 -0.06
SENSEX 34431.97 -10.08 -0.03
BANKNIFTY 25323.70 170.45 0.68
INDIAN SECTORIAL INDICES
INDICES % change
NIFTY AUTO -0.07
NIFTY FIN SERVICE 0.42
NIFTY FMCG -0.67
NIFTY IT -2.13
NIFTY MEDIA 0.12
NIFTY METAL 1.26
NIFTY PHARMA -1.52
NIFTY PSU BANK 0.86
NIFTY PVT BANK 0.76
NIFTY REALTY 2.77
At the close of market hours, the Sensex closed down 10.08 points or 0.03% at 34431.97, while the Nifty end-
ed lower by 6.10 points or 0.06% at 10380.50. The market breadth is positive as 1,590 shares advanced,
against a decline of 990 shares, while 124 shares were unchanged.
Yes Bank, Axis Bank, and Hindalco were the top gainers, while Infosys, NTPC, HCL Tech and Dr Reddy’s Labs
lost the most.
MARKETS’ SUMMARY
3. Daily Report
Friday Nov 2 2018
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Here are stocks that are in the news today:
HPCL Q2: Profit falls 36.5 percent to Rs 1,092 crore versus Rs 1,719.2 crore; revenue rises 0.3 percent to Rs
67,517.9 crore versus Rs 67,311.5 crore; EBITDA drops 26.7 percent to Rs 2,121.8 crore versus Rs 2,893.2
crore; EBITDA margin at 3.14 percent versus 4.30 percent QoQ.
Greaves Cotton Q2: Profit rises 0.3 percent to Rs 49.3 crore versus Rs 49.19 crore; revenue increases 9.4 per-
cent to Rs 495 crore versus Rs 452.4 crore; EBITDA grows 8 percent to Rs 73.2 crore versus Rs 67.8 crore;
EBITDA margin contracts to 14.8 percent versus 15 percent YoY.
IIFL Holdings Q2: Consolidated profit rises to Rs 304 crore versus Rs 234.15 crore; revenue increases to Rs
1,832.2 crore versus Rs 1,607.6 crore YoY.
Berger Paints Q2: Consolidated profit climbs to Rs 117.3 crore versus Rs 111.3 crore; revenue jumps to Rs
1,490 crore versus Rs 1,282 crore YoY.
Ador Welding Q2: Profit rises to Rs 6.74 crore versus Rs 5.49 crore; revenue increases to Rs 125.34 crore ver-
sus Rs 121.67 crore YoY.
India Glycols Q2: Profit jumps to Rs 43.66 crore versus Rs 14.69 crore; revenue increases to Rs 1,360 crore ver-
sus Rs 1,163 crore YoY.
SRF Q2: Consolidated profit climbs to Rs 151.20 crore versus Rs 103 crore; revenue surges to Rs 1,915.4 crore
versus Rs 1,286.4 crore YoY.
Gujarat Narmada Valley Fertilizers & Chemicals Q2: Profit spikes to Rs 296.3 crore versus Rs 166.1 crore; reve-
nue increases to Rs 1,641.2 crore versus Rs 1,506.8 crore YoY.
MEP Infrastructure Developers Q2: Consolidated profit falls to Rs 0.65 crore versus Rs 6.55 crore; revenue ris-
es to Rs 575.23 crore versus Rs 409.08 crore YoY.versus Rs 35.86 crore YoY.
DAILY NEWS
4. Daily Report
Friday Nov 2 2018
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Losers of the Day
Symbol CMP8 % change
HCLTECH 1,015.50 -3.80
TECHM 720.00 -3.21
DRREDDY 2,465.50 -3.03
INFY 667.00 -2.83
CIPLA 615.90 -2.12
52 Weeks’ High
Symbol LTP Change % change
ADANIPOWER 49.65 3.55 7.70
KSB 781.50 -18.75 -2.34
DIVISLAB 1,512.0 27.50 1.85
UNIVCABLES 292.05 22.95 8.53
WSTCSTPAPR 399.00 7.65 1.95
52 Weeks’ Low
Symbol LTP Change % change
AGARIND 185.70 -2.00 -1.07
APARINDS 543.75 -7.55 -1.37
ASAHIINDIA 277 -2.80 -1.00
BRNL 99.60 -7.65 -7.13
GDL 132.05 -1.20 -0.90
Gainers of the Day
Symbol CMP % change
YESBANK 205.60 9.30
HINDALCO 231.15 4.88
AXISBANK 607.20 4.26
BPCL 286.00 3.96
UPL 698.45 3.57
OI Spurts
Symbol Change in OI % Change in OI
BANKNIFTY 5,50,471 48.42
COALINDIA 3,505 25.68
LT 5,696 15.08
IBULHSGFIN 5,115 12.77
AXISBANK 4,526 11.87
Volume Shockers
Symbol Volume
MEGH 1,14,63,479
ELECON 10,82,970
8KMILES 34,60,181
JKLAKSHMI 5,10,157
KEI 11,91,289
MOVERS & SHAKERS
5. Daily Report
Friday Nov 2 2018
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SCRIPS IN BAN TODAY
FII DERIVATIVES STATISTICS
BUY SELL
OPEN INTEREST AT THE END OF THE
DAY
No. of con-
tracts
Amt in Crores
No. of con-
tracts
Amt in Crores No. of contracts Amt in Crores
INDEX FUTURES 48510 3196.81 53438 3460.17 364156 27102.81
INDEX OPTIONS 3362660 177535.09 3312525 174617.48 772723 56626.41
STOCK FUTURES 310102 17121.95 291544 16164.98 1404308 81859.46
STOCK OPTIONS 122725 6767.25 120979 6678.85 112656 6566.44
TOTAL -3699.62
RBI REFERENCE RATE
INR / 1 USD 73.82
INR / 1 EURO 83.72
INR / 100 Jap. YEN 65.40
INR / 1 POUND Sterling 94.81
SGX NIFTY (9:00am)
10,488.95
MCX GOLD
31,882.00
USD/INR
73.45
6. Daily Report
Friday Nov 2 2018
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1. HINDALCO FUTURE(SELL)
2. SAIL FUTURE (SELL)
PIVOT LEVELS
R2 R1 PIVOT S1 S2
229.02 225.28 220.77 217.03 212.52
HINDALCO FUTURE seems to come
downside for this week, as the stock has
been in downtrend and expected to contin-
ue its trend ,it is bearish on daily and week-
ly chart confirming downside movement.
It is bearish on RSI is also giving sell signal.
So sell it below 231 for 230 and 228 with
strict stop loss of 233.
SAIL FUTURE seems to come downside for
this week, as the stock has been trading at
resistance level ,it is bearish on daily and
weekly chart after buying rally ,confirming
downside movement. It is bearish on RSI is
also giving sell signal So sell it below 67 for
66.70 and 66.20 with strict stop loss of
67.50 .
PIVOT LEVELS
R2 R1 PIVOT S1 S2
67.65 66.20 64.75 63.30 61.85
TECHNICAL RECOMMENDATIONS
7. Daily Report
Friday Nov 2 2018
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TECHNICAL VIEW :GRAPHITE LTD. CASH (BUY)
TECHNICAL VIEW :SAIL LTD. CASH (SELL)
PIVOT LEVELS
R2 R1 PIVOT S1 S2
981.88 966.77 953.88 938.77 925.88
GRAPHITE LTD seems to come upside for this
week, as the stock has been moving in upside
channel and expected to continue its trend ,it is
bullish on daily and weekly chart confirming
upside movement. It is bullish on RSI is also
giving buy signal. So buy it above 998 for
1007 and 1020 with strict stop loss of 985.
SAIL LTD seems to come downside trend and
as the stock has been trading at resistance
level ,it is bearish on daily and weekly chart
after buying rally ,confirming downside
movement. It is bearish on RSI is also giving
sell signal So sell it below 67 for 66.50 and
66.20 with strict stop loss of 67.70
PIVOT LEVELS
R2 R1 PIVOT S1 S2
67.28 65.87 64.58 63.17 61.88
TECHNICAL RECOMMENDATIONS
8. Daily Report
Friday Nov 2 2018
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3. NIFTY FUTURE (SELL)
4. BANK NIFTY FUTURE (SELL)
PIVOT LEVELS
R2 R1 PIVOT S1 S2
10618.37 10508.38 10309.87 10199.88 10001.37
NIFTY FUTURE in last trading session the
Nifty ended lower by 6.10 points or 0.06% at
10380.50.Chances of bearish phase is high as
index is trading at resistance of bearish trend
in hourly chart . So we advise to sell it below
10390 for the target of 10370 and 10350 with
strict stop loss of 10430.
BANKNIFTY FUTURE with movement of
around 170.45 points . Chances of bearish
phase is high as index closed at its resistance
level . And overall sentiments of the market is
bearish So we sell below 25350 for the target
of 25320 and 25300 with strict stop loss of
25420.
.
PIVOT LEVELS
R2 R1 PIVOT S1 S2
25663.54 25435.97 25030.48 24802.92 24397.43
TECHNICAL RECOMMENDATIONS
9. Daily Report
Friday Nov 2 2018
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PREVIOUS DAY’S PERFORMANCE
CALL SEGMENT ADVISE ENTRY TGT SL STATUS
NIFTY INDEX SELL 10360 10340-10320 10400 SL
BANKNIFTY INDEX SELL 25100 25050-25020 25200 NOT EXECUTED
CADILAHC CASH BUY 362 365-368 358 1ST TGT
TATASTEEL CASH BUY 556 561-564 550 1ST TGT
CADILAHC FUTURE BUY 361 363-365 357 FINAL TGT
TATASTEEL FUTURE BUY 556 559-563 550 FINAL TGT
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