26
08-09-2010
Wednesday
Intraday
and Positional Call
IF YOU WILL GO THROUGH WWW.BHOOKH.COM
AND CLICK ON IT ONCE A DAY THEN You WILL donate a cup of
staple food to a hungry Indian through the UN.
PLEASE FORWARD THIS SMS TO EVERYONE.
HIGH RISKY BUT ALMOST PROFITABLE:-SHORT
NF
NEAR 5580
STOP LOSS 5616 TO 5636
AND WAIT.
RISKY BUT PROFITABLE
BUY NF NEAR 5597 STOP
LOSS 5556 TARGET 5617 TO 5638.
SHORT NF NEAR 5556 STOP
LOSS 5597 TARGET 5536 TO 5515.
|
NIFTY FUTURE |
30-Sep-10 |
BUY ABOVE @ |
5611.5 |
TARGET |
5631 |
5652 |
5711 |
STOP LOSS |
5581.8 |
|
NIFTY FUTURE |
30-Sep-10 |
SELL BELOW @ |
5581.8 |
TARGET |
5572 |
5533 |
5473 |
STOP LOSS |
5611.5 |
|
BANKNIFTY |
30-Sep-10 |
BUY ABOVE @ |
11177.3 |
TARGET |
11200.5 |
11247 |
11302 |
STOP LOSS |
11134.3 |
|
BANKNIFTY |
30-Sep-10 |
SELL BELOW @ |
11144.2 |
TARGET |
11134.3 |
11114 |
11037 |
STOP LOSS |
11200.5 |
|
BIOCON |
30-Sep-10 |
BUY ABOVE @ |
350.9 |
TARGET |
352.2 |
355 |
358 |
STOP LOSS |
347.0 |
|
BIOCON |
30-Sep-10 |
SELL BELOW @ |
348.3 |
TARGET |
347.0 |
344 |
338 |
STOP LOSS |
352.2 |
|
GODREJIND |
30-Sep-10 |
BUY ABOVE @ |
235.1 |
TARGET |
237.5 |
242 |
251 |
STOP LOSS |
226.4 |
|
GODREJIND |
30-Sep-10 |
SELL BELOW @ |
229.6 |
TARGET |
226.4 |
220 |
207 |
STOP LOSS |
237.5 |
|
HDFC |
30-Sep-10 |
BUY ABOVE @ |
633.7 |
TARGET |
635.5 |
639 |
644 |
STOP LOSS |
629.1 |
|
HDFC |
30-Sep-10 |
SELL BELOW @ |
630.5 |
TARGET |
629.1 |
626 |
619 |
STOP LOSS |
635.5 |
|
HDIL |
30-Sep-10 |
SELL BELOW @ |
274.4 |
TARGET |
273.6 |
272 |
268 |
STOP LOSS |
277.4 |
|
HDIL |
30-Sep-10 |
BUY ABOVE @ |
276.3 |
TARGET |
277.4 |
280 |
283 |
STOP LOSS |
273.6 |
|
RELIANCE |
30-Sep-10 |
SELL BELOW @ |
961.8 |
TARGET |
960.1 |
957 |
946 |
STOP LOSS |
969.0 |
|
RELIANCE |
30-Sep-10 |
BUY ABOVE @ |
966.3 |
TARGET |
969.0 |
974 |
982 |
STOP LOSS |
960.1 |
|
TATASTEEL |
30-Sep-10 |
SELL BELOW @ |
572.5 |
TARGET |
570.7 |
567 |
558 |
STOP LOSS |
579.3 |
|
TATASTEEL |
30-Sep-10 |
BUY ABOVE @ |
576.8 |
TARGET |
579.3 |
584 |
592 |
STOP LOSS |
570.7 |
INTRADAY BINOMIAL
TARGET for NIFTY FUTURE
| BUY |
5604.13 |
Target1 |
5616.61 |
Target2 |
5629.12 |
Target3 |
5654.15 |
Target4 |
5666.68 |
| SELL |
5579.2 |
Target1 |
5566.75 |
Target2 |
5554.32 |
Target3 |
5529.51 |
Target4 |
5492.39 |
Resistance and Support
Level Nifty Future Intra day.
| RESISTANCE |
5616.61 |
5641.62 |
5666.68 |
5691.8 |
5716.97 |
5742.2 |
5780.16 |
| SUPPORT |
5566.75 |
5541.9 |
5517.12 |
5492.39 |
5467.72 |
5443.1 |
5406.27 |
This calculator is being developed Using Nike
Stott's Camarilla Equation and it is Useful for the Day Traders.
Nifty
Future
| L 4 = |
5569.24 |
H 4 = |
5614.06 |
| L 3 = |
5580.44 |
H 3= |
5602.86 |
| L 2 = |
5584.18 |
H 2 = |
5599.12 |
| L 1 = |
5587.91 |
H 1 = |
5595.39 |
If Price hit the
H3 or L3 then
open the trade against the trend. with stop loss
H4 or L4.
If Price hit the H4 or L4
then open the trade in the direction of the trend. with stop loss
H3 or L3.
better approach will be apply the volatility method or Gann mid point method to
identify the trend then use camarilla method for better success
Nifty Future Buy Above Resistance 1 and sell
below Support 1
| Pivot = |
5592.17 |
Pivot = |
5592.17 |
| Resistance 1 = |
5612.28 |
Support 1 =
|
5571.53 |
| Resistance 2 = |
5632.92 |
Support 2 = |
5551.42 |
| Resistance 3 = |
5653.03 |
Support 3 = |
5530.78 |
Call Option Buy-Stop loss-Targets are
5600 call
| STOCK AT |
5604.13 |
STOPLOSS |
5579.2 |
TARGET1 |
5616.61 |
TARGET2 |
5629.12 |
TARGET3 |
5654.15 |
TARGET4 |
5666.68 |
| BUY CALL AT |
67.32 |
STOPLOSS |
49.83 |
TARGET1 |
73.91 |
TARGET2 |
80.89 |
TARGET3 |
95.96 |
TARGET4 |
104.03 |
Put Option Buy-Stop Loss- Targets are
5600 put
| STOCK AT |
5579.2 |
STOPLOSS |
5604.13 |
TARGET1 |
5566.75 |
TARGET2 |
5554.32 |
TARGET3 |
5529.51 |
TARGET4 |
5492.39 |
| BUY PUT AT |
82.93 |
STOPLOSS |
66.35 |
TARGET1 |
89 |
TARGET2 |
95.35 |
TARGET3 |
108.87 |
TARGET4 |
131.18 |
AS PER VOLATILITY BUY AND SELL PRICE
BUY AT
| Buy
|
5597.37 |
| Stop loss |
5556.63 |
| Target -1 |
5617.74 |
| Target -2 |
5628.49 |
| Target -3 |
5638.11 |
| Target -4 |
5647.72 |
SELL AT
| Sell
|
5556.63 |
| Stop loss |
5597.37 |
| Target -1 |
5536.26 |
| Target -2 |
5525.51 |
| Target -3 |
5515.89 |
| Target -4 |
5506.28 |
Expected maximum price range
5658.48 and
expected minimum price range
5496 as per volatility
-------------------------------------------------------------------------------------------------------------------------------------------------
07-09-2010
Tuesday
Intraday
and Positional Call
IF YOU WILL GO THROUGH WWW.BHOOKH.COM
AND CLICK ON IT ONCE A DAY THEN You WILL donate a cup of
staple food to a hungry Indian through the UN.
PLEASE FORWARD THIS SMS TO EVERYONE.
HIGH RISKY BUT ALMOST PROFITABLE:-SHORT
NF
NEAR 5580
STOP LOSS 5616 TO 5636
AND WAIT.
SHORT NF BELOW 5565
STOP LOSS 5597 TARGET 5535 TO 5504.
|
NIFTY FUTURE |
30-Sep-10 |
BUY ABOVE @ |
5601.8 |
TARGET |
5627 |
5658 |
5757 |
STOP LOSS |
5552.2 |
|
NIFTY FUTURE |
30-Sep-10 |
SELL BELOW @ |
5552.2 |
TARGET |
5527 |
5459 |
5360 |
STOP LOSS |
5601.8 |
|
BANKNIFTY |
30-Sep-10 |
BUY ABOVE @ |
11247.1 |
TARGET |
11278.9 |
11342 |
11432 |
STOP LOSS |
11140.4 |
|
BANKNIFTY |
30-Sep-10 |
SELL BELOW @ |
11177.9 |
TARGET |
11140.4 |
11066 |
10878 |
STOP LOSS |
11278.9 |
|
EDUCOMP |
30-Sep-10 |
BUY ABOVE @ |
564.3 |
TARGET |
566.0 |
569 |
574 |
STOP LOSS |
560.2 |
|
EDUCOMP |
30-Sep-10 |
SELL BELOW @ |
561.4 |
TARGET |
560.2 |
558 |
551 |
STOP LOSS |
566.0 |
|
NATIONALUM |
30-Sep-10 |
BUY ABOVE @ |
409.0 |
TARGET |
410.1 |
412 |
416 |
STOP LOSS |
405.7 |
|
NATIONALUM |
30-Sep-10 |
SELL BELOW @ |
406.8 |
TARGET |
405.7 |
403 |
398 |
STOP LOSS |
410.1 |
|
SESAGOA |
30-Sep-10 |
BUY ABOVE @ |
323.5 |
TARGET |
324.3 |
326 |
328 |
STOP LOSS |
321.4 |
|
SESAGOA |
30-Sep-10 |
SELL BELOW @ |
322.1 |
TARGET |
321.4 |
320 |
316 |
STOP LOSS |
324.3 |
|
PATNI |
30-Sep-10 |
SELL BELOW @ |
457.8 |
TARGET |
457.0 |
455 |
450 |
STOP LOSS |
461.4 |
|
PATNI |
30-Sep-10 |
BUY ABOVE @ |
460.0 |
TARGET |
461.4 |
464 |
468 |
STOP LOSS |
457.0 |
|
LICHSGFIN |
30-Sep-10 |
SELL BELOW @ |
1219.3 |
TARGET |
1217.4 |
1214 |
1202 |
STOP LOSS |
1227.9 |
|
LICHSGFIN |
30-Sep-10 |
BUY ABOVE @ |
1224.6 |
TARGET |
1227.9 |
1234 |
1244 |
STOP LOSS |
1217.4 |
|
BANKINDIA |
30-Sep-10 |
SELL BELOW @ |
466.1 |
TARGET |
465.3 |
464 |
459 |
STOP LOSS |
469.6 |
|
BANKINDIA |
30-Sep-10 |
BUY ABOVE @ |
468.2 |
TARGET |
469.6 |
472 |
476 |
STOP LOSS |
465.3 |
INTRADAY BINOMIAL
TARGET for NIFTY FUTURE
| BUY |
5589.46 |
Target1 |
5601.93 |
Target2 |
5614.42 |
Target3 |
5639.42 |
Target4 |
5651.93 |
| SELL |
5564.56 |
Target1 |
5552.13 |
Target2 |
5539.72 |
Target3 |
5514.94 |
Target4 |
5477.87 |
Resistance and Support
Level Nifty Future Intra day.
| RESISTANCE |
5601.93 |
5626.91 |
5651.93 |
5677.02 |
5702.15 |
5727.36 |
5765.26 |
| SUPPORT |
5552.13 |
5527.31 |
5502.57 |
5477.87 |
5453.23 |
5428.64 |
5391.86 |
This calculator is being developed Using Nike
Stott's Camarilla Equation and it is Useful for the Day Traders.
Nifty
Future
| L 4 = |
5532.64 |
H 4 = |
5621.36 |
| L 3 = |
5554.82 |
H 3= |
5599.18 |
| L 2 = |
5562.21 |
H 2 = |
5591.79 |
| L 1 = |
5569.61 |
H 1 = |
5584.39 |
If Price hit the
H3 or L3 then
open the trade against the trend. with stop loss
H4 or L4.
If Price hit the H4 or L4
then open the trade in the direction of the trend. with stop loss
H3 or L3.
better approach will be apply the volatility method or Gann mid point method to
identify the trend then use camarilla method for better success
Nifty Future Buy Above Resistance 1 and sell
below Support 1
| Pivot = |
5558.28 |
Pivot = |
5558.28 |
| Resistance 1 = |
5607.97 |
Support 1 =
|
5527.32 |
| Resistance 2 = |
5638.93 |
Support 2 = |
5477.63 |
| Resistance 3 = |
5688.62 |
Support 3 = |
5446.67 |
Call Option Buy-Stop loss-Targets are
5600 call
| STOCK AT |
5589.46 |
STOPLOSS |
5564.56 |
TARGET1 |
5601.93 |
TARGET2 |
5614.42 |
TARGET3 |
5639.42 |
TARGET4 |
5651.93 |
| BUY CALL AT |
59.29 |
STOPLOSS |
43.18 |
TARGET1 |
65.43 |
TARGET2 |
71.96 |
TARGET3 |
86.16 |
TARGET4 |
93.82 |
Put Option Buy-Stop Loss- Targets are
5600 put
| STOCK AT |
5564.56 |
STOPLOSS |
5589.46 |
TARGET1 |
5552.13 |
TARGET2 |
5539.72 |
TARGET3 |
5514.94 |
TARGET4 |
5477.87 |
| BUY PUT AT |
84.17 |
STOPLOSS |
66.79 |
TARGET1 |
90.56 |
TARGET2 |
97.22 |
TARGET3 |
111.43 |
TARGET4 |
134.85 |
AS PER VOLATILITY BUY AND SELL PRICE
BUY AT
| Buy
|
5504.93 |
| Stop loss |
5464.87 |
| Target -1 |
5524.97 |
| Target -2 |
5535.54 |
| Target -3 |
5545 |
| Target -4 |
5554.46 |
SELL AT
| Sell
|
5464.87 |
| Stop loss |
5504.93 |
| Target -1 |
5444.83 |
| Target -2 |
5434.26 |
| Target -3 |
5424.8 |
| Target -4 |
5415.34 |
Expected maximum price range
5565.03 and
expected minimum price range
5405 as per volatility
--------------------------------------------------------------------------------------------------------------------------------------------------
DISCLOSER: -
Please kindly note that this is a purely technical advice as our family members
or we haven't any share or not any open position of the companies shares as
mentioned. We are not at all dealing with these companies.
|
Disclaimer: |
|
This
opinions mentioned therein are for informational purposes and is not a
recommendation or an offer or solicitation of an offer to any person with
respect to the purchase or sale of the stocks/futures discussed in this
report.
We (all the PSP editor’s) do not accept any liability arising from the use
of this document
All
technical chart and daily tips prepared for educational purposes only.
|