Daily News Letter Dated 13th February 2012-Gain from us. Visit: http://www.ibnservice.com/ OR http://ibnservices.blogspot.com/ OR http://nse-bse.blogspot.com/ OR http://mcx-ncdex.blogspot.com/
Daily News Letter
Date: 13 February 2012
NIFTY:
Last Close: 5381.60 (Down 30.75)
Resistance Levels: 5450, 5500, 5580, 5650, 5800
Support Levels: 5320, 5200, 5050, 4950, 4820
SENSEX:
Last Close: 17748.69 (Down 82.06)
Resistance Levels: 18000, 18300, 18700, 19000
Support Levels: 16650, 16300, 16850, 16350, 15850
All eyes will be on Greece bailout news. We can see selling pressure on rise. Traders should keep hedging with option to avoid major losses. Nifty has support at 5320—5300 & any close below this can show further panic in coming days.
Hot Sectors for Today: Bank & Infra.
BTST/ STBT in last trade (Fut.):
Chamblfert (Buy– 87.45; SL- 86; Book Partial At 88.50)
SCRIP NAME (CMP) | ENTRY LEVEL | TGT1 | TGT2—3 | SL | COMMENTS | ||
Hot Today | |||||||
DCHL (50.00) | Must buy At 50--49 | 51 | 51.5—52 | 48 | Good mid-cap pick for short term traders Tgt 60 | ||
VOLTAS (99.25) | Buy At 99—97 | 101 | 102—103 | 95 | Keep an eye & trade with trend for good upside. | ||
Derivative- Future (Strategy for today) | |||||||
SESAGOA (235.00) | Must sell At 235—240 | 230 | 228—226 | Abv 245 | Max Profits: Unlimited | Stock can show profit booking from higher lvl | |
SESA CE 240 (7.00) | Buy when you sell Fut. | Hedging Position | |||||
Max Loss: Rs 5000 | |||||||
BANKBARODA (834.9) | Sell At 835—850 | 820 | 812—805 | Abv 860 | Max Profits: Unlimited | One can sell banking stocks at rise for gain. | |
BANKBA CE 860 (7.5) | Buy when you sell Fut. | Hedging Position | |||||
Max Loss: Rs. 5000 | |||||||
Derivative- Option Strategy | |||||||
SBIN PE 2150 (69.00) | Must Buy At 65—50 | Options Trading strategy with High Risk- High Gain. | Max Profits: Unlimited | One should trade & hold for 4-6 days 4 good gain. | |||
SBIN CE 2250 (38.65) | Sell 2 Lot with PE 2150 | ||||||
Max Loss: Rs. 8750 | |||||||
Investment Pick (Long Term) | |||||||
………… (……..) (…….) | Must Buy At ………… | …….. | ………….. | …………………… |
Last Trade (10th Feb 2012) Performance in all type of equity segment calls: Maximum Profit/Loss: Rs. 129200.00Approx.
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