Daily News Letter Dated 14th 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: 14 February 2012
NIFTY:
Last Close: 5390.20 (Up 8.60)
Resistance Levels: 5450, 5500, 5580, 5650, 5800
Support Levels: 5320, 5200, 5050, 4950, 4820
SENSEX:
Last Close: 17772.84 (Up 24.15)
Resistance Levels: 18000, 18300, 18700, 19000
Support Levels: 16650, 16300, 16850, 16350, 15850
Nifty is finding touch to cross & hold above 5450 above which 5600 can be seen in coming days. We are highly cautious at rise & expect market to correct soon, but once should trade with hedging. Nifty has support at 5320—5200 below which panic can arise.
Hot Sectors for Today: Metals & Telecom.
BTST/ STBT in last trade (Fut.):
Sesagoa (Avg) (Sell– 246.25; SL- 255; Tgt Later)
SCRIP NAME (CMP) | ENTRY LEVEL | TGT1 | TGT2—3 | SL | COMMENTS | ||
Hot Today | |||||||
BHARTIARTL (347) | Must buy At 347--340 | 353 | 356—359 | 337 | Technical pullback toward 360 can be seen today | ||
IFCI (40.90) | Sell At 41—42 | 40 | 39.50—39 | 43 | High risk trader should sell on rise with tight SL | ||
Derivative- Future (Strategy for today) | |||||||
ICICIBANK (936.05) | Must sell At 938—955 | 920 | 910—900 | Abv 970 | Max Profits: Unlimited | Profit booking can be seen from higher levels. | |
ICICI CE 940 (20.00) | Buy when you sell Fut. | Hedging Position | |||||
Max Loss: Rs 3750 | |||||||
STER (129.50) | Sell At 130—133 | 127 | 126.50—125 | Abv 135 | Max Profits: Unlimited | All Metals are looking tired & can fall at rise. | |
STER CE 130 (3.80) | Buy when you sell Fut. | Hedging Position | |||||
Max Loss: Rs. 4000 | |||||||
Derivative- Option Strategy | |||||||
NIFTY PE 5400 (63.50) | Must Buy At 60—45 | Options Trading strategy with High Risk- High Gain. | Max Profits: Unlimited | One should trade & hold for 5-8 days 4 good gain. | |||
NIFTY CE 5500(33.50) | Sell 2 Lot with PE 5400 | ||||||
Max Loss: Rs. 3000 | |||||||
Investment Pick (Long Term) | |||||||
………… (……..) (…….) | Must Buy At ………… | …….. | ………….. | …………………… |
Last Trade (13th Feb 2012) Performance in all type of equity segment calls: Maximum Profit/Loss: Rs. 46800.00 Approx.
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