Daily Equity Report

Page 1

Daily Newsletter-Equity 29/03/2012

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MARKET WRAP Indian equity markets remains negative, Nifty down 48pts & Sensex 135pts. EUR money supply 2.8%, GBP GDP q/q -0.3%, ahead crude oil inventories. Crude traded marginally higher after sideways move, Dow future down 67pts.

The market was negative today on F&O expiry tomorrow, traders rollover position may takes market remains volatile. Nifty down 48pts settles at 5194 &Sensex 135pts settles at 17121.Bank & Realty were biggest losers. Euro markets were flat, CAC up 1pts at 3471 & FTSE down 6pts at 5862, DAX up 4pts at 7083. Dow Futures was down 67 pts.

MARKET PERFORMANCE NIFTY GAINERS COMPANY NAME

CURRENT

PREV. CLOSE(RS)

CHANG.(RS)

CHAG.(%)

Tata Steel

455.10

447.00

8.10

1.81

Ranbaxy Labs

419.50

413.05

6.45

1.56

Siemens

770.10

760.80

9.30

1.22

Maruti Suzuki Dr Reddys Lab

1288.30 1699.00

1273.70 1681.00

14.60 18.00

1.15 1.07

NIFTY LOSERS COMPANY NAME

CURRENT

PREV. CLOSE(RS)

CHANG.(RS)

CHAG.(%)

JP Associate

76.95

81.25

-4.30

-5.29

Cairn India

340.55

354.80

-14.25

-4.02

Reliance Power

115.40

119.90

-4.50

-3.75

Kotak Mahindra Bank

521.15

539.30

-18.15

-3.37

Reliance Comm

84.35

87.15

-2.80

-3.21 www.capitalheight.com capitalheight.wordpress.com


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SECTORIAL INDICES INDEX

P. CLOSE

OPEN

HIGH

LOW

LAST

% CHANGE

S&P CNX NIFTY

5,243.15

5,231.70

5,236.55

5,169.60

5,194.75

-0.92

CNX NIFTY JUNIOR

10,213.70

10,213.15

10,213.15

10,065.00

10,100.15

-1.11

INDIA VIX

25.05

25.05

25.83

24.82

24.87

-0.71

CNX 100

5,138.10

5,128.60

5,131.35

5,065.70

5,089.15

-0.95

S&P CNX DEFTY

3,586.05

3,563.90

3,565.75

3,526.35

3,541.45

-1.24

S&P CNX 500

4,168.55

4,162.25

4,162.65

4,112.80

4,129.15

-0.95

CNX MIDCAP

7,581.55

7,581.45

7,581.45

7,474.70

7,498.35

-1.10

NIFTY MIDCAP 50

2,279.50

2,277.45

2,277.45

2,234.95

2,239.15

-1.77

BANK NIFTY

10,148.85

10,122.05

10,122.05

9,901.20

9,960.40

-1.86

CNX ENERGY

7,424.55

7,423.45

7,443.50

7,310.50

7,335.15

-1.20

CNX FMCG

11,359.80

11,355.70

11,423.40

11,315.00

11,371.15

0.10

CNX INFRA

2,491.75

2,486.10

2,503.30

2,464.85

2,473.05

-0.75

CNX MNC

5,182.60

5,176.35

5,182.35

5,130.80

5,161.85

-0.40

CNX PHARMA

4,883.65

4,892.95

4,920.00

4,866.15

4,898.25

0.30

CNX PSE

2,851.55

2,854.85

2,856.90

2,808.05

2,811.15

-1.42

CNX PSU BANK

3,390.85

3,385.05

3,385.05

3,302.55

3,324.95

-1.94

CNX REALTY

235.75

234.75

234.75

230.45

231.65

-1.74

CNX SERVICE

6,406.20

6,389.40

6,389.40

6,288.65

6,320.75

-1.33

CNX IT

6,507.30

6,492.50

6,495.10

6,403.15

6,450.65

-0.87

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NSE STATS ADVANCES DECLINES UNCHANGED

14 35 01

INDEX MOVERS (PULLING IT UP) COMPANY NAME Tata Steel ITC L&T Dr Reddys Lab Maruti Suzuki

CONTRIBUTION 1.77 1.30 0.80 0.73 0.63

INDEX MOVERS (PULLING IT DOWN) COMPANY NAME

CONTRIBUTION

HDFC SBI ONGC Infosys ICICI Bank

-3.16 -4.17 -4.46 -5.13 -6.93

CORPORATE ACTIONS (29-Mar-2012) COMPANY NAME Piramal Healthcare

United Phosphorus

BPL

Shriram City Union

Jyothi Infraventures

TCI Inds

IFB Indus

Anjani Synthetics

Shasun Pharm

Atharv Enter

Dhanlaxmi Fabrics

Indoco Remedies

Lyka Labs

Pochiraju Inds

Pondy Oxides

Mudra Lifestyle

Sungold Capital

Super Tannery www.capitalheight.com capitalheight.wordpress.com


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FII TRADING ACTIVITY (NSE & BSE) In Crores CATEGORY

DATE

BUY VALUE

SELL VALUE

NET VALUE

FII

28-MAR-2012

3009.32

2966.33

42.99

DII TRADING ACTIVITY (NSE & BSE) In Crores CATEGORY

DATE

BUY VALUE

SELL VALUE

NET VALUE

DII

28-MAR-2012

1039.42

1329.47

-290.05

F&O TRADE STATISTICS PRODUCT

NO OF CONTRACTS

TURNOVER. IN RS. CR.

PUT CALL RATIO

Index Futures

740509.00

18322.77

-

Stock Futures

897032.00

25080.33

-

Index Options

5374593.00

141746.47

0.95

Stock Options

139334.00

3890.14

0.53

F&O Total

7151468.00

189039.70

0.94

ASIAN MARKETS Name

Open

High

Low

Current Value

Change

% Chg

Nikkei 225

10153.51

10197.80

10124.28

10182.57

-72.58

-0.71

Hang Seng

20959.98

20989.58

20798.09

20885.42

-161.49

-0.77

Taiwan

8074.64

8085.43

8013.80

8038.07

8.61

0.11

KOSPI

2034.35

2038.45

2028.11

2031.74

-8.02

-0.39

Jakarta

4,079.29

4,091.94

4,063.80

4,090.57

11.19

0.27

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TECHNICAL VIEW NIFTY DAILY PIVOT SCRIPT NIFTY

R4 5402

R3 5335

R2 5268

R1 5231

P 5201

S1 5164

S2 5134

S3 5067

S4 5000

OUTLOOK Trend: - Consolidate Resistance: - 5250, 5300 Support: - 5150, 5075 Strategy: - Buy on dips

NIFTY DAILY

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BANK NIFTY DAILY PIVOT SCRIPT BANK NIFTY

R4 10732

R3 10491

R2 10250

R1 10108

P 10009

S1 9867

S2 9768

S3 9527

S4 9286

OUTLOOK Trend: - Consolidate Resistance: -10150, 10250 Support: - 9850, 9775 Strategy: - Buy on dips BANK NIFTY DAILY

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Stock Recommendation CapitalHeight’s

stock recommendation for 29/03/12 is Hexaware Tech.

Hexaware Tech having bearish trend for short term. It have double top in its daily chart from where it is pullback, and at present trading on its support level. In today’s trading session also it remains negative. In upcoming session below its support level some more down trend can be expected. Hexaware is expected to test the level of 106-105 in the near term continuing which may test the level of 103.

Our recommendation on Hexaware tech is SELL below 107 for the Tg of 105 & 104.

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