Hello tck ji dekha na ugar ko. High 29.9. Cmp 28.2 around. Jsk. 30 rs pe hmare grp ke 60000 se jyada stock sell ko rakha tha par kisine buy ki himmat nhi dikhae. Jab tak 30 cross nhi karta tab tak 34--35 nhi aayega. Ek baar 30 cross ho gya to direct 34--35 le jayenge. Jsk
HawkEyeji. As told earlier also JHS will be 200/- by Dec 2018. This can be the last qtr for UGAR SUGAR & all sugar companies, your other query Yes HUDCO will cross 100 in a few days, As for your last query both are good but you can say DIVIS IS BETTER
Hfg sugar story is not over in this quater. Abhi bhi continues he. Don''t worry. Jsk. Abhi aur upside baki he sabhi stock me. Ugar technically strong above 30 only. Jsk
hfgji, Internationally the price of sugar has fallen drastically, at present the Govt has increased the import duty but for HOW LONG? So do your own research about international sugar price and THEN AND ONLY THEN INVEST IN SUGAR SECTOR.
hfgji, Internationally the price of sugar has fallen drastically, at present the Govt has increased the import duty but for HOW LONG? So do your own research about international sugar price and THEN AND ONLY THEN INVEST IN SUGAR SECTOR. Jsk. Read friends ye bhuddha bata raha he ki International sugar prise down he aur sugar story over. This is last quarter. But see all sugar stock prise except ugar aur other 1--2 are at year''s high and daily create new high. Jsk
MOTABHAI (Win Win) - JSK , JHS is showIng good sign ... performance to be superlative ... HUDCO steadily going Strong ... Mundra port all time High ... which stock is recommended to buy for short time and quick profit ....
Today block deal in Dhampur sugar at 282.9. Share 212000. Triveni enge at 102.8. Share 757000. Other 1122929 share at 106. In Dwarikesh sugar 2 block deal happen. See friends bade invester sugar stock me ye prise par bhi fresh buying kar rahe he. Ab aap hi sabhi samjo ki abhi aur kitni long chalegi sugar story. Isiliye kaha tha pehle bhi hold rakhna apne sugar stock ko. Jsk
*Dear Friends,* *Following is the Analysis on Several Indices including Nifty, Bank Nifty, Major Sectorial indices, All F&O Stocks, Small Cap & Mid Cap along with VIX & USDINR and Derivatives Outlook in addition to Global Markets outlook including Crude.*
*CNX Nifty* *(CMP 10066):*
Index in the past week has closed 0.5% positive W-o-W once again closed at record life-time highs.
With the Underlying Medium Term Trend still positive, Going Forward, Till Support Zone of 9930 is intact, Index in the current upmove could move upto 10250-10300 on the higher side, face resistance there. Break & sustenance below 9930 with volumes could pave in a way for a short term correction in Nifty upto 9810-9760.
Overall, For the next week, Nifty Range could be 9930 – 10300.
On the Derivatives Front, Highest OI is concentrated at 10000-9900 PE with 50-41 lakh each and 10100-10300 CE with 35 Lakhs each; making a range of 9930 to 10250 / 10300 levels in current series.
Technically, Oscillators RSI, Stochastic & MACD are placed below their respective averages on daily as well as on weekly charts.
*BANKNIFTY* *(CMP 24827)*:
Index in the past week has closed at record high levels closing 1% positive for the week.
However, Till Support Zone of 24400 is intact, Index could continue its upmove upto 25300 - 25400 on the higher side, face resistance there. Break & sustenance below 24400 with volumes could pave in a way for a short term correction in Nifty upto 23950 - 23800.
Overall, For the next week, Nifty Range could be 24400 - 25400.
Technically, Oscillators RSI, Stochastic & MACD are placed above their respective averages on daily as well as on weekly charts.
*NIFTY IT INDEX: CMP 10757: Buying Support likely to be witnessed on dips.*
Index will get support around 10550 & Going Forward, Till 10550 is held, Index will continue its upside upto 11050-11100. Only on a breach below 10550, support zone 10250-10100 will be retested.
*USDINR (CMP 63.65):*
Till USDINR does not cross 64.50, it can retest supports upto 62.70-62.40 zone. Above 64.50, will move upto 65.50-66.
*BRENT CRUDE ($ 52.50):*
Till Crude prices holds 49, expect a rebound upto 54-55$. Break-Down below 49, will lead to short-covering upto 44-43.
*DOW JONES (CMP 22092):*
Dow Jones in the last week has closed 1% positive for the week. Going Forward, Till support zone of 21800-21850 holds, Index will further move upto @ 22350-22450. On a break below 21800, support zone of 21400-21250 will be retested.
*_Acmiil Derivatives Update :_* *_03-Aug-2017_*                                            *Nifty Spot :* 10013.65 (-67.85) (-0.67%)                      *Bank Nifty Spot :* 24675.05 (-1.52%)                      *India VIX :* 11.64 (-2.51%)                      *Nifty Premium :* 29.35 Points                      *Nifty Fut OI (Total):* 2.29 Cr shs (+3.10%)                      *Bank Nifty Fut OI:* 23.90L shs (-8.97%)                      *Nifty PCR:* 1.21 Vs 1.26                                                                  *_Major Changes in Nifty August Options OI :_*                                             *_Calls :_*                              9800 : -0.25 (Lakh) , 11.67 (Lakh)                 9900 : -0.38 (Lakh) , 14.78 (Lakh)                 10000 : 1.15 (Lakh) , 26.34 (Lakh)                 10100 : 7.36 (Lakh) , 40.95 (Lakh)                 10200 : 4.30 (Lakh) , 39.88 (Lakh)                 10300 : 6.25 (Lakh) , 33.95 (Lakh)                 10400 : -0.18 (Lakh) , 32.16 (Lakh)                                       *_Puts :_*                      9600 : -0.86 (Lakh) , 26.44 (Lakh)                 9700 : 0.49 (Lakh) , 35.02 (Lakh)                 9800 : -0.98 (Lakh) , 42.02 (Lakh)                 9900 : 0.02 (Lakh) , 39.15 (Lakh)                 10000 : -2.12 (Lakh) , 46.27 (Lakh)                 10100 : -1.56 (Lakh) , 18.87 (Lakh)                 10200 : -0.41 (Lakh) , 8.96 (Lakh)                                       *_Highest OI Nifty :_* _Calls   10100 : 40.95L -  Puts 10000 : 46.27L_                                             *_Highest OI Bank Nifty (10 Aug)  :_* _Calls 25500 :  5.42L -  Puts 24800 : 8.01L_                                            *Change in Stock OI :*                                            *Long Buildup :* INFIBEAM,  INFRATEL,  FORTIS,  ACC,  GODREJIND,  AMBUJACEM,  BPCL,  COLPAL,                                     *Short Buildup :*  CUMMINSIND,  LUPIN,  JINDALSTEL,  RAMCOCEM,  CIPLA,  CANBK,  UNIONBANK,  PAGEIND,  SYNDIBANK,  COALINDIA,  NATIONALUM,  INDIACEM,  DRREDDY,  AMARAJABAT,  CANFINHOME,  DISHTV,  GSFC,  SUZLON,  ARVIND,  HDIL,  BERGEPAINT,                        *Short Covering :*  CADILAHC,  AUROPHARMA,  WOCKPHARMA,  HEROMOTOCO,  PIDILITIND,  SIEMENS,  HAVELLS,  TECHM,  BATAINDIA,                                    *Long Unwinding  :* JUBLFOOD,  ADANIPORTS,  MOTHERSUMI,  CHOLAFIN,  ASHOKLEY,  PCJEWELLER,  JETAIRWAYS,  APOLLOTYRE,  SHREECEM,  CAPF,  HEXAWARE,  CANFINHOME,  ALBK,                                                      *Regards,*                      jsk        Â
#1QWithCNBCTV18 Ujjivan: HOWLER Net loss at 75 cr Vs profit of 19.3 cr GNPA at 6.16% % vs 0.28% NNPA at 2.30% vs 0.03%
#1QWithCNBCTV18 | Ujjivan Q1 Cons Net Loss At Rs 75 Cr Vs Profit Of Rs 19.3 Cr (QoQ), Cons Income At Rs 323.4 Cr… https://t.co/5BxAdyvr45
#1QWithCNBCTV18 | Ujjivan Q1 Cons (QoQ) Net Loss At Rs 75 Cr Vs Profit Of Rs 19.3 Cr; Income At Rs 323.4 Cr Vs Rs 3… https://t.co/6mEtsWujnm. Jsk. Ujjivan kal to gya kam se
2-Aug: FII''s net sell (-Rs1,551cr) in derv. Net sell indx fut: (-Rs1,060cr), indx opt: (-Rs503crs) & indx opt: (-Rs42cr). Net buy stk opt: +Rs53crs. Net sell directional futures: (-Rs1,102crs).
2-Aug: Participant wise Activity          Â
A) FII Index Fut: * Contracts: Net Sell (-13,819cts) = Fresh Short (-13,965cts) & Fresh Long +146cts. * Value: Net Sell (-Rs1,060crs) = Fresh Short (-Rs1,035crs) & Long Closure (-Rs25crs).
B) FII Index Call Options: * Contracts: Net Sell (-5,861cts) = Fresh Short (-3,605cts) & Long Closure (-2,256cts).
C) FII Index Put Options: * Contracts: Net Buy +921cts = Short Closure +1,439cts & Long Closure (-518cts).
D) DII Index Fut: * Contracts: Net Sell (-6cts) = Fresh Short (-6cts).
E) Prop Index Fut: * Contracts: Net Buy +3,839cts = Short Closure +85cts & Fresh Long +3,754cts.
F) Clients Index Fut: * Contracts: Net Buy +9,986cts = Fresh Short (-3,680cts) & Fresh Long +13,666cts.
G) FII Stk Fut: * Value: Net Sell (-Rs42crs) = Fresh Short (-Rs16crs) & Long Closure (-Rs16crs).. Jsk
Dekh winwin kal jab ye srt finance 24 ts up tha tab to tune quantity nhi puchi thi aur aaj jab sl 4.75 rs trigger hua to loss ki quantity puch raha he. Better mere bich me mat bol. Loss or profit dono stock market ke part he. Aur ha mere grp me 25--30 ne 108---110 me buy kiye the sabhi ko 113--114 me profit book karaya he. Jsk
Dekh win win venus remedies cash ka stock he aur hum 1 share bhi buy kar sakte he tu kya samja ki ye future ka stock he. Andhe sale F&O me kabhi trade kiya nhi aur bolta he ki hum ne 10300 ce buy ki. Teri ma ne kabhi ye stock venus remedies F&O me dekha he ki puchta he kitle lot buy kiye the. Jsk