Monday, September 15, 2008

FII DATA
FII 15/09: -763.02 Cr. (Prov)
DII15/09: 1328.13 Cr. (Prov)
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When we hear of the news of lehman brother is going to file for bankruptcy the first thing that comes to our mind is the day when bear and stearns sold all its holding in indian company ,So same thing might happen to the holding that Lehman brother has in indian company , they might just sell the stock in the market at whatever price they can to cover losses , so please see if you hold any of these company and make a wise decision .For info Lehman Brothers are considered as FII for indian market , so they do hold lot of company in its portfolio.
List of Indian Company that Lehman Brothers Hold
>Amtek Auto>Amtek India>Anant Raj Inds.>Ansal Housing>Asian Electronic>Aztecsoft>Champagne Indage>Consolidated Con>Cranes Software>Develop.Cr.Bank>Dhampur Sugar>Edelweiss Cap>Emkay Global>Era Infra>Fedders Lloyd>Genus Power>Geometric Ltd>Godawari Power and ispat>Golden Tobacco>Gremach Infra>IFCI>Indo Asian>IOL Netcom>IVRCL Infrastruce>Kalpana Inds.>Karuturi Global>KPIT Cummins Info>Logix Microsys.>Lumax Inds.>Madras Cement>Mangalore Chem.>Mastek>Nava Bharat Ventured>Northgate Technologies>Orbit Corporation>Pioneer Embroideries>Prajay Enggineering>Prithvi Info>PSL>Rolta India>S Kumars Nation>Spice Communication>Spice Mobiles>Triveni Engg Ind>Tulip Telecom>Vijay Shanthi Builders>Voltamp Transformers>West Coast Paper

ONLY POSITIONAL TRADERS
YOU HAVE TO CARRY THESE SHORTS FOR TOMMOROW.
IF NIFTY TRADES/CLOSES BELOW 4075,TGT 3960,3920.
CARRY THESE SHORTS FOR TOMMOROW.
KEEP YOUR QUANTITY LIMITED.
KEEP MARGINS INTACT SOINCASE NIFTY BOUNCES TO 4100-4150,WE CAN SHORT MORE AND BUY MORE PUTS.

POSITIONAL TRADERS
BUY NIFTY 4000 PUT,TGT 160,190.SHORT SAIL TGT 132,128.
SHORT ITC TGT 183,178.
SHORT ACC TGT 555,545.
SHORT MCDOWELL IF TRADES BELOW 1300 TGT 1275,1225.CARRY SHORTS

NIFTY FUT: If downtrend continues then it will fall up to 3945.80-3947.80 zone. Rallies up to 4002.05 can be used to sell. SL at 4098.90 level

ONLY POSITIONAL TRADERS
COVER ALL YOUR SHORTS NOW.EACH AND EVERY SHORT.WE WILL WAIT FOR A BOUNCE TILL SPOT 4100 TO REVIEW AGAIN.
COVER ALL SHORTS AND NIFTY PUTS.

POSITONAL TRADERS
BANKINDIA TGT 270,265.COVER 50% ITC,REST COVER 50% NEAR 178.COVER PUTS.
START COVERING YOUR SHORTS NOW.LET US REVIEW THE SITIUATION FOR 2 HOURS.

POSITIONAL TRADERS
DONT COVER BANKINDIA,ITC AS OF NOW.COVER TOTAL SULON,RCOM,ONGC,ACC.COVER 70% SBI ALSO,SBI TGT 1400,1380. COVER YOUR ALL,EACH AND EVRY SHORT NEAR SPOT 3980 ONCE.

POSITIONAL TRADERS
COVER 70% OF YOUR NIFTY 4300 PUTS.250 TARGET HITS.
COVER 70% OF YOUR ALL SHORTS IMMEDIATELY.
IF SPOT NIFTY TRADES BELOW 4020,THE TARGETS ARE 3980,3920.
intraday
NIFTY FUT: If downtrend continues then it will fall up to 3978.05-3980.05 zone. Rallies up to 4066.60 can be used to sell. SL at 4098.90 level.
NIFTY FUT: Sell with a Stop Loss of 4098.90 level. Target at 4026.50-4028.50 zone. SMS sent at 09.58 AM.

SENSEX (Pre-Market): Weak opening expected. Expected to open weak at around 540-560 points lower.
NIFTY FUTURES (F & O)
Selling may continue up to 4204-4206 zone by non-stop.

Above 4256-4258 zone, expect short covering up to 4307-4309 zone by
non-stop.

Sell if touches 4355-4357 zone. Stop Loss is too far on upper side and
can be placed at 4436-4438 zone.

On Negative side, if breaks & sustains at below 4156-4158 zone then downtrend may continue.

Short-Term Investors:

Short-Term Upward Target at 4484-4486 zone.

Short-Term Support at at 4107-4109 zone.

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Strong & Weak futures

This is list of 10 Strong Future:
BOB, Jindal Saw Limi, OBC, Great Offshore , Indian Overseas, IndianBk,Bharat Petro, Hind.Petrol.,Mphasis & Karnataka Bk..
And this is the list of 10 Weak stocks:
Chennpetro, Jswsteel, Gitanjali, Tatasteel, Gujalkali, Geship, Jindalstel, Sesagoa, Ster,& Hdil.



Nifty is in Down Trend.
-

MARUTI UDYOG (NSE Cash):

Avoid Short Selling in this scrip. Rebound expected.

Support at 678 level.

Rebound expected at around this level. If not, then problem for bulls too.

Hurdle at 730 level. Supply expected at around this level. This supply should get absorbed too.

HINDUSTAN UNILEVER FUTURES (NSE):

Avoid Short Selling in this scrip. Rebound expected.

Support at 242 level.

Rebound expected at around this level. If not, then problem for bulls too.

Hurdle at 255 level. Supply expected at around this level. This supply should get absorbed too.

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1. US DJ Future Market is trading with -300

2. All Asian market trading in -ve.

3. Market will open with Flat / very small gap up and trending towards -ve.

4. Don't trade in first 15 to 20 minutes.

5. More pain in due, so avoid fresh longs

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The Dow Jones Industrial Average closed at 11,421.99. Down by 11.72 points.

The Broader S&P 500 closed at 1,251.70. Up by 2.65 points.

The Nasdaq Composite Index closed at 2,261.27. Up by 3.05 points.

The partially convertible rupee <INR=IN> ended at 45.75/76 per dollar on Friday, weaker

than its close of 45.56/57 on Thursday.


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SELL SENSEX STOCKS
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-ve to Market

1. Profit Booking 2. Continuous FII selling. 3. Technical weakness 4. Rs.Vs$, 5. Inflation 6. Sentiment Weak 7. US Market 8. Asian Market 9. SGX sentiment 10. Leehman will file for bankrupt. 11. more falls expected in DJI today trading.


--
Arvind Parekh
+ 91 98432 32381