Sector Indices Closing Statistics Closing Statistics Nifty by jolinmilioncherie

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                                                                                                                                              16-5-2012

Market expected to follow global cues
Markets have ended higher in trades yesterday led by gains in the capital                  Closing Statistics
goods stocks. The BSE Sensex and NSE Nifty snapped five-day losing
streak on Tuesday, gaining 0.7% each on the back of stabilisation in                       Home Indices
European markets and Indian rupee. Index heavyweights L&T, ICICI
Bank, Infosys and State Bank of India led the upmove. Nifty closed at
                                                                                                                                            Points           %
4,942.80, up 35 points, or 0.71 per cent and Sensex ended at 16,328.25, up                Index                Close    Prev. close
                                                                                                                                            change       Change
112.41 points, or 0.69 per cent. The rupee recovered, after falling below the
54 per dollar level in the morning, on suspected RBI intervention. Global                 S&P Nifty        4,942.80         4,907.80          35.00        0.71
markets and the domestic economic situation have been putting pressure on                 SENSEX          16,328.25        16,215.84         112.41        0.69
the stock markets for the past two months. NSE Nifty opened on a slightly                 MIDCAP           5,925.77         5,888.95          36.82        0.63
negative note on weak Asian cues. It opened below 4,900 and traded for a                  SMLCAP           6,335.27         6,314.57          20.70        0.33
while in red. However Nifty quickly pared its losses on bottom fishing and
bargain buying. Nifty touched the low of 4,868.55 early on and then
proceeded to gain strength as the session progressed. Initial buying was                   Sector Indices
seen in capital goods stock L&T, as sentiments improved for the counter on
better than expected Q4FY12 results declaration yesterday. On technical
front Nifty has pulled back little yesterday and if Nifty moves above 4960                Index                                             Points           %
                                                                                                                Close   Prev. close
and with this if global cues remain positive today then we may witness                                                                      change       Change
pullback rally to continue and Nifty can move up to 5000 near future.                     CG               9,110.26          8,838.65         271.61       3.07
European shares provisionally closed at their lowest level since the start of             METAL           10,272.71        10,050.62          222.09       2.21
2012, led by a fresh slide in euro zone banks, after attempts to form a                   IT               5,590.27         5,504.56           85.71       1.56
government in Greece collapsed. U.S. stocks faded in the final hour of                    TECk             3,251.22         3,216.15           35.07       1.09
trading Tuesday. Asian shares fell on Wednesday.                                          HC               6,689.47         6,625.53           63.94       0.97
                                                                                          REALTY           1,555.59         1,541.89           13.70       0.89
Global cues are negative today as all the world market are in red with them
SGX Nifty is showing 66 points down tick in morning trade indicating that                 BANKEX          10,744.45        10,661.64           82.81       0.78
Indian market would open on a negative note. Nifty is likely to trade                     PSU              6,677.21         6,650.13           27.08       0.41
between 4850 and 4950 with downward biasness.                                             AUTO             9,741.92          9,715.47          26.45       0.27
                                                                                          POWER            1,812.00          1,808.48           3.52       0.19
                                                                                          OIL&GAS          7,425.25          7,420.47           4.78       0.06
Nifty: 4942.80                                                                            CD               6,632.40          6,630.56           1.84        0.03
                                                                                          FMCG             4,601.44          4,631.02         -29.58       -0.64
Resistance:                 Support:                      200DMA:
4960, 5000                  4860, 4800                    5095
The Technical Three                                                                                                S&P NIFTY 15/05/2012
                                                                                               4963
These are specially selected stock for traders. Short term trading calls are meant for
cash or futures trading, having a holding period of 5-6 days.
                                                                                               4943
Short Term Trading
LT: 1222.25                 Buy Above:           1235       Target:          1309              4923
                            Stop Loss:           1199       Holding Period: 5 to 6 days
                                                                                               4903
Intra Day trading
TATASTEEL: 418.15           Buy Above:           420        First Target     425               4883
                            Stop Loss:           415.50     Second Target 431
                                                                                               4863
ITC: 230.85                 Sell Below:          230        First Target  227.60
                            Stop Loss:           232.30     Second Target 225.30                      9   10       11         12        1            2     3




                                                                                                                                                1
World Market at a glance

                                                                                 Rebekah Brooks rose from secretary to chief executive
Index                 Last Rate      Prev. Close       Points    %Change         of Rupert Murdoch's British newspaper group, but the
                                                                                 woman who once partied with prime ministers now
SGX Nifty             4,868.00              4,934       -66.00       -1.34       faces criminal charges and possible prison time.
                                                       Updated On 8.00a.m        The survey was conducted before news that the euro
                                                                                 area narrowly escaped recession by stagnating in the
                                                                                 first quarter instead of shrinking.
                                                                                 Hedge funds are positioned to squeeze more profits
World Indices                                                                    from JPMorgan & Co's losing position in US credit
                                                                                 derivatives.
Asia                                                                             Yahoo's former CEO, who quit the Internet firm
                                                                                 recently amid allegations of manipulating his resume,
Index                 Last Rate      Prev. Close       Points    %Change         will not be entitled to a severance package.
Nikkei 225            8,840.88            8,900.74      -59.86       -0.67       Storm clouds gathered over Italy as fresh data showed a
Hang Seng            19,410.07        19,894.31        -484.24       -2.43
                                                                                 recession in the eurozone's third largest economy
                                                                                 deepened in the first quarter and Moody's agency
StraitsTimes          2,855.15            2,876.70      -21.55       -0.75
                                                                                 slashed the ratings of its top banks.
                                                       Updated On 8.00a.m        An exit of Greece from the euro zone could cost the
                                                                                 French taxpayer up to 66.4 billion euros and saddle the
USA                                                                              country's banking system with 20 billion euros in lost
                                                                                 loans, according to a study.
Index                 Last Rate      Prev. Close       Points    %Change         Francois Hollande became the president of France on
Dow Jones            12,632.00        12,695.35         -63.35       -0.50       Tuesday in a ceremony steeped in tradition, taking over
NASDAQ                2,893.76            2,902.58       -8.82       -0.30
                                                                                 a country worried about Europe's future and pledging to
                                                                                 make it a fairer place.
S&P 500               1,330.66            1,338.35       -7.69       -0.57
                                                                                 The banks included UniCredit, cut to A3 from A2, and
NYSE Comp             7,635.81            7,705.45      -69.64       -0.90
                                                                                 Intesa Sanpaolo, also to A3 from A2. The two account
                                                                                 for nearly one-third of the Italian market by assets.
Europe                                                                           Avon told Coty that it would consider the smaller
                                                                                 company's $10.7 billion takeover bid and it expected to
Index                 Last Rate      Prev. Close       Points    %Change         respond within a week.
FTSE 100              5,437.62            5,465.52      -27.90       -0.51
DAX                   6,401.06            6,451.97      -50.91       -0.79   International Event Today
CAC 40                3,039.27            3,057.99      -18.72       -0.61
Bel 20                2,102.90            2,135.00      -32.10       -1.50      Great Britain GB:Labour Market Report

                                                                                European Union EMU:HICP

                         Rupee v/s USD                                          European Union EMU:Merchandise Trade

                                                                                Great Britain GB:BoE Inflation Report
                                                             53.84
53.84                                                                           USA US:MBA Purchase Applications
                                               53.71
                                                                                USA US:Housing Starts
                                  53.64
                                                                                Canada CA:Manufacturing Sales
53.54       53.46
                                                                                USA US:Industrial Production
                    53.34
                                                                                USA US:EIA Petroleum Status Report

53.24                                                                           USA US:FOMC Minutes
          09-May    10-May       11-May       14-May       15-May
                                                                                New Zealand NZ:Producer Price Index




                                                                                                                        2
   The strike by Air India pilots entered its eighth day on
   Tuesday with no signs of a possible resolution of the             Market Breath
   deadlock. Neither the civil aviation ministry nor the Air
   India management made any moves to initiate talks with
   the striking pilots.                                                            Advances       Declines     Unchanged
   Bharti Airtel, India's most valuable private sector                                1365           1329            132
   company, is being investigated for alleged money                    BSE India

   laundering. Minister of State for Finance SS
   Palanimanickam informed the Rajya Sabha on Tuesday.               Turnover on NSE
   Rejecting railway minister Mukul Roy's move to roll back
   hike in passenger fare, CAG said the way forward for the
                                                                       Cash                        9727.75
   national transporter is to rationalize both passenger and
                                                                       F&O                       101977.99
   freight tariffs to tide over the severe financial crunch.
   Suzuki Motorcycle India today said it would consider
   making the country its export hub. “We have recently
   started exporting (two-wheelers) from India to Nepal and
   Colombia we will definitely take it forward.
   Broadcasters and advertisers have slammed Telecom
   Regulatory Authority of India (Trai) move to limit the
   duration of television advertisements to 12 minutes in an
   hour, and accused the regulator of exceeding its brief.                              Total Turnover on NSE (Rs.crore)
   Aditya Birla Nuvo Ltd's net profit plummeted 42 per cent
   to Rs 170 crore in the three months ended March 31, 2012
   from Rs 294 crore in the year-ago period.                       130557
   The Insurance Regulatory and Development Authority
   (IRDA) has asked the Life Insurance Council to design a
   single product covering life, non-life and health.              110557
   Kishore Biyani-owned Pantaloon Retail India (now
   known as Future Retail India) has reported a 76.2% drop
   in net profit to R12.03 crore in fiscal third quarter ended
   March in the core retail business as interest costs rose by      90557
   57% on heavy debt.
   The 32000-crore Adani Group is gearing up to bid for
   power transmission line development projects, a segment          70557
   so far dominated by two private sector companies that               09-May           10-May        11-May        14-May      15-May
   have bagged most of the projects.
   The India-headquartered global tours and travels company
   Cox & Kings today reported a net loss at Rs 26.34 crore
   during the last quarter ending March 31, 2012.
   Hinduja Foundries, manufacturers of castings for the
   automobile industry, today reported a net loss of Rs 44.37
   crore for the fourth quarter ended March 31.
                                                                 FII trading activity on NSE and BSE (In Rs. Crores)
                                                                 Category     Date          Buy Value     Sell Value         Net Value
                                                                 FII           15-May-12        1824.1       2008.38            -184.28
Events Today
                                                                 DII trading activity on NSE and BSE (In Rs. Crores)
Wed, 16th May
                                                                 Category     Date          Buy Value    Sell Value          Net Value
Board Meet :
                                                                 DII           15-May-12        924.29       1007.14             -82.85
                  Dish TV India Ltd
                  Bajaj Finserv Ltd

                                                                 Initial Public Offerings
                                                                 Speciality Restaurants Limited
                                                                 16/05/2012 to 18-May-2012




                                                                                                                     3
   Momentum Stock                                                                                              Rupee v/s World Currency
   The dominating lot gives you upto10 stocks which are
                                                                                                               Date                     USD                   GBP             EURO                   YEN
   technically looking tradable and may have good momentum
                                                                                                               10-May                 53.338                86.108            69.068               66.930
   for the day. Clients can use this lot for trading in market.                                                11-May                 53.641                86.424            69.288               67.200
                                                                                                               14-May                 53.712                86.344            69.226               67.100
         •          INFY                                                                                       15-May                 53.840                86.720            69.173               67.410

         •          JSWSTEEL
                                                                                                                                                         Last         Prev.
         •          MCDOWELL-N                                                                                  Index                                    Rate         Close       Points       %Change
                                                                                                                Crude (Us$/b)                           93.24          93.98         -0.74            -0.79
   Best Bull’s of the street                                                                                    Gold (US$/oz)                        1542.20          1557.1       -14.90             -0.96
                                                                                                                Silver (US$/oz)                         27.66          28.08         -0.42            -1.50
                                               Previous            Points             %                         LME Copper(US$/mt)                  7,854.00         7980.00       -126.0             -1.58
   Index                         Close
                                                  close           change          Change                        LMEAluminium(US$/mt)                1,979.50          1982.0         -2.50            -0.13
   BIRLACOT                        0.30              0.25             0.05           20.00                      LME Zinc (US$/mt)                   1,918.00            1920         -2.00            -0.10
   PDUMJEIND                     15.80             13.40              2.40           17.91
   GAMMONIND                     45.90             39.30              6.60           16.79                    Commodities Update
   ITDCEM                       216.00            185.95            30.05            16.16
                                                                                                              Wheat prices rose Tuesday as crop condition in parts of Kansas
                                                                                                              deteriorated due to dry weather.
   Best Bear’s of the street
                                                                                                              Investors are reducing gold holdings for a third month, the longest
                                               Previous            Points             %                       stretch since 2004, and favoring the dollar as a haven from Europe’s
   Index                          Close                                                                       debt crisis, even as Goldman Sachs Group Inc. predicts record
                                                  close           change          Change
                                                                                                              prices for the metal.
   TELEDATAIT                      0.25              0.30            -0.05          -16.67
   PARASPETRO                      0.30              0.35            -0.05          -14.29                    Oil dropped for a fourth day in New York after U.S. crude stockpiles
   LLOYDFIN                        0.65              0.75            -0.10          -13.33                    increased and Greek talks to form a coalition government collapsed,
                                                                                                              raising concern Europe’s debt crisis will worsen.
   LCCINFOTEC                      0.40              0.45            -0.05          -11.11



   Top Traded Future
   Scrip                    Underlying               Close           Previous              Points                 %                    Expiry               Open            Contract               Contract
                                                                        Close             Change              Change                    Date              Interest            traded                 Value
   NIFTY                            4943        4942.25             4888.25                   54                  1.10         31-May-12             20586450               288223             709876.98
   BANKNIFTY                        9320        9284.75              9179.7               105.05                  1.14         31-May-12              2206625                80706             186683.17
   SBIN                            1,855        1842.85              1812.9                29.95                  1.65         31-May-12              5529750                31251              71576.57
   LT                              1,220        1225.45             1161.55                 63.9                  5.50         31-May-12              3599750                22131              66807.94

   Top Traded Call
   Scrip                     Strike price           Close            Previous               Points                 %                   Expiry              Open              Contract              Contract
                                                                        Close              Change              Change                   Date             Interest              traded                Value
   NIFTY                            5000          59.75                  46.2                13.55               29.33         31-May-12              4946500                433663          1096202.44
   NIFTY                            5100           27.5                  21.9                  5.6               25.57         31-May-12              5757750                283168           725677.26
   NIFTY                            4900         110.55                 87.25                 23.3               26.70         31-May-12              2986100                260474            651430.8
   NIFTY                            5200           11.4                   9.3                  2.1               22.58         31-May-12              7706350                187443           488362.86

   Top Traded Put
   Scrip                     Strike price           Close            Previous              Points                 %                    Expiry             Open              Contract               Contract
                                                                        Close             Change              Change                    Date            Interest              traded                 Value
   NIFTY                            4900           71.45                102.3              -30.85             -30.16           31-May-12             6938950                 403808          1005374.55
   NIFTY                            4800            39.6                 61.7               -22.1             -35.82           31-May-12             7182300                 353393           856303.18
   NIFTY                            4700            20.2                33.45              -13.25             -39.61           31-May-12             4960350                 225652           533114.08
   NIFTY                            4600              10                18.15               -8.15             -44.90           31-May-12             4534650                 159764           368464.39




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sell any securities, or any options, futures nor other derivatives related to such securities.                                                                                      4

								
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