Weekly Market Forecast 19 APR 2010

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Transcript of Weekly Market Forecast 19 APR 2010

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    Invest 2 Success

    Weekly News Letter 19.04.2010.

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    MARKETS OUT-LOOK

    Some key corporate results which are due next week could provide near-term direction forthe stock markets which have corrected after hitting their highest level in more than 2 years

    at the beginning of this month. A hike in the key policy rates is in the offing when thecentral bank announces its annual monetary policy for the year ending March 2011 on

    Tuesday, 20 April 2010.

    Dalal Street and Wall Street seem to be heading in different directions. While the Dow

    Jones, S&P 500 and NASDAQ have crossed key psychological milestones, the Sensex andNifty are facing some resistance after touching two-year peaks. The Nifty has come close tobreaching 5400 but hasn't been able to do it due to lack of follow-up buying amid concerns

    over valuations. Looks like investors want the Q4 earnings and other events like the RBIannual policy to get over before taking a fresh plunge. The central bank is likely to jack up

    policy rates only the size of the hike is not known. Since this will be the annual policy, theRBI will also have a lot to say on a range of issues. So, the commentary from the central

    bank will be crucial for markets next week. The official monsoon forecast will also be outnext week and could have some influence on the sentiment. As always, external factors will

    play a role too in shaping the market's direction. Given the uncertain and volatile conditionsit would not be a bad idea to stay on the sidelines for a while and wait for more clarity.

    TECHNICALLY

    Market is likely to drift down from a technical perspective. There is a high conviction in

    Nifty trade on the downside. The Nifty was in a trading range, locked between 5300 and5400. Since it was in an uptrend, we assume that the breakout would be on the upside. But

    that didnt happen. The Nifty convincingly fell out of the range in last two trading session.Once the Nifty decides to breakdown from it, we must respect the wisdom of the market. In

    spite of all this volatility - intraday or otherwise - we are slowly going to drift on thedownside.

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    NIFTY FUTURE

    The intermediate trend for Nifty Futures has turned down. Short positions at 5320 can be

    held with a trailing Stop-loss of 5236 for an initial target of 5120.Second Target only

    for paid customers.

    BANKNIFTY FUTURES

    Short position at 9500 can be held with a trailing Stop-loss of 9520 for an initial target of..

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    HDIL FUTURE

    Sell HDIL FUT below 293.5 stop-loss 306 Target only for paid customers.

    GRASIM FUTURE

    Sell GRASIM FUT below 2802 Stop-loss 2870 Target only for paid customers.

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    JP ASSOCIAT

    Sell JP ASSOCIAT FUT below 147 Stop-loss 153 Target only for paid customers.

    HCL TECH

    Sell HCL TECH FUT below 350 Stop-loss 358 Target only for paid customers.

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    PREVIOUS WEEK CALLS

    DATE STOCK CALL PRICE

    STOP

    LOSS TGT 1 TGT 2

    LOT

    SIZE

    12.04.201

    0 NIFTY BUY 5388 5307 CALL NOT MAT 50

    12.04.201

    0 HDFC BUY 2847 2735 SL TRIGGERED 150 -1650

    12.04.201

    0 SESA GOA SELL 458 478 447 TGT ACHIEVED 1500 16500

    0

    DATE STOCK CALL PRICE

    STOP

    LOSS TGT 1 TGT 2 REMARKS

    LOT

    SIZE P/L

    13.04.201

    0 NIFTY SELL 5320 5380 5250 OPEN CALL 50 3000

    13.04.201

    0 BANK NIFTY SELL 9500 9690 9350 OPEN CALL 50 7500

    13.04.201

    0 VIJAYA BANK SELL 49 51 OPEN CALL 6900 0

    13.04.201

    0 GAIL SELL 411 432 401 TGT ACHIEVED 1125 11250

    13.04.201

    0 REL CAPITAL SELL 772 800 750 TGT ACHIEVED 276 6072

    13.04.201

    0 BOB SELL 641 671 631 619 TGT ACHIEVED 700 15400

    43222

    DATE STOCK CALL PRICE

    STOP

    LOSS TGT 1 TGT 2 REMARKS

    LOT

    SIZE

    15.04.201

    0 NIFTY SELL 5250 5395 OPEN CALL 50 0

    15.04.201

    0 HDFC SELL 2750 2842 2655 TGT ACHIEVED 150 14250

    15.04.201 IDFC SELL 167 176 162 TGT ACHIEVED 2950 14750

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    0

    29000

    Disclaimer: These calls are based on the theory of technical analysis and personal observations and are not recommendations to any person to

    buy or sell any securities. The information is derived from sources that are deemed to be reliable but its accuracy and completeness are not

    guaranteed. Readers of this column who buy or sell securities based on the information in this column are solely responsible for their actions

    and profit or loss. It is only the outlook of the market with reference to its previous performance. You are advised to take your position with

    your sense and judgment. We are trying to consider the fundamental validity of stocks as far as possible, but Stock market is highly

    unpredictable and demand and supply affects it. And author won't be liable or responsible for any legal or financial losses made by anyone.