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CASH INTRADAY:

BUY RAMCOCEM @ 919 SL 910 TGT 930 TGT 930,934

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CASH INTRADAY:-

BUY CDSL @ 1525 SL 1510 TGT 1544,1549

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BOOK PARTIAL PROFIT @ 1790 & REVISE SL TO COST


CASH INTRADAY:-

BUY COROMANDEL @ 1779 SL 1762 TGT 1804,1812

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Book Partial profit @ 7.25


BOOK PARTIAL PROFIT @ 10820


CASH INTRADAY:

BUY ULTRACEMCO @ 10750 SL 10650 TGT 10870,10900

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Intraday:

SELL NSECALL NIFTY 21NOV2024 23700 @ 13 ;

SELL NSEPUT NIFTY 21NOV2024 23000 @ 10;

Inflow : 23

SL : 40

TGT : 1

https://bit.ly/DisclaimerKSLResearch


Option Chain Analysis (19-November-2024 )

The options market indicates that there is a notable concentration of open interest at the 24000 Call and 23000 Put. Today's option chain analysis shows higher call writing compared to the put writing indicating negative sentiment.

The Volume Weighted Average Price (VWAP) suggests a trading range for the next day between 23445 and 22675.

Max Pain : 23550

The Nifty Put-Call Ratio (PCR) stands at 0.654

Update on Option Chain Analysis will be shared in the Live market

Disclaimer :https://bit.ly/DisclaimerKSLResearch

Source: www.nseindia.com




Kal pe Nazar (21-November-2024)

📉 Market Recap:

After a positive start, Nifty maintained an upward trajectory for most of the session. However, sharp profit booking in the final hour pared gains, and it ended with a modest rise of 0.28%.
The Nifty Midcap 100 outperformed, gaining 0.93%.

📊 Sector Performance:

Top Performers: Media, Realty
Lagging Sectors: Metals, PSU Banks

🔍 Options Market Insights:

Open Interest: High at 24,000 Call and 23,000 Put, with higher call writing indicating bearish sentiment.

VWAP Trading Range: Expected between 23,445 and 22,675 for the next session.

Max Pain: 23,550

PCR: 0.654

💸 Institutional Activity:

FIIs: Net sellers at ₹3,411.73 crore
DIIs: Net buyers at ₹2,783.89 crore

📊 Index Futures Net Contracts:

FINNIFTY: -277
BANKNIFTY: 24,848
MIDCPNIFTY: 1,674
NIFTYNXT50: 258
NIFTY: -148

🔹 Disclaimers: https://bit.ly/DisclaimerKSLResearch

🔹 Source: www.nseindia.com


FII Net position (Index wise) - 19-NOVEMBER-2024

Derivatives Research Desk




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Changes in Extreme Loss Margins for Index options ~ applicable on Short/Sell positions on expiry days

On the day of options contracts expiry, to increase the tail risk coverage, an additional Extreme Loss Margin (ELM) of 2% shall be levied on short index options contracts.

The additional ELM would be applicable for all open short index options at the start of the day, as well on short index options contracts initiated during the day that are due for expiry on that day.

Circular links:-
https://nsearchives.nseindia.com/content/circulars/CMPT64639.pdf

Source: www.nseindia.com

Derivative Research Desk
Disclaimers: https://bit.ly/DisclaimerKSLResearch


Lot size changes and relevant circulars issued by NSE

The existing weekly and monthly expiry contracts will continue with the existing lot size till its respective expiry date

In case of quarterly and half yearly existing expiry contracts, the same shall be transitioned to the new lot size on December 24, 2024, end of the day for BANKNIFTY and December 26, 2024, end of the day for NIFTY

Circular links:-

https://nsearchives.nseindia.com/content/circulars/FAOP64625.pdf
https://nsearchives.nseindia.com/content/circulars/FAOP64672.pdf

Source: www.nseindia.com

Derivative Research Desk
Disclaimers: https://bit.ly/DisclaimerKSLResearch

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