Strategic Report - February, 2012

Date: February 3, 2012
Pages: 3
US$ 200.00
Publisher: Cni Research Ltd
Report type: Strategic Report
Delivery: E-mail Delivery (Word), CD-ROM Mail Delivery, Online Subscription, Hard Copy Mail Delivery, E-mail Delivery (PDF)

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Strategic Report - February, 2012
Risky Play is on; be cautious moving ahead
Nifty recovered from low of 4531 to 5271 without any underlying change in fundamentals. We were holding long view right from 4600 till 5200 and we succeeded in that. This is because Dec traders carried short positions in JAN and once the gap up happened they were not able to cut their short and the absence of physical settlement allowed operators (including FII) to act in concert and took the closing to 5200. Please note that the nifty put expired qty was 5.2 cr shares as against call expired at 1.7 cr shares. Monthly chart closed at 5200 plus to prove 18 year best closing of Jan.
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Strategic Report - February, 2012
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