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CNX NIFTY witnessed neutral reaction to union budget. Last few days it rallied and currently placed nearer to its resistance of 9000 levels, The FII buying the Index futures is the hope for bulls.
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Stronger hand have liquidated long position during last week, meanwhile created short position in 8800 Call option, indicating bearish expectation.
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CNX NIFTY settled on flat note at 8914. The mixed performance seen across the markets and future direction is clueless by studying the today’s market action
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FII continued to add long positions in Index futures segment; added significant long position in near and Next month Nifty contract
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HCL Tech witnessed significant recovery for its day's low along with good volume; Gained Open interest with premium gain. Any rally beyond 1700 level would invite fresh buyers into the system.
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Indian market witnessed high volatile session during last week, however some recovery witnessed in last two trading session manage to recover the bulls confidence.
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CNX NIFTY settled at its all time high. Going forward the markets will be influenced by Crude Price and policy development ahead of budget.
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FII added long positions in Index futures in Feb Series contract, meanwhile they have created short position in index call option indicating temporary weakness till Jan Expiry and the short term sentiment remains bullish.
Equity market extended its gain further on last trading session, however high volatile trading witnessed; indicating supply pressure. Market Breadth was neutral to negative, The current investment pattern by stronger hands indicates the NIFTY to trade between 8750 – 8950 till expiry, later it may resume its bullish trend
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HCL Tech witnessed significant recovery for its day's low along with good volume; Gained Open interest with premium gain. Any rally beyond 1700 level would invite fresh buyers into the system.
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