Our gap up did not sustain though, we fell 1.61% from 09.30 to the support zone 40700, with a LOD of 40609.
From this support zone there was a small bounce to the nearest resistance level ie from 11.35 to 13.25, but what happened after 13.30 was something unexpected. We had a 1.64% rally from the 40867 SR level to form a new HOD at 41539 at 15.10.
This rally was partly because of the build up in SBI for its QoQ results which got published after market hours now. I must say those who took long positions in SBI would be feeling lucky as the results are quite good.
Yesterday we discussed the possibility of a short covering rally if
42000 CE went up 161%, 43000 CE 90%, 43500 CE 28.8%, 44000 CE 11.9% - the rest of the CEs of 500 multiples did not really outperform. Since the rally came late that the CEs spike werent that exciting. At 14.30 there was a sudden spike but that did not sustain.
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My view for 15mts TF has still not changed, unless the recent peak of 42000 level is not taken out we dont think bullish. And unless 39700 swing low is taken out we dont go bearish.
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1hr TF shows few more day's price action also in it and it brings the impression of a bearish bias. But interestingly a W style or double bottom kind of formation is visible. As these are news event driven price actions - i am not really sure if technicals will work here. Currently a trade based on support & resistance is the most profitable strategy.
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This week we did not discuss the
The yellow flat line just shows yesterday's last traded value so that its easier for us to identify today's move!
To view the 7 charts in today's report visit viswaram. com
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Penerbitan berkaitan
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.