After opening weak in the morning session, the Indian markets pared losses in the post noon trading session and finished the day just below the dotted line. While BSE Sensex was down by 26 points, the NSE-Nifty too closed down by 5 points. While most of the sectoral indices ended in green, the mid and small cap indices too gathered steam. The BSE Mid Cap and the BSE Small Cap indices were up by 0.4% and 1.2% respectively. FMCG and oil & gas stocks witnessed maximum selling pressure.
Asian markets finished mixed as of the most recent closing prices. The Shanghai Composite gained 1.89%, while the Nikkei 225 led the Hang Seng lower. They fell 1.96% and 0.80% respectively. European markets are mixed today. The CAC 40 is up 1.12%, while the FTSE 100 gains 0.53%. The DAX is off 0.50%. The rupee gave up early losses, but was still trading down by 10 paise at 65.77 against the US$ in the afternoon session.
NSENIFTY closed down -4.800 at 7,977.100. Volume was 23% below average (neutral) and Bollinger Bands were 24% narrower than normal.
NSENIFTY is currently 5.0% below its 200-period moving average and is in an downward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of NSENIFTY at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bearish on NSENIFTY and have had this outlook for the last 33 periods.
BANKNIFTY closed up 133.750 at 17,542.900. Volume was 16% below average (neutral) and Bollinger Bands were 1% narrower than normal.
BANKNIFTY is currently 4.8% below its 200-period moving average and is in an downward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of BANKNIFTY at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bearish on BANKNIFTY and have had this outlook for the last 35 periods.
GOLDBEES closed down -13.200 at 2,397.550. Volume was 3% above average (neutral) and Bollinger Bands were 20% narrower than normal.
GOLDBEES is currently 1.6% below its 200-period moving average and is in an upward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of GOLDBEES at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bullish on GOLDBEES and have had this outlook for the last 25 periods.
MCX closed down -5.100 at 947.400. Volume was 72% below average (consolidating) and Bollinger Bands were 32% narrower than normal.
MCX is currently 6.7% below its 200-period moving average and is in an downward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of MCX at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bearish on MCX and have had this outlook for the last 29 periods.
NSENIFTY closed down -4.800 at 7,977.100. Volume was 23% below average (neutral) and Bollinger Bands were 24% narrower than normal.
- Open High Low Close Volume___
- 7,911.500 7,987.900 7,908.350 7,977.100 125,628,592
- Technical Outlook
- Short Term: Neutral
- Intermediate Term: Bearish
- Long Term: Bearish
- Moving Averages: 10-period 50-period 200-period
- Close: 7,820.25 8,225.05 8,399.58
- Volatility: 18 26 21
- Volume: 163,063,776 171,935,408 160,875,392
NSENIFTY is currently 5.0% below its 200-period moving average and is in an downward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of NSENIFTY at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bearish on NSENIFTY and have had this outlook for the last 33 periods.
BANKNIFTY closed up 133.750 at 17,542.900. Volume was 16% below average (neutral) and Bollinger Bands were 1% narrower than normal.
- Open High Low Close Volume___
- 17,186.051 17,571.301 17,178.850 17,542.900 54,440,560
- Technical Outlook
- Short Term: Overbought
- Intermediate Term: Bearish
- Long Term: Bearish
- Moving Averages: 10-period 50-period 200-period
- Close: 16,755.11 17,926.91 18,436.69
- Volatility: 31 35 29
- Volume: 68,889,856 72,286,600 59,758,708
BANKNIFTY is currently 4.8% below its 200-period moving average and is in an downward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of BANKNIFTY at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bearish on BANKNIFTY and have had this outlook for the last 35 periods.
GOLDBEES closed down -13.200 at 2,397.550. Volume was 3% above average (neutral) and Bollinger Bands were 20% narrower than normal.
- Open High Low Close Volume___
- 2,412.0002,419.9002,392.1002,397.550 16,599
- Technical Outlook
- Short Term: Neutral
- Intermediate Term: Bullish
- Long Term: Bearish
- Moving Averages: 10-period 50-period 200-period
- Close: 2,391.01 2,357.75 2,435.67
- Volatility: 11 15 14
- Volume: 16,010 19,436 16,054
GOLDBEES is currently 1.6% below its 200-period moving average and is in an upward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of GOLDBEES at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bullish on GOLDBEES and have had this outlook for the last 25 periods.
MCX closed down -5.100 at 947.400. Volume was 72% below average (consolidating) and Bollinger Bands were 32% narrower than normal.
- Open High Low Close Volume___
- 950.000 962.000 943.100 947.400 73,704
- Technical Outlook
- Short Term: Neutral
- Intermediate Term: Bearish
- Long Term: Bearish
- Moving Averages: 10-period 50-period 200-period
- Close: 950.14 1,049.54 1,015.34
- Volatility: 29 45 50
- Volume: 141,287 239,305 429,505
MCX is currently 6.7% below its 200-period moving average and is in an downward trend. Volatility is high as compared to the average volatility over the last 10 periods. Our volume indicators reflect volume flowing into and out of MCX at a relatively equal pace (neutral). Our trend forecasting oscillators are currently bearish on MCX and have had this outlook for the last 29 periods.
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