Monday, 29 September 2014

Todays Market

NSENIFTY closed down  -9.9 at 7,958.900.  Volume was 35% below average (neutral) and Bollinger Bands were 38% narrower than normal. 

Open              High             Low        Close      Volume___
7,978.450     7,991.750     7,934.700    7,958.900  97,267,976


  




  • Technical Outlook 
  • Short Term:               Neutral
  • Intermediate Term:     Bearish
  • Long Term:               Bullish

  • Moving Averages: 10-period     50-period     200-period
  • Close:                   8,015.04       7,892.14       7,020.38
  • Volatility:                   19               14               15
  • Volume:             143,538,928    128,921,928    157,441,440


   NSENIFTY is currently 13.4% above its 200-period moving average and is in an downward trend.  Volatility is extremely high when compared to the average volatility over the last 10 periods.  There is a good possibility that volatility will decrease and prices will stabilize in the near term.  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 0 periods.   



BANKNIFTY closed down -133.700 at 15,473.550.  Volume was 28% below average (neutral) and Bollinger Bands were 22% narrower than normal. 

Open     High      Low     Close     Volume___
15,636.45015,636.45015,420.80015,473.550  20,414,880





  • Technical Outlook 
  • Short Term:               Neutral
  • Intermediate Term:   Bearish
  • Long Term:               Bullish

  • Moving Averages: 10-period     50-period     200-period
  • Close:                 15,820.92      15,607.01      13,426.02
  • Volatility:                  29               21             26
  • Volume:               26,471,788     24,922,522     30,952,740


  
   BANKNIFTY is currently 15.3% above its 200-period moving average and is in an downward trend.  Volatility is extremely high when compared to the average volatility over the last 10 periods.  There is a good possibility that volatility will decrease and prices will stabilize in the near term.  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 0 periods.     
  


 GOLDBEES closed up   4.100 at 2,480.700.  Volume was 56% below average (consolidating) and Bollinger Bands were 43% narrower than normal. 

Open             High            Low           Close          Volume___
2,488.000      2,488.000     2,470.100    2,480.700      10,152

  • Technical Outlook 
  • Short Term:               Neutral
  • Intermediate Term:    Bearish
  • Long Term:                Bearish

  • Moving Averages: 10-period     50-period     200-period
  • Close:                  2,482.35       2,554.18       2,672.41
  • Volatility:                 7               10               12
  • Volume:                  19,142         16,460         25,279


   GOLDBEES is currently 7.2% below its 200-period moving average and is in an downward trend.  Volatility is low as compared to the average volatility over the last 10 periods.  Our volume indicators reflect moderate flows of volume out of GOLDBEES (mildly bearish).  Our trend forecasting oscillators are currently bearish on GOLDBEES and have had this outlook for the last 25 periods.     


 MCX closed up  28.450 at 815.750.  Volume was 52% below average (consolidating) and Bollinger Bands were 43% narrower than normal. 

Open     High      Low     Close     Volume___
793.000  828.000  790.000  815.750     685,396

  • Technical Outlook 
  • Short Term:               Neutral
  • Intermediate Term:    Bearish
  • Long Term:                Bullish

  • Moving Averages: 10-period     50-period     200-period
  • Close:                  811.78         820.83         608.68
  • Volatility:                   44               50             68
  • Volume:               509,470      1,072,234      1,598,336


   MCX is currently 34.0% above its 200-period moving average and is in an downward trend.  Volatility is relatively normal 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 3 periods.     

About

Parag Patil is a technical analyst and trading system designer with stock excel programmer. I hope the articles and live chart of nse future and mcx on this Website will be as helpful and profitable to you . I try to update and post new articles tips everyday. My motto is to encourage the traders, so that they should able to understand the technique views behind the moment of stocks. I have deeply analyzed with many technical indicator with parameter and added to my amibroker afl. And even taken backtest report which is never being implemented. Any of the analyst expect me. Seeing all this you may understand that my views is more technical than commercial. If you are profited by my views I fill happy.

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