Welcome to SUMAMURA

July 2011

Monday, July 25 2011

weekly levels .... commodities and world indices ..... in US dollars  .... nymex / comex rates ......

weekly   DATE 25th / 29th july 2011  
commodity go entry Target Stoploss
gold short 1597 1581/65/49 1613
long 1613 1629/45 1597
silver short  39.7 38.9/38.1/37.3/36.5 40.1
long 40.5 41.3/42.1 40.1
crude short 99.6 98.6/97.6/96.6/95.6/94.6 100.6
long 100.6 101.6/02.6/03.6/04.6 99.6
copper short 4.415 4.38/4.345/4.31 4.45
long 4.45 4.485/4.52/4.555 4.415
sugar short 806 793/80/67/54 819
long 819 832/45/58 806

weekly   DATE 25th / 29th july 2011  
world indices go entry Target Stoploss
dow jones short 12490 12450/310/170/030 12610
long 12610 12690/780/870/960 12490
nasdaq composit short  2835 2820/2780/40/2700 2865
long 2865 2890/2915/40 2835
S & P short 1348 1338/29/19/10/1300 1357
long 1357 1367/76/86 1348
FTSE short 5915 5850/785/720/655/590 5980
long 5980 6045/6110/75 5915
nikkei short 10120 9990/880/770/660 10210
long 10210 10240/360/480/600 10120
australian ordinary short 4660 4600/540/480 4690
long 4720 4780/840/900 4690
hangseng short 22320 22080/21840/600/360/120 22560
long 22560 22800/23040/280/520 22320
shanghai short 2770 2730/2690/50 2810
long 2810 2850/90 2770


Monday, July 25 2011 TO Friday, July 29 2011

weekly   DATE 25th / 29th july 2011  
world indices go entry Target Stoploss
dow jones short 12490 12450/310/170/030 12610
long 12610 12690/780/870/960 12490
nasdaq composit short  2835 2820/2780/40/2700 2865
long 2865 2890/2915/40 2835
S & P short 1348 1338/29/19/10/1300 1357
long 1357 1367/76/86 1348
FTSE short 5915 5850/785/720/655/590 5980
long 5980 6045/6110/75 5915
nikkei short 10120 9990/880/770/660 10210
long 10210 10240/360/480/600 10120
australian ordinary short 4660 4600/540/480 4690
long 4720 4780/840/900 4690
hangseng short 22320 22080/21840/600/360/120 22560
long 22560 22800/23040/280/520 22320
shanghai short 2770 2730/2690/50 2810
long 2810 2850/90 2770


Monday, July 25 2011 TO Friday, July 29 2011

weekly   DATE 25th / 29th july 2011  
commodity go entry Target Stoploss
gold short 1597 1581/65/49 1613
long 1613 1629/45 1597
silver short  39.7 38.9/38.1/37.3/36.5 40.1
long 40.5 41.3/42.1 40.1
crude short 99.6 98.6/97.6/96.6/95.6/94.6 100.6
long 100.6 101.6/02.6/03.6/04.6 99.6
copper short 4.415 4.38/4.345/4.31 4.45
long 4.45 4.485/4.52/4.555 4.415
sugar short 806 793/80/67/54 819
long 819 832/45/58 806


Monday, July 25 2011

 

nifty spot intra
 
short / long – 5602 / 5620
stoploss – opposit
L targets – 5638/56/74/92
S targets – 5584/66/48/30

Monday, July 25 2011

intraday   DATE 25th july 2011  
stocks / indices go entry Target Stoploss
BANK NIFTY short 11255 11160/065/10970/875 11350
long 11350 11445/540/635 11255
RELIANCE short  872 865/59/52 878
long 878 885/91/98 872
TATA MOTORS short 994 986/78/70/62 1002
long 1002 1010/18/26 994
ICICI BANK short 1065 1061/56/52/47/43 1070
long 1070 1074/79/83 1065
SBI short 2506 2494/82/70/58 2518
long 2518 2530/42/54 2506
LT short 1826 1815/04/1793/82 1837
long 1837 1848/59/70 1826
infy short 2832 2821/10/2799 2843
long 2843 2854/65/76 2832
naga fert short 33.7 33.4/33.1/32.8/32.5 34
long 34 34.3/34.6/34.9/35.2/35.5 33.7
petronet short 174 172.25/70.5/68.75/67 175.75
long 175.75 177.5/79.25/81/82.75/84.5 174
opto circuits short 273 272/70/68/65 274
long 274 275/77/79/82 273