Stock Market report 10-8-2020

Stock Market report 10-8-2020

 

Stock Market report 10-8-2020




World market futures

  1. Dow Jones Futures: Trump Extends Unemployment Benefits; Four Stock Market Rally Risks
  2. The Dow Is Tumbling. It’s Time to Talk About Stock Market Bubbles. read 
  3. Most stocks market trading in red
  4. The global market signal is  negative
  5. Keep eye on world market futures 
  6. https://in.investing.com/indices/indices-futures

Stock Market News

  1. Verdict on staggered AGR payments awaited as SC to hear bankrupt telcos
  2. Airtel, Vodafone Idea await SC decision on staggered payment of AGR dues
  3. 15-year plan to convert Reliance Industries into new energy company
  4. Aramco is still working on deal to invest $15 bn in RIL
  5. India data-curb plan 'anathema', U.S. tech giants plan pushback
  6. Bill Gates says US coronavirus testing has ‘mind-blowing’ problems
  7. How RBI's new loan restructuring framework is different from previous schemes
  8. IndusInd Bank acquires 7.82% stake in Eveready by invoking pledged shares
  9. India weighs options in debate on who gets first shot of Covid-19 vaccine
  10. Gold Prices Rose 40% In 2020 But Silver Gains 65%; Here's Why read 
  11. JNPT traffic declines 26% in April-July, sees recovery ahead

    Derivatives Data Analysis   Download the excel sheet

    Index future Datapoints

    1. Retail Clients are net long  in index future with 6889. Retail Investors added long positions in index future.
    2. FII index  positions are at 22560 contracts . Added net short positions
    3. DII is also long in index futures with -26285. Added shorts
    4. Pro are net short in index future with  833. added shorts
    5. FII are bullish - DII & Pro are bearish. Index future data is bearish
    Index Call Datapoints
    1. On a net basis, retail client calls are bullish with  23736 contracts. Retail clients added call long positions.
    2. FII added call long positions 51373 contracts net long. Reduced long positions
    3. Pro is bearish as they had -38746 index calls short positions. Reduced shorts - added longs
    4. Index call data is bearish
    Index put Datapoints
    1. The retail client has a total -68866 contract put short on a net basis. Reduced short positions and added some long positions
    2. DII has a total of 39104 contracts put long for hedging purposes. 
    3. FII has a total of 67297 added put longs and put short positions .
    4. Pro has total -37535 contracts put short. They added short position
    5. Mixed data .

    Stock Future Datapoints
    1. The retail client has a total of  367437 contracts long. Added 11557 new positions.
    2. FII has a total of 318589 contracts long. Reduced -15476 positions.
    3. Pro has a total of 62607 contracts long.  Added 3179 Positions

    Any news can change the direction 

    Global market are positive

    Data is negative
    FII overall data is bearish except Index future data

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