BAJFINANCE Institutional Distribution

Distribution Data Updated on: December 18, 2025 at 1:27 PM

Latest Bar Date is – 18 December 2025

How to Read This Data Sheet (For Swing & Short-Term Traders)

This document explains each column in the data sheet in simple language, from a
distribution and profit-booking perspective. It is meant for users who
understand basic stock market concepts and are interested in swing trading or
short-term investing. This is not trading advice; it explains how to read and use the data.

Important Structure Note

Top 10 Delivery Volume For the One Year Period belong to historical data. These represent the top delivery volume / delivery percentage days over the last one year.

Current Date Data belong to the latest available trading day (current date). These values are the same for all rows and are provided only for comparison with historical data.

Historical Data Columns (Top Delivery Days – Last 1 Year)

DATE: Historical trading date with high delivery activity. In a distribution view, these often mark profit booking or supply entering the market.

SYMBOL: The stock symbol. All rows belong to the same stock.

OPEN: Opening price. Weak opens after a rally may indicate distribution.

HIGH: Highest price of the day. Repeated rejection near highs signals distribution.

LOW: Lowest price of the day. Lower lows indicate weakening demand.

CLOSE: Closing price. Closes near the low suggest selling pressure.

VOLUME: Total traded volume. High volume without price progress indicates distribution.

DELIVERY_VOLUME: Shares taken for delivery. High delivery with weak price suggests exits.

DELIVERY_PCT: Delivery percentage. Falling delivery % after a rally signals weakening commitment.

RANK: Rank among top delivery days. Higher-ranked days near highs indicate profit-booking zones.

Latest Bar Data Columns (Current Market Snapshot)

SUM_TRADED_VAL_3D: 3-day traded value. High value with weak price shows selling pressure.

SUM_TRADED_VAL_5D: 5-day traded value. Sustained high value without price rise is a warning.

AVG_DELIVERY_PCT_20D: 20-day average delivery. Current delivery below this suggests exit.

RANGE: High–Low range. Wide range with weak close indicates selling.

SMA_50: Medium-term trend. Failure to hold indicates weakness.

SMA_200: Long-term trend. Trading below confirms structural weakness.

CLOSING_ABOVE_200_SMA: FALSE strengthens distribution bias.

LATEST_BAR_SMA_200: Acts as resistance.

LATEST_BAR_RSI_14: RSI below 50 indicates weakening momentum.

LATEST_BAR_EMA_9: Price below EMA 9 suggests selling control.

LATEST_BAR_EMA_21: EMA 21 acting as resistance confirms distribution.

LATEST_BAR_VOLUME: Rising volume on weak days supports distribution.

LATEST_BAR_DELIVERY_VOLUME: Falling delivery suggests exit activity.

LATEST_BAR_CLOSE: Used to compare with historical resistance zones.

How a Swing Trader Should Use This Sheet

Step 1: Identify historical high-delivery days near price highs.

Step 2: Mark those levels as resistance or profit-booking zones.

Step 3: Compare the latest price with those zones.

Step 4: Confirm weakness using SMA, RSI, and EMA behaviour.

What This Data Sheet Is Not

This data sheet is not a buy or sell recommendation. It does not predict price falls. It is a decision-support tool to understand market behaviour.

Historical Data (Top 10 Delivery Days – 1 Year)

DATE SYMBOL OPEN HIGH LOW CLOSE VOLUME DELIVERY_VOLUME DELIVERY_PCT RANK
2025-11-11 BAJFINANCE 1043.7 1043.7 997.0 1005.2 23762890 11893882 50.05 1
2025-07-28 BAJFINANCE 909.25 913.75 879.0 880.5 14011284 8805453 62.85 2
2025-09-04 BAJFINANCE 915.0 948.0 912.25 934.75 21738706 11362865 52.27 3
2025-09-25 BAJFINANCE 1020.0 1031.1 1008.0 1012.75 16731453 11738343 70.16 4
2025-08-18 BAJFINANCE 875.0 919.65 875.0 905.2 16277779 8577368 52.69 5
2025-10-28 BAJFINANCE 1078.0 1092.4 1063.05 1072.75 12324341 7520689 61.02 6
2025-07-25 BAJFINANCE 906.4 924.9 898.0 913.75 24415480 10101637 41.37 7
2025-08-12 BAJFINANCE 877.2 884.9 851.5 853.0 8257312 4385162 53.11 8
2025-09-26 BAJFINANCE 1008.05 1010.5 981.05 985.1 9109737 5758217 63.21 9
2025-10-14 BAJFINANCE 1040.0 1042.1 1011.35 1019.15 7668358 4457654 58.13 10
SUM_TRADED_VAL_3D SUM_TRADED_VAL_5D AVG_DELIVERY_PCT_20D RANGE SMA_50 SMA_200
36080836094.3 46950782967.0 59.919500000000006 46.700000000000045 1001.742 967.6315068493152
LATEST_BAR_SMA_200 LATEST_BAR_RSI_14 LATEST_BAR_EMA_9 LATEST_BAR_EMA_21 LATEST_BAR_CLOSE
3909.76 43.75 1008.75 1015.65 1000.3
LATEST_BAR_VOLUME LATEST_BAR_DELIVERY_VOLUME
3103997 1621598
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