ada satu quotation popular dlm siber berkenaan buying and selling stocks...x tau ler dr mana dapat nih..dah x igt..it goes...
"accumulate slowly....hard sell loudly...sell off quietly..."
aku rs itu adalah taktik speculator...but harus di igt, 2011 is coming soon...so ramai akan tweak porfolio if neccessary to capture opportunity in 2011...so am I....mana yg perlukan trimming akan di trim...
by the way...utk pusingan baru ni...sold off mudajaya CB 100%....at 50% loss...byk tuh...trim down E&O dan TopGlove...all alasan, dah hilang sabar...dan utk get back capital to shoot
1. average up 1 current stock
2. hedging in 1 warrant
3. accumulate 1 new undervalued stock
masih terlalu awal utk count untung this year...but roughly capital gain (realised) down to 15% lepas tolak everything....termasuk loss dlm mudajaya CB...2009 lebih baik at 27%....Utk 2011, aku targetting utk make 50% bersih... insyaallah...apa pun, nyata lebih baik drpd FD atau ASB....
Thursday, December 23, 2010
Tuesday, December 21, 2010
DRBHicom - Now, its a sought after gem !!!
pd ketika post ni d tulis...DRBh sdg dlm cubaan untk break rm2.00 resistance...now at rm1.97...if attempt berjaya, more will follow...
wat is the big hoohaa about DRBh??? TA wise mgkn akn ada consolidation klu fail to break rm2.00 resistance...1st support at RM1.75..
but ada cakap2 dlm cyber yg it's worth atleast rm3.50...HwangDBS gave TP at rm3.55...so how?
let's come back to basic question....camna nak letak value for stocks? sebenarnya, byk cara ikut style investor...for me, TP3.55 is too high...unless 3Q and 4Q eps = 10 +10 = 20 sen...then baru TP tu valid...otherwise...TP2.50 to TP2.70 adalah lebih logik sbb basing on current performance...
Having said that...x brmksd esok akn trus lompat...aku rs 3Q result adalah penentu samada DRB bleh cecah TP2.50 atau trus lompat ke TP3.50...if 3Q eps = 5 sen...so TP2.50 lah...if 3Q eps 10 sen, then TP3.50 is valid...
Hold DRB for now...and considering to do some hedging in DRB warrant...see how it goes..
wat is the big hoohaa about DRBh??? TA wise mgkn akn ada consolidation klu fail to break rm2.00 resistance...1st support at RM1.75..
but ada cakap2 dlm cyber yg it's worth atleast rm3.50...HwangDBS gave TP at rm3.55...so how?
let's come back to basic question....camna nak letak value for stocks? sebenarnya, byk cara ikut style investor...for me, TP3.55 is too high...unless 3Q and 4Q eps = 10 +10 = 20 sen...then baru TP tu valid...otherwise...TP2.50 to TP2.70 adalah lebih logik sbb basing on current performance...
Having said that...x brmksd esok akn trus lompat...aku rs 3Q result adalah penentu samada DRB bleh cecah TP2.50 atau trus lompat ke TP3.50...if 3Q eps = 5 sen...so TP2.50 lah...if 3Q eps 10 sen, then TP3.50 is valid...
Hold DRB for now...and considering to do some hedging in DRB warrant...see how it goes..
Sunday, December 12, 2010
Mudajaya: mother and daughter- wat's goin on???
aku x sure apa yg sdg berlaku...here some simple detective work based on surface...
current yr qtr-------rev(mil)------profit/loss(mil)-----eps(sen)-------accumulated eps
------3rd-------191-----------46-----------------11.37------------36.97
------2nd-------208----------54------------------13.24-----------25.59
------1st-------239-----------50------------------12.35----------12.35
prev FY 4th----211-----------41------------------11.02-----------31.38
da question is....wat do u see???? ni apa yg aku nmpk...
1. starting 4th qtr (previous financial year aka 2009)...rev+profit+eps up bbandng qtr2 sblm nya= good news indeed
2. mulai qtr 1 to qtr 3 FY2010...breached and maintain above 190 mil rev + above 45 mil profit + and finally above 10 eps from qtr1 to qtr3...=amazing feat...
3. tgk accumulated eps sj dah tau...qtr3 punya result dah surpass FY 2009....meaning utk qtr4 result (bakal kuar pd Feb 2011) mmg FY2010 akan lebih baik berbanding FY2009...letak eps minima pd 5 sen pun dah cukup...accumulated eps FY2010 akan = 41.97 sen...bbandng FY2009 = 31.38....logik,kan? overall impressive!!!
4. basing on tutup last pd rm3.76...dan target eps qtr4 FY2010 pd minima 10 sen eps...future PE mudajaya = 8...translated pd PE10, harga mudajaya ialah rm4.70...normal PE construction brapa? katakan PE 15...so fully valued at PE15= rm7.04 !!!!
5. Meaning??? in a perfect world...Mudajaya mother is undervalued at rm3.76...
but here's the catch...remember the poison pen letter...
1. claiming about mudajaya account being manipulated...tp x kena celaan SC pun???
2. nor...accounting company utk mudajaya kena tangkap/kantoi?
wat ever the issue is...yg pasti...
1. ramai panik dan hilang focus...(poison pen tu mmg berkesan)
2. ramai kena trap dlm mother dan warrant...(termasuk aku la tu...)
3. bila ramai clear position...domino effect akn sbbkan harga jatuh lagi bawah...
4. the last man standing is either an intelligent investor or a greater fool!
apa option bleh buat...
1. buy mother bila mother jatuh (bperingkat)
2. buy warrant bila mother start naik (bperingkat
3. average down (double or triple)
4. cut loss
5. hold and hope
at this stage...mother tutup pd 3.76...CB plak pd 0.015 dgn expiry 104 hari lagi aka lagi 3 bulan...cukup spai bulan 3 tahun 2011...
if just hold, the at AVP 0.075 x 8 = RM0.60 (ratio 8 to 1)... plus conversion at rm 5.65....so TP minimum = rm6.25 (just to breakeven)...previous highest price was on 22nd july 2010 touching rm6.10 sblm tutup at 5.94...then downhill spai la...5 bulan dah!
klu aku average down (double or triple dare) utk CB at 0.015...naik ke 0.025 dah cukup utk breakeven...but klu mother turun lagi...CB akn wipe all my hard earned profit for this year...
bottom line, my final decision...is to hold CB and sell into strength...while minimizing/accepting my loss in CB...hopefully Mudajaya akn wat u-turn mulai early (jan or feb) next year....insyaAllah.
current yr qtr-------rev(mil)------profit/loss(mil)-----eps(sen)-------accumulated eps
------3rd-------191-----------46-----------------11.37------------36.97
------2nd-------208----------54------------------13.24-----------25.59
------1st-------239-----------50------------------12.35----------12.35
prev FY 4th----211-----------41------------------11.02-----------31.38
da question is....wat do u see???? ni apa yg aku nmpk...
1. starting 4th qtr (previous financial year aka 2009)...rev+profit+eps up bbandng qtr2 sblm nya= good news indeed
2. mulai qtr 1 to qtr 3 FY2010...breached and maintain above 190 mil rev + above 45 mil profit + and finally above 10 eps from qtr1 to qtr3...=amazing feat...
3. tgk accumulated eps sj dah tau...qtr3 punya result dah surpass FY 2009....meaning utk qtr4 result (bakal kuar pd Feb 2011) mmg FY2010 akan lebih baik berbanding FY2009...letak eps minima pd 5 sen pun dah cukup...accumulated eps FY2010 akan = 41.97 sen...bbandng FY2009 = 31.38....logik,kan? overall impressive!!!
4. basing on tutup last pd rm3.76...dan target eps qtr4 FY2010 pd minima 10 sen eps...future PE mudajaya = 8...translated pd PE10, harga mudajaya ialah rm4.70...normal PE construction brapa? katakan PE 15...so fully valued at PE15= rm7.04 !!!!
5. Meaning??? in a perfect world...Mudajaya mother is undervalued at rm3.76...
but here's the catch...remember the poison pen letter...
1. claiming about mudajaya account being manipulated...tp x kena celaan SC pun???
2. nor...accounting company utk mudajaya kena tangkap/kantoi?
wat ever the issue is...yg pasti...
1. ramai panik dan hilang focus...(poison pen tu mmg berkesan)
2. ramai kena trap dlm mother dan warrant...(termasuk aku la tu...)
3. bila ramai clear position...domino effect akn sbbkan harga jatuh lagi bawah...
4. the last man standing is either an intelligent investor or a greater fool!
apa option bleh buat...
1. buy mother bila mother jatuh (bperingkat)
2. buy warrant bila mother start naik (bperingkat
3. average down (double or triple)
4. cut loss
5. hold and hope
at this stage...mother tutup pd 3.76...CB plak pd 0.015 dgn expiry 104 hari lagi aka lagi 3 bulan...cukup spai bulan 3 tahun 2011...
if just hold, the at AVP 0.075 x 8 = RM0.60 (ratio 8 to 1)... plus conversion at rm 5.65....so TP minimum = rm6.25 (just to breakeven)...previous highest price was on 22nd july 2010 touching rm6.10 sblm tutup at 5.94...then downhill spai la...5 bulan dah!
klu aku average down (double or triple dare) utk CB at 0.015...naik ke 0.025 dah cukup utk breakeven...but klu mother turun lagi...CB akn wipe all my hard earned profit for this year...
bottom line, my final decision...is to hold CB and sell into strength...while minimizing/accepting my loss in CB...hopefully Mudajaya akn wat u-turn mulai early (jan or feb) next year....insyaAllah.
Saturday, December 11, 2010
Back after a long break...
I am back!!! : )
slps amik cuti panjang drpd stocks...due to problems inhibiting me and family...
1. Widad Amani dipatuk ular about seminggu slps raya puasa...masuk ICU utk 3 ari...really really serious...she stopped bernafas about 2 hours lps kena patuk...but recovered lps doc bagi bantuan pernafasan...after that, terpksa bkampung dlm kereta for 1 1/2 bulan sbb anak masuk ward...la ni pun masih kena ulang alik utk post treatment...tuhan saja tau camna stressnya hidup aku dgn isteri aku...lps wat plastique surgery, kaki Widad pulih tp scar besar masih jelas pd paha dan kaki...skingraft pun xleh replace atau balik cam asal...after more tha 3 months...dia dah bleh jalan cam biasa...home theraphy lebih berkesan...
2. November 2010..aku start building my own dream house...or bunglow (haha)...hopefully by middle 2011 dah bleh pindah masuk...design rumah sendiri lebih sukar dan mencabar...tp lebih puashati bbanding beli rumah siap...took almost 3 weeks to architec..after 11 designs, baru dapat yg terbaik...
3. Life drpd september spai la mmg stressful giler...xda hati dan masa nak jenguk stocks...so decided to leave stocks yg di accumulate...lagipun aku dah 100% invested...no more capital...well yesterday adalah ari pertama buka balik porfolio...mix reaction...Mudajaya CB teruk kena belasah...CSCsteel, E&O, KKB, topglove bertahan...but my star performer adalah DRBhicom...AVP (average) DRBhicom adalah 1.19...penutup last 1.80...50% profit...alhamdullilah! Aku percaya dgn pilihan CSCsteel, E&O, KKB dan topglove...just that...gelombang blum pick up...
4. Mudajaya CB at lowest point...mgkn dah establish bottom at 0.015...mother at 3.76...practically, CB wipe me out of my DRBhicom's profit...but i am not selling DRBhicom utk compensate CB.......CB 80% loss pd current price!!! ...kena check mother dulu utk wat kptsan...maybe wiser to switch to other potential warrant...
5. Investing dlm stocks x semudah yg orang sangka...if u cannot take loss, do not dabble in stocks...but my experience in stocks has taught me, if u stick with wat u do best....u will ride out the worst and find profit again...kita sbg investors are cold-hearted risk-takers....we are not stupid...we jumped in and out, left and right each having made calculated risks...if we are wrong, then be ready to accept the consequences...dlm kes CB, clearly i've made a wrong choice...i should keep my eyes stick to the price movement....i need to come out with a decision soon...
slps amik cuti panjang drpd stocks...due to problems inhibiting me and family...
1. Widad Amani dipatuk ular about seminggu slps raya puasa...masuk ICU utk 3 ari...really really serious...she stopped bernafas about 2 hours lps kena patuk...but recovered lps doc bagi bantuan pernafasan...after that, terpksa bkampung dlm kereta for 1 1/2 bulan sbb anak masuk ward...la ni pun masih kena ulang alik utk post treatment...tuhan saja tau camna stressnya hidup aku dgn isteri aku...lps wat plastique surgery, kaki Widad pulih tp scar besar masih jelas pd paha dan kaki...skingraft pun xleh replace atau balik cam asal...after more tha 3 months...dia dah bleh jalan cam biasa...home theraphy lebih berkesan...
2. November 2010..aku start building my own dream house...or bunglow (haha)...hopefully by middle 2011 dah bleh pindah masuk...design rumah sendiri lebih sukar dan mencabar...tp lebih puashati bbanding beli rumah siap...took almost 3 weeks to architec..after 11 designs, baru dapat yg terbaik...
3. Life drpd september spai la mmg stressful giler...xda hati dan masa nak jenguk stocks...so decided to leave stocks yg di accumulate...lagipun aku dah 100% invested...no more capital...well yesterday adalah ari pertama buka balik porfolio...mix reaction...Mudajaya CB teruk kena belasah...CSCsteel, E&O, KKB, topglove bertahan...but my star performer adalah DRBhicom...AVP (average) DRBhicom adalah 1.19...penutup last 1.80...50% profit...alhamdullilah! Aku percaya dgn pilihan CSCsteel, E&O, KKB dan topglove...just that...gelombang blum pick up...
4. Mudajaya CB at lowest point...mgkn dah establish bottom at 0.015...mother at 3.76...practically, CB wipe me out of my DRBhicom's profit...but i am not selling DRBhicom utk compensate CB.......CB 80% loss pd current price!!! ...kena check mother dulu utk wat kptsan...maybe wiser to switch to other potential warrant...
5. Investing dlm stocks x semudah yg orang sangka...if u cannot take loss, do not dabble in stocks...but my experience in stocks has taught me, if u stick with wat u do best....u will ride out the worst and find profit again...kita sbg investors are cold-hearted risk-takers....we are not stupid...we jumped in and out, left and right each having made calculated risks...if we are wrong, then be ready to accept the consequences...dlm kes CB, clearly i've made a wrong choice...i should keep my eyes stick to the price movement....i need to come out with a decision soon...
Friday, September 24, 2010
Saham coma/superpenny jadi pilihan...
sessi pagi ni saham2 coma/superpenny jd perhatian traders...list active stock
1. Kbunai (non-syariah....resorts/entertainment/casino?)
2. Saag
3. Nicorp
4. Compugt
5. Sinotop
6. Hubline....etc
remember lbh krg 1 tahun lps, saag reach 0.39...compugt reach 0.17...nicorp 0.09...hubline 0.30...sume dah 1 tahun dlm downtrend...
sementara sinotop bru jer turun dr puncak 0.65 slps senarai tahun ni...
more u-turn goreng coming???..or trap?
1. Kbunai (non-syariah....resorts/entertainment/casino?)
2. Saag
3. Nicorp
4. Compugt
5. Sinotop
6. Hubline....etc
remember lbh krg 1 tahun lps, saag reach 0.39...compugt reach 0.17...nicorp 0.09...hubline 0.30...sume dah 1 tahun dlm downtrend...
sementara sinotop bru jer turun dr puncak 0.65 slps senarai tahun ni...
more u-turn goreng coming???..or trap?
Bursa - down continue by 8 pts (12 noon)
Bursa trskan fall..tp portfolio recovered....takat la bear 270 counter vs bull 290 counter....so masih 50-50 chance of falling...expect ptg ni dlm directionless...no down no up...
masih dlm posisi hold...takat la, harapan masih ada...hopefully taufan merah akn berakhir cepat supaya portfolio bleh truskan xpdisi pendakian...
masih dlm posisi hold...takat la, harapan masih ada...hopefully taufan merah akn berakhir cepat supaya portfolio bleh truskan xpdisi pendakian...
Thursday, September 23, 2010
Bursa - dr 1474 turun ke 1458
smlm close 1474 tp dah krg strength utk trus bullish...mulai pagi td spai ptg ni, bear msk padang...tutup 1458 on profit taking...
trpks let go 3A pagi td utk collect balik modal...cutloss sbb TA nmpk cam nak turun lagi...nmpk death cross (MACD)..buang pd 1.78..lps tu ptg, 3A trus junam...rugi 5%...
dgn rujuk ADIX....CSCsteel, DRB, E&O dan KKB nmpk akn mula climb slps ribut merah berakhir...keep or add into position bila2 sesuai...atau pilihan lain ialah letgo DRB, CSC & KKB in profit utk collect modal...
now, problem...MudaJaya...still no news psl tuduhan fraud...klu mother turun melepasi support 3.90...mgkn terpksa give CB..option out 1/2 dulu atau retreat 100%...add more CB klu support bleh hold...
aku harap bursa rebound esok ptg atau isnin depan...problem....trader close position esok & isnin biasanya kurang halatuju...ari ni punya jatuh dah kira agak dalam sbyk 16 pts dlm sari...magnitute hampir sama cam 19/05/2010 pre world cup ari tu...
praying for miracles from US, Europe, Japan & China mlm nie...if not...muntah darah mggu depan...
trpks let go 3A pagi td utk collect balik modal...cutloss sbb TA nmpk cam nak turun lagi...nmpk death cross (MACD)..buang pd 1.78..lps tu ptg, 3A trus junam...rugi 5%...
dgn rujuk ADIX....CSCsteel, DRB, E&O dan KKB nmpk akn mula climb slps ribut merah berakhir...keep or add into position bila2 sesuai...atau pilihan lain ialah letgo DRB, CSC & KKB in profit utk collect modal...
now, problem...MudaJaya...still no news psl tuduhan fraud...klu mother turun melepasi support 3.90...mgkn terpksa give CB..option out 1/2 dulu atau retreat 100%...add more CB klu support bleh hold...
aku harap bursa rebound esok ptg atau isnin depan...problem....trader close position esok & isnin biasanya kurang halatuju...ari ni punya jatuh dah kira agak dalam sbyk 16 pts dlm sari...magnitute hampir sama cam 19/05/2010 pre world cup ari tu...
praying for miracles from US, Europe, Japan & China mlm nie...if not...muntah darah mggu depan...
Wednesday, September 22, 2010
Watchlist - 5 active and potential goreng stocks...
mulai esok kena perhatikan 5 stock nie...berdasarkan TA, lima2 ada potensi explosive...
1. E&O - P(1.18), S(1.11), R(1.25)
2. KNM - P(0.465), S(0.40), R(0.50)
3. L&G - P(0.475), S(0.42), R(0.49)
4. Scomi - P(0.42), S(0.39), R(0.45)
5. Zelan - P(0.69), S(0.63), R(0.75)
**P = Price, S= support, R= resistance
FA wise..aku rs E&O terbaik antara 5 nie...scomi & zelan sbb gomen link/tema bajet...
1. E&O mgkn akn break 1.25 soon...going into TP1.50
2. KNM kena break 0.50 pastu akn consolidate dulu...very hard!!!
3. L&G kena break 0.49 sblm mara...
4. Scomi mgkn testing 0.45 level cam bulan ogos lps...
5. Zelan mgkn ke level 0.75 soon...
1. E&O - P(1.18), S(1.11), R(1.25)
2. KNM - P(0.465), S(0.40), R(0.50)
3. L&G - P(0.475), S(0.42), R(0.49)
4. Scomi - P(0.42), S(0.39), R(0.45)
5. Zelan - P(0.69), S(0.63), R(0.75)
**P = Price, S= support, R= resistance
FA wise..aku rs E&O terbaik antara 5 nie...scomi & zelan sbb gomen link/tema bajet...
1. E&O mgkn akn break 1.25 soon...going into TP1.50
2. KNM kena break 0.50 pastu akn consolidate dulu...very hard!!!
3. L&G kena break 0.49 sblm mara...
4. Scomi mgkn testing 0.45 level cam bulan ogos lps...
5. Zelan mgkn ke level 0.75 soon...
Labels:
Eastern and Oriental,
KNM,
L and G,
Scomi,
Zelan
E&O - 1st batch
nampak traders masuk area 1.20 dan ada gak sell 1.19 dgn volume aktif...tp lebih ramai beli kat 1.20...s0 jumped Q pd 1.20...beli 1st batch at 1.20...wait for 2nd batch area 1.15-1.18...
TA wise...dah break resistance kat 1.18...potensi naik lebih tinggi...klu ari ni close, turun pun kat 1.17-1.18 jer kot...tomoro sure goreng 2nd round...
aku igt awal tahun ni ada broker house kasi TP 1.50...sure or not? bleh...klu E&O score EPS 13 sen utk FY2010 (kiraan PE12)...FY2009 = eps 6.66 sen...kena double profit...Q1 2010 dah 0.96 sen, better than Q1 2009...
div 3.8% (on par 1.00)...due exdate 14 oct (lbh krg 1 bulan lagik)...translate 1 big lot = rm28.50 (after tax 25%)...x byk sgt utk attract dividen play...lbh krg DY 3% jer...sama cam FD...
TA wise...dah break resistance kat 1.18...potensi naik lebih tinggi...klu ari ni close, turun pun kat 1.17-1.18 jer kot...tomoro sure goreng 2nd round...
aku igt awal tahun ni ada broker house kasi TP 1.50...sure or not? bleh...klu E&O score EPS 13 sen utk FY2010 (kiraan PE12)...FY2009 = eps 6.66 sen...kena double profit...Q1 2010 dah 0.96 sen, better than Q1 2009...
div 3.8% (on par 1.00)...due exdate 14 oct (lbh krg 1 bulan lagik)...translate 1 big lot = rm28.50 (after tax 25%)...x byk sgt utk attract dividen play...lbh krg DY 3% jer...sama cam FD...
Gorengggg is on...
mulai 11 pagi td 2 stock ni digoreng hebat...zelan slps break 0.67 dan E&O slps break 1.16..
closing noon...zelan 0.705 dan E&O 1.23...expect ptg ni kena throw masa sessi ptg...klu nak masuk enter area bawah...
expectation bdsrkan TA..potensi naik masih besar...so kena perhatikan timing utk enter...
Zelan - area 0.67 - 0.70...TP dekat 0.78
E&O - area 1.18 - 1.20...TP dekat 1.25
FA wise...E&O lbh baik bbanding Zelan...
closing noon...zelan 0.705 dan E&O 1.23...expect ptg ni kena throw masa sessi ptg...klu nak masuk enter area bawah...
expectation bdsrkan TA..potensi naik masih besar...so kena perhatikan timing utk enter...
Zelan - area 0.67 - 0.70...TP dekat 0.78
E&O - area 1.18 - 1.20...TP dekat 1.25
FA wise...E&O lbh baik bbanding Zelan...
DRBhicom - still ada power...
masih hold DRBhicom...smlm dan pagi ni nmpk support area 1.18...ramai dok masuk area 1.19 - 1.20 sblm brlps..la ni dah cecah 1.23 pd noon...tgt break after 1.25 closing to 1.30 dah x jauh...
Friday, September 17, 2010
DRBhicom - melepasi 1.20 on strong news...
Slps bbrapa lama x aktif...now dah breaking away drpd 1.10 -1.15 dan tutup pd 1.19 selepas sentuh 1.20...which is a good news indeed...this undervalued stock mgkn just bru start engine klu tgk TA wise...
1. bollinger...bru breakout
2. MacD line...new uptrend
3. RSI...in bullish area & blum spai overbought
DRBhicom dah break close resistance...aka di 1.15...kemungkinan bergerak atas lagi...to next resistance at 1.25...klu break 1.25, sure bullish berterusan...
problem...
1. EPF masih dok selling...why???? sdgkan masih undrvalue..
2. people mgkn akn sell on good news..sbb news ttg DRBhicom akn beli stake dlm proton, join venture dgn automakers & mgkin unlock bisness entiti dgn list dlm bursa...
utk masa la, masih hold DRBhicom..reasons:
1. new uptrend...potensi utk naik lebih tinggi...
2. belum nmpk signal downturn utk take profit...
3. most importantly...DRBhicom masih lagi deeply undervalued...especially berbanding auto lelain...
harap monday/mggu depan akn lebih baik... :)
1. bollinger...bru breakout
2. MacD line...new uptrend
3. RSI...in bullish area & blum spai overbought
DRBhicom dah break close resistance...aka di 1.15...kemungkinan bergerak atas lagi...to next resistance at 1.25...klu break 1.25, sure bullish berterusan...
problem...
1. EPF masih dok selling...why???? sdgkan masih undrvalue..
2. people mgkn akn sell on good news..sbb news ttg DRBhicom akn beli stake dlm proton, join venture dgn automakers & mgkin unlock bisness entiti dgn list dlm bursa...
utk masa la, masih hold DRBhicom..reasons:
1. new uptrend...potensi utk naik lebih tinggi...
2. belum nmpk signal downturn utk take profit...
3. most importantly...DRBhicom masih lagi deeply undervalued...especially berbanding auto lelain...
harap monday/mggu depan akn lebih baik... :)
Wednesday, September 15, 2010
Bursa - 3 days after raya...1472 pts
Bursa makin dekat dgn 1500 pts...puncak makin meninggi...correction is due...tp bila???..sblm ni correction x jadi...so, I am just a bit wori la...tgk chart nmpk gayat...
the thing is...lately counter pilihan aku x gerak..why? nape jd laggards...one thing mgkn sbb yg dok naik byk sejak Ogos ari tu ialah kaunter FBM30...
or..mgkn aku just kena tunggu skit lagi...taking profit now mmg bleh...tp blum spai tgt...I am in dilemma...heiiii, susah betul lah! nak cut loss, blum cecah cut loss...nak jual, untung ciput...nak simpan, x gerak aktif..so how...sonang yo, masuk gua bertapa dulu lar! hehehe...
sesambil tue, kena tgk kaunter/theme lain plak....
the thing is...lately counter pilihan aku x gerak..why? nape jd laggards...one thing mgkn sbb yg dok naik byk sejak Ogos ari tu ialah kaunter FBM30...
or..mgkn aku just kena tunggu skit lagi...taking profit now mmg bleh...tp blum spai tgt...I am in dilemma...heiiii, susah betul lah! nak cut loss, blum cecah cut loss...nak jual, untung ciput...nak simpan, x gerak aktif..so how...sonang yo, masuk gua bertapa dulu lar! hehehe...
sesambil tue, kena tgk kaunter/theme lain plak....
Thursday, September 09, 2010
Esok raya, bukan hari ni lah!!! :)
tomoro raya expected..major exodus today...holiday mood is on...re-uniting with family and friends...so take a short break from stocks, grab a kitkat if u want to...:)...better still, grab some ketupat and rendang...and enjoy our blessed and wonderful life...give sedekah to the children and the needy (simply not because duit raya) but rather out of a sincere charity...
...so guys (whoever reading this open diary), SELAMAT HARI RAYA AIDIL FITRI...EID MUBARAK...MAAF ZAHIR BATIN...HAVE A SAFE JOURNEY...ENJOY YOUR SYAWAL HOLIDAY..
...so guys (whoever reading this open diary), SELAMAT HARI RAYA AIDIL FITRI...EID MUBARAK...MAAF ZAHIR BATIN...HAVE A SAFE JOURNEY...ENJOY YOUR SYAWAL HOLIDAY..
MudaJaya CB - just stalled temporarily
pagi smlm lps Q utk CB 0.075, kuar wat last minit shopping raya...balik mlm check out CB..dan aikkks!!!...turun to 0.06..ha nevermind..Q dah matched..nak wat camna lagik..
so...going for plan B..waiting area 0.055 to 0.060...heharap u-turn Mudajaya (mother) menjadi...atleast 5.00 not that far...lps raya, expect mood membeli akan lebih rancak...
so...going for plan B..waiting area 0.055 to 0.060...heharap u-turn Mudajaya (mother) menjadi...atleast 5.00 not that far...lps raya, expect mood membeli akan lebih rancak...
Tuesday, September 07, 2010
Mudajaya - mother and daughters..
Isu ttg MudaJaya..samada crita surat layang ttg pemalsuan accounting betul atau x...khabar2 angin sebut SC dah selesai siasat dan the news is good..hopefully everything akn back to normal..dan price akn pick up ke level asal sblm kejatuhan MudaJaya...
TA wise, u-turn dikesan bermula slps pertengahan ogos...overall, MudaJaya dijangka bullish wlu pun dlm mood raya (dan slps raya)...brokerhouse CIMB bagi TP rm7 lebih..aku punya valuation minimum rm 6...
1H eps = 25.59 sen..tgt 2H minimum 20 sen...so about 45 sen..stock value at PE10 = 4.50 minimum...but..having given mudajaya a discount of its EPS!...sektor construction biasanya Pe lebih tinggi..so let's assume PE12 dan pd discount = 5.47 minimum..
dgn lihat growth revenue, profit, eps dan NAPS...rsnya tgt rm 6 adalah logik...but kena byk sabar dan masuk bpringkat...
pagi ni decided beli MudaJaya CB..sbb nmpk potensi lebih baik banding CA...190 days to go (a lot of safety)...Queue 1st batch dulu 0.075 sama cam tutup smlm..looks like about to u-turn soon..mgkn after raya??? klu jatuh..akn average down
ready for 2nd batch kat harga lebih rendah...area 0.06 (just in case)...in short...
mother 4.50 = CB 0.07
mother 6.00??? = CB 0.10 possible????..i think so...so, wish me luck...
TA wise, u-turn dikesan bermula slps pertengahan ogos...overall, MudaJaya dijangka bullish wlu pun dlm mood raya (dan slps raya)...brokerhouse CIMB bagi TP rm7 lebih..aku punya valuation minimum rm 6...
1H eps = 25.59 sen..tgt 2H minimum 20 sen...so about 45 sen..stock value at PE10 = 4.50 minimum...but..having given mudajaya a discount of its EPS!...sektor construction biasanya Pe lebih tinggi..so let's assume PE12 dan pd discount = 5.47 minimum..
dgn lihat growth revenue, profit, eps dan NAPS...rsnya tgt rm 6 adalah logik...but kena byk sabar dan masuk bpringkat...
pagi ni decided beli MudaJaya CB..sbb nmpk potensi lebih baik banding CA...190 days to go (a lot of safety)...Queue 1st batch dulu 0.075 sama cam tutup smlm..looks like about to u-turn soon..mgkn after raya??? klu jatuh..akn average down
ready for 2nd batch kat harga lebih rendah...area 0.06 (just in case)...in short...
mother 4.50 = CB 0.07
mother 6.00??? = CB 0.10 possible????..i think so...so, wish me luck...
Saturday, September 04, 2010
Bursa berehat sebentar...
ari ni bursa nmpk cam berehat sebentar..penat ooii ari2 panjat...: )
interestingly, active counter drpd 3rd/penny amik peluang utk bullish...but slps semak TA nmpknya just a technical rebound...mksdnya masih ada ruang utk turun lagi...
5 kaunter (TOP 10 active) yg jd perhatian aku ari ni, Jumaat 3 Sept 2010...ikut rank active...KNM, JCY, UEMland, Timecom dan E&O...dan based on TA,
1. KNM - technical rebound...potensi downside masih ada
2. JCY - technical rebound...further downside possible ke target area
3. UEMLand - bullish continue..x tau psl pa...any news? kena check sbb sdkit ganjil...
4. TimeCom - technical rebound...menarik...
5. E&O - technical rebound..paling menarik...
TA wise, Timecom dan E&O nmpk cantik...tgk minggu depan lak...
interestingly, active counter drpd 3rd/penny amik peluang utk bullish...but slps semak TA nmpknya just a technical rebound...mksdnya masih ada ruang utk turun lagi...
5 kaunter (TOP 10 active) yg jd perhatian aku ari ni, Jumaat 3 Sept 2010...ikut rank active...KNM, JCY, UEMland, Timecom dan E&O...dan based on TA,
1. KNM - technical rebound...potensi downside masih ada
2. JCY - technical rebound...further downside possible ke target area
3. UEMLand - bullish continue..x tau psl pa...any news? kena check sbb sdkit ganjil...
4. TimeCom - technical rebound...menarik...
5. E&O - technical rebound..paling menarik...
TA wise, Timecom dan E&O nmpk cantik...tgk minggu depan lak...
Labels:
Bursa Update,
Eastern and Oriental,
JCY,
KNM,
Timecom,
UEMLand
Thursday, September 02, 2010
JCY - more on JCY...
ni aku bru jer baca pagi nih...drpd famous blogger DALI...seems like sama jer opinion...sama cam aku wat post bout JCY smlm...but his views lebih padat...
The meat of the thing is...everybody risau psl poor performance JCY...klu tgh pegang JCY la ni, kena lagi risau...sbb this blogger DALI ada pengikut yg ramai...his call akn ada certain effect on JCY...sesapa yg trap kat harga tinggi must be having sleepless nights...
Dlm kata lain, shrinking revenue & profit (+EPS)...adalah key kpd kejatuhan JCY...klu niaga untung makin susut, susah la mau hidup...
baca sendiri ~> DALI's views on JCY
The meat of the thing is...everybody risau psl poor performance JCY...klu tgh pegang JCY la ni, kena lagi risau...sbb this blogger DALI ada pengikut yg ramai...his call akn ada certain effect on JCY...sesapa yg trap kat harga tinggi must be having sleepless nights...
Dlm kata lain, shrinking revenue & profit (+EPS)...adalah key kpd kejatuhan JCY...klu niaga untung makin susut, susah la mau hidup...
baca sendiri ~> DALI's views on JCY
KNM - masalah x abis2...
aku terkena dgn KNM...salah jangka sbb kan aku rugi ribu ringgit...igt ka privatisation nak on...rupa2 cakap kosong jer...a hard lesson to learn..anyway slps cut loss kat 0.73 pd march 2010 drpd AVP 0.86... ari ni tutup pd 0.44...nasib cutloss awal...
now KNM propose reverse share split plak...bad news plus bad move = bad for us...just perhati dr jauh jer...sgt bahaya...
Stock Valuation:
andaian 0.5 sen utk 3Q & 4Q...annualised at 2.38 sen EPS
value = RM0.24 maks
now KNM propose reverse share split plak...bad news plus bad move = bad for us...just perhati dr jauh jer...sgt bahaya...
Stock Valuation:
andaian 0.5 sen utk 3Q & 4Q...annualised at 2.38 sen EPS
value = RM0.24 maks
Wednesday, September 01, 2010
JCY - terjun gaung...
sector computer appliances kena hit teruk...JCY x terkecuali...la ni free falling drpd peak 1.90 (April 2010)...spai la, ari tutup pd 0.895 (Ogos 2010)...
klu x salah aku..masa dekat2 nak spai puncak dlm April dulu, ada brokerbank (Taikor Bank aka CIMB???) bagi TP spai 2.50...mgkn sbb masa tu sector HDD mmg tgh hot...
reastically utk 3Q FY2009 yg baru berakhir utk JCY...nmpk ada penurunan prestasi yg ketara...
stock valuation:
andaian annualised EPS = 11.94 sen (2 sen utk 4Q FY2009)
minima 0.84
maksima 1.19
semua ni psl 'poor preformance'...TA wise, blum establish bottom...
klu x salah aku..masa dekat2 nak spai puncak dlm April dulu, ada brokerbank (Taikor Bank aka CIMB???) bagi TP spai 2.50...mgkn sbb masa tu sector HDD mmg tgh hot...
reastically utk 3Q FY2009 yg baru berakhir utk JCY...nmpk ada penurunan prestasi yg ketara...
stock valuation:
andaian annualised EPS = 11.94 sen (2 sen utk 4Q FY2009)
minima 0.84
maksima 1.19
semua ni psl 'poor preformance'...TA wise, blum establish bottom...
Subscribe to:
Posts (Atom)