SUPERMX - Malaysian Glovemarker - Next Target is 11-12 ishThat nasty wick to the downside surely forced a lot of liquidations on people who are using margin or leverage to trade. Good for them. Hopefully they will go work as Grab driver or in McDonald. Oh yeah, I forgot we have that covid thing. Whatever. Good riddance.
Anyways, this is still going to up. After the wick, it made a new all time high. The momentum and capital inflow remains intact. Will stay inside this one and ride it all the way up and together with other glove makers too.
With Nasdaq going to break all time high soon. This is the only way to survive the world for now... financially.
Malaysia
FTSE Bursa Malaysia Index - uptrend under wayThe Malaysian index has finished a corrective 3-wave intermediate pattern that retraced around 50% and reached the fourth wave level of two lower degrees, which is a typical end of corrections. It is now finishing to trace intermediate wave 1 or A. We could see a smaller correction up to 1,430 before the uptrend continues. FOLLOW SKYLINEPRO TO GET UPDATES.
2/6/2020. Bursa Malaysia. DSONIC-WA mahu mendaki selaju sonic?Berpotensi untuk short swing dan mid swing
Dari segi TA (menggunakan indikator sendiri)
- Candle masih dalam keadaan hijau untuk daily chart
- Entry 0.610
- CL 0.570
- TP1 0.670 , TP2 0.695
- RRR = 1:1.22 , 1:1.78
(Dibawah ialah candle bagi daily chart )
(jika mahu menggunakan indikator saya, private chate saya di Trading View)
2/6/2020. Bursa Malaysia. HTPADU berpotensi untuk kenaikan paduBerpotensi untuk short swing dan mid swing
Dari segi FA
- PE > ROE
- Market volatile kerana hanya mempunyai 101.23juta jumlah share
- Sektor teknologi (Digital services)
Dari segi TA (menggunakan indikator sendiri)
- Candle masih dalam keadaan hijau untuk daily chart
- Entry 1.060
- CL 1.030
- TP1 1.18 , TP2 1.22
- RRR = 1:2.75 , 1:3.75
(Dibawah ialah candle bagi daily chart)
Jika mahu menggunakan indikator saya, boleh private chat saya
Top Glove - Glove Mania - RM 20 in sight and then we will seeAnyone who thinks that they for 100% certainty knows what is going to happen to market is foolish.
Market is about probability and putting things in favour of yourself.
Thanksfully Malaysia is one of the top glove makers in the world, so, we have the chance to make some big money here while foreigners only recourse is to buy Top Glove in Singapore Exchange.
Lessons that I learnt from parabolic moves and advances, you need to ride the thing up and exit only when it is telling us to do so. Yeah, it was a gamble but that's how you can and become rich.
You don't make money from short term moves, you make money from LARGE and BIG moves. There will be corrections here and there. Corrections are just corrections.
Top will be in when it is going parabolic or when it made a major top or double top or triple top.
At the moment, we don't know yet how high this stock or glove makers can go. With some estimates are saying that Top Glove will net in RM 3 Billion in Profit for 2021, putting a conservative P/E of 30, that will give market cap of RM 100 Billion, the biggest company in Malaysia with price of about RM 38-40.
That should be the major top, anything above that is clearly a bubble and then we will see a catastrophic 50-80% corrections. That's how market works.
Regards.
I-BHDThis is like a textbook case, the market pretty much moves in a very uniform manner.
With this support(blue line) and resistance(red line) lines it is almost certain that when market break and close above 1, it will move to the next.
Pretty much a heaven for traders, but you have to calculate and consider if the commission you need to pay, worth the effort.
AXREIT - A Stable and Growing Distribution of IncomeMYX:AXREIT
A very stable company to add on to your portfolio. For dividend lovers, the company also has a consistent dividend.
Info
AXREIT is a Real Estate Investment Trust. The Company owns and invests primarily in office and industrial real estate. The primary objectives of the Company are to provide unitholders with a stable and growing distribution of income, and to achieve long-term growth in the net asset value per unit of the Fund. The Company's portfolio consists of offices, office/industrial, hypermarkets, warehouse logistics and manufacturing facilities. It has a portfolio of approximately 40 properties.
VS Industry BhdFor traders who are stuck in this stock, you may just want to continue to read this. Since you had been holding on to this trade, I would say hold on to a few days longer.
That's what I'll do if I were you.
A break and close below 0.895 might encourage me to prepare to cut loss.
Another level I will be looking closely is 0.915 to spot if it breaks and closes above the high if it does I will observe how the market react at 0.955
Malaysian Technology Sector Will Continue To OutperformMalaysia only bright side is that the technology sector may and will continue to benefits from current situations.
Capital flow is indicating that more and more capital will come into this sector versus other sector.
The best tactical play is to go long and invest in technology companies, especially those with good management and fundamentals.
Rotational play will remain in tact. It will follow closely what happens to Nasdaq and Semiconductor stocks globally.
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My Philosophy:
- No margin, no leverage, no debt. Use own money and cash only.
- Cash is rarely the king.
- Capital will always flow from one asset to another.
- There is no crisis, only opportunities.
- Focus on Mid to long term trend, not short term noises.
- Study overall market behaviour globally.
- 10 times doubling equal to 1000x return.
- High return from high risk.
- Compounding rules.
Really in bad shape.The Malaysia market is really in bad shapes....
More down turn to expected in few months ahead....
I felt this is the biggest economy depression will Malaysian had..
I feel very sad to see this chart, semoga kita semua rakyat Malaysia semakin tabah dan cekal...
Buatlah perancangan kewangan dengan teratur..
BONIA - Price just like when they go public!BONIA
BONIA - A luxury fashion company. I like their products. I'm fan of leatherwear.
As you can see their stock price have been falling since 2014, that doesn't seem very good. BUT looook to the left even more! It almost same as the price when they go public, HAHA. (poor Bonia founder keeping their shares for 17 years just to get breakeven).
Well well, it's an opportunity for people like us that born late to the game to get this kind of price. The company have good performance, stable profit, efficient in managing their goods and assets, having lower debt ratio (debt<asset/current/equity), a stable like dividend, and the most important thing the price is very cheap!
p.s. it also very safe even if they go bankrupt, look at the Net-Net indicator and Book indicator, it means even if they go gg, we may still profit or at least get our investment back. (Not guaranteed, don't blame me if something goes wrong)
SBCCORP - MALAYSIA STOCKLeft-Chart - Buy below these indicator
Right chart - Analysis
Growth - Potential Growth of the stock price based on historical performance
Book - {Safety Precaution} Even if the company Bankrupt, you MAY still profit. Calculation based on all asset.
Net-net - {Safety Precaution} Even if the company Bankrupt, you have higher chance still profit. Calculation based on current asset only
P/E - Buy below this price if you want fast return on your investment.
Graham - Using Graham's number formula (Google it, I'm not sure how to explain)
Income Margin Average - Average Margin
Dividend Average - Average dividend
PEG Ratio - Indicator to show overvalued or undervalue share price. Over 1 is overvalued, under 1 is undervalued
Turnover - Measures the efficiency of a company's use of its assets in generating sales revenue or sales income to the company.
GENTING - MALAYSIA STOCKLeft-Chart - Buy below these indicator
Right chart - Analysis
Growth - Potential Growth of the stock price based on historical performance
Book - {Safety Precaution} Even if the company Bankrupt, you MAY still profit. Calculation based on all asset.
Net-net - {Safety Precaution} Even if the company Bankrupt, you have higher chance still profit. Calculation based on current asset only
P/E - Buy below this price if you want fast return on your investment.
Graham - Using Graham's number formula (Google it, I'm not sure how to explain)
Income Margin Average - Average Margin
Dividend Average - Average dividend
PEG Ratio - Indicator to show overvalued or undervalue share price. Over 1 is overvalued, under 1 is undervalued
Turnover - Measures the efficiency of a company's use of its assets in generating sales revenue or sales income to the company.
10 Mei 2020 . Bursa Malaysia . MMS Ventures berpontensiDari segi FA
- PE > ROE
- Market volatile kerana hanya mempunyai 203.93juta jumlah share
- Sektor teknologi
Dari segi TA
- Candle masih dalam keadaan hijau
- Entry 0.655
- CL 0.630
- TP1 0.695 , TP2 0.72 , TP3 0.775
- RRR = 1:1.5 , 1:2.6 , 1:4.8
Longest Bear market in history for FBMKLCI is about to be made.Bearish market until 2024?
the trader is having no trouble making money in the bearish market but an investor who aims for long term investment is having trouble with this.
EPF, Tabung Haji and ASB earning will be lower each year in this coming few years.
I wish I could be wrong about this as our Rakyat will suffer more than ever but they don't know why.
Everyday is a struggle.
Let me know in the comment section below if you have any questions, the entry will be taken only if all rules of the strategies will be satisfied.
I suggest you keep this pair on your watchlist and see if the rules of your strategy are satisfied.
Buy at your own risk.