ALL DATA REF=SENSECENTS BLOG
ALL DATA REF=MYTRADINGADVENTURE BLOG
=============================================
OCTOBER=27.10.10=NHR 1504.37
OCTOBER=14.10.10= NHR 1503.82
NOTES.
ITS A TRADERS MARKET ASAT OCTOBER.
BUY TODAY,SELL TOMORROW.
FTFP OR FTTP,ITS IRRELEVANT.
FUNDS MANAGERS ARE DISTRIBUTING.
RETAILERS ARE MANIPULATING.
SINCE 4.10.10.IT HAS BEEN A BILLION SHARES
TRADED DAILY.
TACTICS N STRATEGY
OCT.,NOV.,DEC.,2010
CONTRA N SHORT TERM TRADE WEEKLY.
PROFIT TAKING
>RM0.01-0.15.
BUY N SELL UNITS/LOTS
1000-15,000 UNITS
10-150 LOTS.
GROSS BUY COST=RM1,500 +100=1,600.00
GROSS SELL COST=RM1,500+150=1,650.00
NET PROFIT=RM50.00
FRI.29.10.10
==========
FTFP
FTTP
FRI.29.10.10.OPEN 1499.80 HIGH 1505.66 NHR
FRI.29.10.10.FBMKLCI 1505.66 + VOL=1.460 BILLION+
THU.28.10.10
==========
FTFP
FTTP
THU.28.10.10.OPEN 1500.19 HIGH 1501.57
THU.28.10.10.FBMKLCI 1499.44+ VOL=1.137 BILLION-
WED.27.10.10
===========
FTFP
FTTP
WED.27.10.10.OPEN 1496.20 HIGH 1504.37 NHR
WED.27.10.10.FBMKLCI 1499.11+ VOL=1.169 BILLION-
TUE.26.10.10
==========
FTFP
STATISTICS OF FOREIGN FUNDS BUY N SELL
2001=SELLUSD53.10M.2002=BUYUSD451.20M
2003=BUYUSD510.80M.
2004=BUYUSD978.60M [PRE GEN.ELECTION RALLY-MAC.04]
2005=SELLUSD798.90M.2006=BUYUSD517.80M
2007=BUYUSD748.80M.
2008=SELLUSD3,410.50B[PRE GEN.ELECTION RALLY-MAC.08]
CRASH AFTER GEN.ELECTION.OPPOSITION WON.
2009=BUYUSD157.80M.2010=?
AFFIRMATIVE.THE FBMKLCI IS SUPPORTED BY LOCAL FUNDS.
BUY AND HOLD ONLY BIG CAP STOCKS[OVER A BILLION SHARES]
BUY AND HOLD ONLY STOCKS WITH A MKT.CAP OF OVER RM1B.
SELL WHEN THE FOREIGN FUNDS ARE COMING TO BUY.
FROM 2001-2009,ONLY 3X OF NET SELLERS.
FROM 2001-2009.ONLY 6X OF NET BUYERS.
FTTP
TUE.26.10.10.OPEN 1493.90 HIGH 1495.10
TUE.26.10.10.FBMKLCI 1496.94+ VOL=1.375 BILLION
MON.25.10.10
==========
FTFP
FTTP
MON.25.10.10.OPEN 1493.53 HIGH 1495.74
MON.25.10.10.FBMKLCI 1491.44+ VOL=1.131 BILLION-
FRI.22.10.10
==========
FTFP
FTTP
FRI.22.10.10.OPEN 1494.59 HIGH 1496.48
FRI.22.10.10.FBMKLCI 1490.64- VOL=1.225 BILLION-
THU.21.10.10
==========
FTFP
FTTP
NOTES
DOWJONES+129=11,107.WED.
THU.21.10.10.TECHNICAL HOLD
THU.21.10.10.OPEN 1490.24 HIGH 1495.84
THU.21.10.10.FBMKLCI 1491.02+ VOL=1.429 BILLION-
WED.20.10.10
==========
FTFP.
RUBBER GLOVES TO INCREASED N ADJUCT PRICES
DUE HIGH MATERIAL COST N WEAKENING USD.
OTHERWISE REDUCE PRODUCTION.
KIV RUBBER GLOVE STOCKS.
ALL RUBBER GLOVE STOCKS RISES.
FTTP.
NOTES.
DOWJONES -165=10,978.TUE.
WED.20.10.10.TECHNICAL HOLD.
WED.20.10.10.OPEN 1480.32. HIGH 1490.03
WED.20.10.10=FBMKLCI 1486.78- VOL=1.488 BILLION-
TUE.19.10.10
==========
FTFP
====
THE RINGGIT FALLS 3 DAYS IN A ROW.
REFER=KIV STOCKS IN THE NEWS=CURRENCY.
1.BANKING STOCKS TO RALLY [DOWJONES UP]
2.STEEL STOCKS TO RALLY.
3.RUBBER STOCKS TO RALLY.
4.COMMODITIES=SHIPPING STOCKS=KIV TO RALLY
NOTES
TOP TURNOVER N ACTIVE.
ONLY CIMB.MAYBANK.PBBANK.AMMB.TA.LIONDIV.
TOP PRICE GAIN
RHBCAP.AMMB.PBBANK.LIONIND.
FTTP
=====
TUE.19.10.10=TECHNICAL HOLD
TUE.19.10.10=OPEN 1483.74 HIGH 1488.77
TUE.19.10.10=FBMKLCI 1488.65+ VOL=1.499 BILLION+
MON.18.10.10
===========
FTFP
======
NIL
FTTP
======
MARKET FALLS FROM HIGH=1494.96
TO LOW= 1479 ASAT 1530 HRS.
MON.18.10.10=FBMKLCI 1480.70- VOL=1.330 BILLION+
FRI.15.10.10
==========
FROM THE FUNDAMENTAL PERSPECTIVE[FP]
FROM THE TECHNICAL PERSPECTIVE[TP]
==================================
FRI.15.10.10=TECHNICAL SELL.
FRI.15.10.10=FBMKLCI 1489.86- VOL=1.02 BILLION
THU.14.10.10
==========
FROM THE FUNDAMENTAL PERSPECTIVE
==================================
IF SHARE X COST RM3.00= 1 USD.
IF SHARE X RISE RM6.00=2 USD.
IF SHARE X FALL RM 2.00=MINUS 1 USD
IF RM3.00=1 USD,LATER APPRECIATE TO RM2.00=1 USD.
THEN,STOCK X RM6.00=3 USD.[6/2]
OR STOCK X RM2.00=1 USD.[2/2]
THUS,USD APPRECIATE OR DEPRECIATE,
THE EQUITY INVESTMENT IS FUNDAMENTALLY GOOD.
HENCE,HOT MONEY OR CURRENCY WAR BENEFITS
THE STOCK MARKET.THEN,FOLLOW THE TREND.
STILL,ONLY CONTRA N SHORT TERM TRADE STRATEGY.
FOR OCT-DEC.2010,BUY ON TECHNICAL SUPPORT
FOR OCT-DEC 2010,SELL ON TECHNICAL RESISTANT.
FOR OCT-DEC 2010,SELL A DAY AFTER FMSP.
FROM THE TECHNICAL PERSPECTIVE
==============================
THU.14.10.10=TECHNICAL SELL
THU.14.10.10=FBMKLCI NEW HIGH=1503.82
THU.14.10.10=FBMKLCI 1496.38- VOL=1.274 BILLION
WED.13.10.10=FBMKLCI NEW HIGH=1496.97
WED.13.10.10=FBMKLCI 1496.97+ VOL=1.199 BILLION
FUND MANAGERS STRONG PUSH[FMSP]
12.10.10
FROM THE FUNDAMENTAL PERSPECTIVE.
===================================
BUDGET DEFICIT TO GO DOWN BY 2011
[REUTERS POLL ON 15 ECONOMIST N WORLD BANK FORECAST]
THE TARGET WAS 2.5% OF GDP IN 2015 VIA RISING TAX REVENUE.
FOR BUDGET 2011,NO BIG POLICY N CONSOLIDATION CHANGES.
FROM THE TECHNICAL PERSPECTIVE.
===============================
SELLING PRESSURE WAS WELL ABSORBED.
HOWEVER,BEAR SIGNAL INDICATES A NEW HIGH KLCI
WITH A HIGH VOLUME BUT LOWER CLOSED.
TECHNICALLY,ITS A BEAR SIGNAL.
IN OCT.,A BILLION VOLUME WAS CONSISTENT BUT
THE FBMKLCI WAS MARGINALLY HIGHER.
BEFORE OCT.,THE VOLUME WAS LESS THAN A BILLION
BUT THE FBMKLCI WAS GREATLY HIGHER.
TODAY,A NEW HIGH WAS REACHED WITH
A HIGHER VOLUME BUT LOWER CLOSE.
COULD THE FUNDS MANAGERS BE SELLING
SLOWLY AND REDUCING THEIR EXPOSURE?
COULD THE FUTURE OF THE FBMKLCI CORRECT
AFTER BUDGET OCT.15.,?
CAN THE FBMKLCI REACHED A HIGH OF >1500
AS FORECASTED BY MOST BROKERAGE FIRM?
WHATEVER,THE STRATEGY FOR THE MONTHS
ONWARDS ARE BUY CONTRA OR SHORT TERM
OF WEEKLY N MONTHLY TRADE.
1]BUY ONLY SPECULATIVE STOCKS.
WITH REGARD TO M&A AND CONSTRUCTION THEME.
2]BUY ONLY SPECULATIVE STOCKS
WITH REGARD TO ETP THEME
3]BUY ONLY SPECULATIVE STOCKS
WITH REGARD TO ELECTION THEME
4]BUY ONLY SPECULATIVE STOCKS
WITH REGARD TO POLITICAL CRONIES THEME
5]BUY ONLY SPECULATIVE STOCKS
WITH REGARD TO PENNY STOCKS UNDER RM1.00
============================================
TUE.12.10.10=FBMKLCI NEW HIGH=1493.29
TUE.12.10.10=FBMKLCI 1486.57- VOL=1.169 BILLION+
MON.11.10.10=FBMKLCI 1487.36 VOL=1.094 BILLION
FRI.8.10.10==FBMKLCI 1481.41 VOL=1.075 BILLION
THU.7.10.10==FBMKLCI 1481.45 VOL=841 MILLION
WED.6.10.10=FBMKLCI 1479.61 VOL=954 MILLION
TUE.5.10.10==FBMKLCI 1472.19 VOL=985 MILLION
MON.4.10.10=FBMKLCI 1462.27 VOL=1.369 BILLION
FRI.1.10.10===FBMKLCI 1466.32 VOL=973 MILLION
TACTICS
CONTRA TRADE AND SHORT TERM STOCKS
ONLY SPECULATIVE STOCKS.
STRATEGY
=========
ENTRY
BUY ON NEW SUPPORT OR RESISTANT CLOSE.
SELL ON STRONG PUSH HIGHCLOSE.
REDUCE WEIGHTAGE ON FUNDAMENTALL STOCKS
REDUCE WEIGHTAGE ON BLUE CHIP STOCKS.
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