Market Capital (RM)
EPS (cent)
P/E Ratio
Par Value (RM)
Number of Share
NTA (RM)
Dividend (cent)
Dividend Yield (%)
Dividend Policy (%)
Resistant: 0.645
Support: 0.585
TP: 0.70
CL: 0.565
The reason why choose this stock.
Fundamental
1. Export Counter, Weaken MYR.
2. Qr should out by middle of Jan'16. Targeted the result is more than 100% net profit base on quarter to quarter ( q to q)
3. Someone is collecting the number of share.
Technical
1. Stoch is still remain >50%
2. MACD is uptrend
3. Above SMA 20 and EMA 200
4. T4 had been over. And its does not force selling. Means someone is still keeping until the quarter result out.
LAST BUT NOT LEAST... Trade at your own risk.
Author - James .B - HSI GORENG Telegram
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https://telegram.me/joinchat/B92k5zvVHkqsSsgwi5i3kw
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