Monday, March 26, 2012

光明龙虎榜--3月26日见报

股項 代號 高 低 支持 阻力 開 閉 14日平均價
1.麥納首要(MAGNA) 7617 1.04 0.73 0.82 0.91 0.855 0.855 0.847
此公司在2009年淨賺662萬6000令吉,2010年淨虧1170萬4000令吉,2011年9月淨賺665萬3000令吉。


2.雪州柏朗桑(KPS) 5843 1.43 0.745 1.07 1.43 1.09 1.08 1.12
此公司在2008年淨虧17萬令吉,2009年淨賺7222萬令吉,2010年淨賺3007萬令吉。
3.納因控股(NAIM) 5073 3.20 1.54 1.85 2.39 1.95 1.95 2.11
該公司2011財政年表現疲弱,但公司正準備東山再起,主要是Samalaju工業區建設工作進展順利,其中日本德山(Tokuyama)的亞洲礦業(Asia Mineral)等數家國際業者正同意進駐設廠。


4.美全(MTRONIC) 0043 0.315 0.03 0.125 0.315 0.265 0.21 0.106。
這間公司過去幾年皆虧本,因此,沒有什麼人注意到它,但因為人們炒仙股而大熱,近日又因曾文秀連日來大手筆買進美全,促使持股增加至5.18%,成為顯著股東,使市場大為瘋狂。



5.柏丹(BERTAM) 9814 0.945 0.455 0.715 0.935 0.87 0.865 0.77
此公司在2008年淨賺550萬,2009年淨賺427萬,2010年淨賺1481萬令吉。


Monday, March 19, 2012

光明日报龙虎榜3月19日见报

股項 代號 高 低 支持 阻力 開 閉 14日平均價
1.WCT公司 (WCT) 9679 3.19 1.85 2.57 2.78 2.62 2.62 2.63
此公司有利可圖,2010年淨賺1億4115萬4000令吉,2011年9月淨賺1億1447萬9000令吉。



2.捷博集團(CEPAT) 8982 1.73 1.02 1.11 1.22 1.12 1.13 1.12
此公司有利可圖,2010年淨賺2488萬令吉。




3.金獅多元控股 (LIONDIV) 2887 0.575 0.29 0.335 0.415 0.345 0.345 0.344
此股從今年2月13日的0.415滑下後,目前在0.335至0.355之間波動,由於此股已經出現7次十字星(DOJI)訊號,因此相信近日會飆升,雖然可能幅不大,但足以讓你賺錢,上週五忽然飆升的佐漢控股(JOHAN:3441)就有相同的形態。




4.富達置地 (DUTALND) 3948 0.68 0.47 0.505 0.575 0.515 0.515 0.516。
此股在3月15日出示蜻蜓十字線,16日出示墓碑十字線,這可能暗示此股近期內會反彈,雖然反彈幅度可能不大,但如果買入量大,也有利可圖,而且此時買入風險低。




5.友力森 (UNISEM) 5005 2.13 0.98 1.24 1.66 1.31 1.34 1.32
此股從今年2月9日的1.66滑下後,並在2月23日的1.24逆轉,目前有上沖的形態。

Thursday, March 15, 2012

Is LionaDiv(2887) going to be like Johan(3441)?

I missed Johan(3441) because I wanted to wait for a clearer signal. And suddenly it moved today(March 16, 2012)

When I notice Johan the price was only 0.23(March 14, 2012. If I were to buy 100,000, I could have made 4625.70 if I can sell it at 0.28 today.  The return is 20.11% and it is within contra period.


Well, that is for Johan. It is a history. I think Liondiv(2887) can perform like Johan because it has the same pattern as Johan. 

Liondiv was priced at 0.415 on Feb 13, 2012. 0.415 is the high of this year.  Within 12 trading days, it came down to 0.335 on Feb 28. 2012. It has been consolidated between 0.335 and 0.355 from Feb 28, 2012 to March 15, 2012.  Already 13 trading days. This is accumulation stage. It can be pushed up any time.

Suppose you buy 100K at 0.345 and target to sell it at 0.415, you will make 6444.20 and make a return of 18.68%.

Johan has the similar pattern. Johan is priced at 0.27 on Feb 13, 2012. 0.27 is the high of this year. Within 15 trading days, it came down to a low of 0.225. We see a doji on March 5, 2012. Doji is considered a buy signal. On that day, Johan is opened at 0.23 and went up to 0.235 and dropped to 0.225 but rebound back to 0.23 at closing. It consolidated for 7 days.  On Mar 14, 2012, if you were to buy 100K at 0.23 before closing, you can sell at 0.28 today(March 16, 2012) which is still within contra period.

Nowaday, there are 56 licensed day traders in town, They will buy and sell within the same day and they are allowed to sell short. These licensed day traders created volume for Bursa. That is why we have at least 1 billion shares traded.

We need to go short term also. We cannot do long term because some stocks are traded for a few days only and after that they will be quiet.

Dutaland(3948) might be a play in the coming days because it has reached the low of this year.  Many played stocks are a buy on support which will probably be the trading pattern.

I have been observing this stock for many months and I found that the big players will come and push it back to 0.55 or more after it touched the low of 0.51. They said history repeat itself. I am sure. Please draw your own conclusion.

Cepat(8982) is priced at 1.12 today(March 16, 2012) which is also the support level for this stock.


Ecofirs(3557) is priced at 0.215 which is also the support for this stock. Normally, it will be accumulated at this level and when it has accululated enough stock, it will just push it up. So you have the holding power, this price is a buy and the risk of dropping is low and the possibility of making profit is high.

MRCB(1651) is considered a government link counter. Today it is priced at 1.97 and 1.98.  Normally buy below 2.00 is the right price because rebound is probably imminent.

 

Wednesday, March 14, 2012

Stocks to watch--MRCB,Ingens,Dutaland, Redtone

If you can read the charts, it can tell you a story. Look at the charts for MRCB, Ingens, Dutaland, and Redtone.

MRCB(1651) closed at 1.97 on March 14, 2012. It opened at 2.00 and went up to 2.03 before slipping down to 1.96 in the afternoon when market started to come down because of its macro economy policy to press down the housing prices.

MRCB is considered a GLC which is favored by many investors. Fro m Dec 15, 2011 until the day of writing, it offers at least 6 opportunities for the investors to make money. Let me list out two of the big gains. If you were to buy MRCB on Dec 15, 2011 at 1.93 for 10,000 and disposed it on Jan 13, 2012 at 2.18, you would make 2199.07, gained 25 cents and the holding period last for 29 days.

If you were to buy MRCB on Jan 19, 2012 at 2.05 for 10,000 and disposed it on Feb 8, 2012 at 2.17, you would make 1883.84.

MRCB is a resilence counter. It should be back above 2.00 when overall market  recovered.


Ingens(0034) closed at 0.10 on March 14, 2012. Market rumours said it will 0.45 height achieved on May 4, 2011. Time frame is not given, meaning you need to hold and wait for the right moment. Buyers are accumulating at 0.10 level. When the accumulation period is over, it will move.



Dutaland(3948) is a cyclical stock. When you buy at the low, you will always make money. Today it closed at 0.51 which is considered as a good price to enter. If you were to buy 20,000 shares at 0.51 and disposed at 0.55, you will make 643.44. You will have a return of 6.31% and the waiting period may be only a few days if you are lucky. From Dec 28, 2011 until the day of writing, there were at least 5 opportunities for the investors to make money. 0.50 and 0.51 seem to be the right price to enter.


Redtone(0032) closed at 0.26. Today's low is 0.255 and the high is 0.265.  In the past, this stock turned up at 0.23(Nov 16, 2011), 0.255(Dec 28, 2011), 0.30 (Jan 25, 2012).  Today's closing price 0.26 is a rebound from the recent low. Buy signal has already shown.

Monday, March 12, 2012

光明日报龙虎榜3月12日

股項 代號 高 低 支持 阻力 開 閉 14日平均價
1.頂級手套(TOPGLOV) 7113 5.88 3.85 4.67 5.32 4.70 4.70 4.80
為了攫取更多市場份額以及推高盈利表現,頂級手套放眼今年收購至少一家手套製造商。

2.豪華雲頂(HWGB) 9601 0.775 0.25 0.415 0.485 0.44 0.425 0.412
據知,全球最大錫生產與出口商——雲南錫業集團(Yunnan Tin Group)計劃以7500美元,收購豪華雲頂旗下錫礦業務。豪華雲頂已经对这项报道加以否认。

3.輝百集團(FABER) 1368 2.32 1.25 1.75 1.89 1.78 1.79 1.75
此公司在2010年淨賺7878萬,2011年淨賺6021萬6000令吉,似乎有一點退步。

4.統一資源(KBB) 7182 0.515 0.165 0.435 0.515 0.45 0.465 0.443
此股在2月28日從0.485滑下,直到3月7日的0.435便開始逆轉,上週五掛0.465,它有機會挑戰2011年7月7日所創下的0.515高點。此米粉製造商2011年淨虧1206萬4000令吉,比2010年少了許多。

5.金務大(GAMUDA) 5398 3.97 2.63 3.54 3.94 3.65 3.67 3.67
2010年淨賺3億2291萬8000令吉,2011年淨賺4億2541萬1000令吉,2011年比2010年大有進步,此股從2月8日的3.94滑下,至到3月7日的3.54形成一個底了,目前此股正在轉止,假如掌抓得宜,可以賺錢。

Monday, March 5, 2012

光明日报龙虎榜3月5日Guang Ming Daily News

股項 代號 高 低 支持 阻力 開 閉 14日平均價

1.商業高峰(PUNCAK) 6807 2.40 0.95 1.30 1.89 1.36 1.47 1.50
僑豐研究說,歸功於建築臂膀適時兌現盈利,商業高峰2011財政年錄得370萬令吉核心淨利,表現勝市場預測。



2.雪州產業(KHSB) 6246 0.80 0.205 0.535 0.80 0.565 0.625 0.60
雪州產業被列為水務股之一,商業高峰的飆升,也帶動了雪州產業,雪州柏朗桑(KPS,5843,主板貿服組)上週五也起5仙至1.16令吉。



3.木槿花石油(HIBISCS) 5199 1.94 0.52 1.49 1.94 1.79 1.80 1.76
木槿花石油的1.43%股權於上週五以平均每股1.78令吉在場外易手。




4.UEM置地(UEMLAND) 5148 3.01 1.54 2.18 2.47 2.35 2.36 2.29
UEM置地正籌備進軍東馬房產市場,並開始和當地地主洽談征地事項,同時將探討在其他東南亞國家展開聯營發展計劃,放眼今年寫下40%淨利成長。




5.意必銳(EBWORX) 0030 0.79 0.425 0.425 0.79 -- 0.785 0.73
該公司接獲日立(HITACHI)的收購獻議,以每股90仙的價格,自願性全面收購公司股權。