3 days ago i already warned those holding RM 1.0 will unload and remisier will surely pressure margin account holders to unload before margin Cut call by management
Posted by CharlesT > 20 minutes ago | Report Abuse
Though Sifu helped me to make a lot during Glove Theme....I must say Sifu can be very dangerous....probably one of the most dangerous in I3 ------------------ I do not ask people to buy when the share price is 2.44. I buy when the share price retrace to a good level after a good earning. I wait for the earning to be good and confirm it with the technical chart. No fair to pass this remark here. Very sad to hear your attack.
Equities in Indonesia and Malaysia are standing out as bright spots in Asia this month as global investors trim their exposure to almost every other market in the region....Bloomberg. Foreign funds have been net buyers in our Bursa markets since August 16th. However, I'm puzzled as to why retail investors continue to sell off fundamentally strong stocks at low prices. Anyway I am happy to collect.
I believe in you, OTB regardless of what other says ... its normal for this kind of SELL OFF when fear concurs the market, and being exacerbated by short selling .. i did take some profit off the table at RM2.15 but I'm collecting back now at RM1.00 .. really don't mind if it drops lower to collect cheaper ya .. a fundamentally good counter will always bounce back stronger once rational thinking returns .. God Bless :)
No surprise freefall. In 1 month pumped up from 50sen to 2.40. And took 2 months to touch rm1. Hype over. Back to fundamentals. Good QR will push up the price.
Share capital only 200 mil+ but half day trades ardy 78 mil turnover. All trading kaki and operators here. Now that it's close to RM 1 make trading note lucrative 🤣🤣
This is called programmed trading. They would know how much tickets belong to outsiders. A quick calculation would know if they made money if not continue to suck lah 😀
OTB posted a week a go:--- "The target price set by HLIB and Nomura is 3.28 and 3.51 respectively. According to the management, FY 2025 result will be better than FY 2024. The last quarter result, EPS is 3.9 sen. Assuming EPS for FY 2025 is 4.0 x 4 = 16.0 sen, at a PER=20, the target price at 3.20 is achievable."
Be patient, the management are genuine business people I gather. HLB and Normura has done a detailed research, so I believe this stock will come back.
Do yo know that's thing called SBL (share borrowing and lending) which the Investment Bank is offering. I think today's heavy volume most probably from SBL which someone borrow the shares ftom Major shareholders through Investment Bank to sell all the ways down and make profits.
Notion loss making EPS, market give low Notion share price, BUT Notion turnaround EPS and continue growing positive EPS, market should peg fair price for Notion
Post a Comment
People who like this
New Topic
You should check in on some of those fields below.
Title
Category
Comment
Confirmation
Click Confirm to delete this Forum Thread and all the associated comments.
This book is the result of the author's many years of experience and observation throughout his 26 years in the stockbroking industry. It was written for general public to learn to invest based on facts and not on fantasies or hearsay....
Eagle77
6,600 posts
Posted by Eagle77 > 1 month ago | Report Abuse
0.30 ⬇️🩸🩸🩸☠️☠️☠️