On the current date Pantech group holdings Position is Long - Strong Buy based on Medium Term analysis and is Long - Moderate Buy based on Long Term. Asset "Volatility Risk" is Low and "Liquidity Risk" is Medium - High.....New signal initiated Long position....cheers
The type of business of Pantech (oil and gas piping) will be good in 2014. I am still interested in this stock. However, the stock price is very weak. The price will perform under the following conditions :- 1. The stock price must > 1.00. 2. The quarter result to be released must be good. 3. Volume must be high. Thank you.
This counter is more or less oversold by looking at the technical indicators.....Never sell when the stock is oversold.....Probably price is already at the bottom.......Not sure how low it can go...... Asset "Volatility Risk" is Low and "Liquidity Risk" is High........In the Medium Term, Possible begin of a bullish phase only if a reversal happen........Company's Bottom line is still profitable......
based on current EPS (2.24cent) x 4 qtr = 8.96cent (estimate), the PE still 10 or below. this stock not for contra play as the price is slow moving up or down.
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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....
Steve Jub
4,203 posts
Posted by Steve Jub > 2014-01-13 16:17 | Report Abuse
vol not bad jugak, stablizing at rm1?