agree with ur point tkp2, a lot of people always all in at a certain price, when price goes down, they dont know what to do and have to cut loss. my strategy is always save 3 batches for me , if it goes up i average up, vice versa. that's why people say 9 out of 10 people lose money in the market
this time really need tkp2 to ride along for the psychology part haha... re: thenewbee, bursa C11 is quite interesting if your wave 5 theory is right. what is the target for wave 5? curious to know.
when market is bad u must have good strategy to protect ur money, when run bull take some profit. when market is bull, money flows into ur account easily
ok, to reach 1830-1840, then must all CI component stock to rotate... now is bank, later should see Pchem, tenaga being laggard coming to the scene... interesting...
Strategies that I employ: 1. Don't go all in one short, I go in 3-4 batches 2. I do not believe in cutting loss for stocks that meet my criteria (FA + TA), I would rather average down 3. Look at any signs of global uncertainties 4. Look at signs of large fund involvements 5. Borrowing from Uncle Koon, if the company can make more money this year than last, what to worry? I have looked at the AR and planned projects and fully believe that the company can make more money this year than last year.
That's for maintenance because of high utilization not because of issues. Beyond that all the projects should be completed and end result will be higher earnings.
good strategy omnigunk. bought in because of great value of the company. Temporary sell down is just syndicate's game, let them play with it, eventually it will need to move up . buying volume greate rthen selling, indicate what, u know i know la. this counter just require patience, it will run very fast when it move up. 0.3 is stll the target for c9
Also another reason why I bought this share, the share price actually dropped a lot prior to QR announcements. Now dropped again to roughly the same level prior to announcements. This is all short term volatility designed to trap.
Also, i do not play with margin financing, so no margin calls for me. Those with margin financing, very scary to play with warrants. Later kena margin calls.
The big players still worry about petrochemical prices. The oil prices and the stability of it is key for this counter's resurgence. We have seen nothing but stability since January on oil prices.
omnigunk bro, with that still expect the new plant at sabah will contribute decent earning to the next quarter, not too in depththe study about the impacts on the maintenance on the earning. Oil price should be able to stabilize durign the 2nd half of the year as opec has agree to cut output during early of 2018
Actually the share price went down rather than up even after latest QR. So, the downside is low but the counter also has no catalyst to have a resurgence at least till all the projects are near completion.
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Posted by thenewbee > 2017-06-01 14:49 | Report Abuse
tkp2 u stll here? or u run with profit d?