Thursday, 24 August 2017

JAYA TIASA HOLDINGS BHD

JTIASA

Financial result for the quarter ended 30 June 2017


Profit before taxation for this period is due to the other expenses of 66million on impairment loss of RM62.3 million on goodwill  and also the RM3.7 million on the carrying value of its plant and machinery used in the wood production activities was recognized.

Actual profit if exclude the  RM66 million impairment is actually RM-43,870 - RM66,084 = RM 22,214


Asset



The borrowings of the JTIASA si quite high which is  483million for current liabilities and also 591 million for the non current liabilities. This is also not a sign as the finance cost for the company is 11,413 million for this quarter which is about 4.7% from the total revenue.


Segment Results YoY


Overall segment like Logs, Wood processing both of the revenue & profit keep dropping but exception for the Oil Palm which recorded an increase in profit . Overall profit recorded are lower than last years.

Segment Results QoQ


Segment Results Current Vs Previous Quarter



Commentary on Prospects


Look like the management is not very optimistic on the further company prospect.


Borrowings






Borrowing for the company is too high.

International Oil Palm Price











Tuesday, 15 August 2017

再一次不听话

Dnex


Date: 8/15/2017
Buy Time: Morning stock market open 9.05 AM
Reason Buy : Many stock rebound due to market take a relieve because North Korea crisis.





Mistake: Buying a downtrend stock, not >10MA line, morning buying stock should wait before market close



Dnex -->Mistake 1

Date: 23 June 2017
Buy time : Morning
Reason Buy : Consolidate quite long time wait for it to break



Mistake: Not waiting break and uptrend/ below 10MA line, should buy uptrend stock

Sunday, 13 August 2017

KLCI Index


每次KLCI 在低点时就是买进的机会记住。。

这几年,错过了,,钢铁股,美金股,科技股,下次一定要更加留意。。。机会是留给有准备的人。。


2017 年8 月 7 日。。。America President Donald Trump warning on North Korea will take military action against Kim Jung Un nuclear action create panic action on stock market. After few days on 14/7/2017 market recover back Down UP 100++ points. This showed panic is buying opportunity.

Sunday, 6 August 2017

大鳄的例子

1.Gadang-WB/Gadang


http://www.bursamalaysia.com/market/listed-companies/company-announcements/5507585

Friday, 4 August 2017 | MYT 9:47 PM

Gadang bags RM475mil contract to build Cyberjaya Hospital


Read more at http://www.thestar.com.my/business/business-news/2017/08/04/gadang-bags-rm475mil-contract-to-build-cyberjaya-hospital/#k09EZZaBqHrW8qmA.99




-Gadang announcent this news on August 4 2017 , but actually the contract is awarded on 1 August 2017. This is the director to buy in more share by purposely announce the news on  of August 2017 and goreng down the share start on 1 of August until 4 of August 2017.  


Lesson Learnt:

-Those good stock need to have some patient when buying wait for good news to announce. 
-Stock drop with no volume and momentum is the big shark to scare the small fish and collect more stock.


2. HSSEB




HSSEB i buy on 9/6/2017 at price 0.84 but after that the price keep drop until 19/6/2017 with below 10 MA line. Short term the momentum is dropping. But after 2 days of drop below 10MA line the stock go up above 10MA line with volume keep going up.

Lesson Learnt:

For the stock that buy before , if the momentum come back need to follow again. And also for those good stock but drop without volume possible it can come back again. Follow back those stock got momentum and can come back again.


3. KRONO


Krono buy in during 6/6/2017 but the stock price keep drop and during that time the market KLCI also keep dropping so afraid the profit will run away. SO when the stock start drop faster sell it. But after market a bit stabilize, this stock momentum come back again but i didn't follow back the stock. 

Lesson Learnt:

Remember to buy back the stock that hold before if the momentum come.

Friday, 4 August 2017

新手和久手应该了解

新手需要知道

无论是基本面分析或技术面的分析
都只是几率

为什么股价会起得那么有 “规律”
而且似乎同样的上升走势 / 图形走势 重复的 在其它股走势里 看见 ?

这是因为股价是操纵的

基本面分析是说 “有可能” 公司业务会因为这些 “优势条件” 或 公司在业务上提到说会增加产线 / 收购新公司增加市占率  /收购公司而进入新领域 / 重组业务,卖出亏钱业务 等等这些  “有可能”  会增加公司 “未来” 收入的原因
就是基本面所注重的 “未来成长”

而这些就是需要大家本身努力的去阅读季报

而且这些都是公司 “尽量” 做出“投资” 未来的成长 ;
也许不如意,而业绩不好, 都会发生
所以称之为 “业绩风险”

没有人知道
a. 股价还可以起吗?
b. 股价还适合买入吗?
c. 股价该不该卖出

这些很看个人的风险偏向,个人对走势合理空间的不同而心里有不同的 “支撑点” 或 止损点 ,个人的选股倾向

有些人没有看见  “成长” 条件,不买入
有些人等调整了,才买入
有些人喜欢一涨当天就买入
有些人喜欢买仙股
有些人喜欢只是买贵股
有些人喜欢收长期,不看股价 等等
有些人对没有任何 “成长” 条件的股不感兴趣,就算股价走势再多美,

所以买入的资金必须是闲钱
个人资金管理非常重要 ~

Wednesday, 2 August 2017

买股常常犯下的错误

Mistake:

1. 要跟10 日平均线

2.一定要买有量和上涨趋势的股票。。如:Gtronic, Elsoft, Krono, Aemulus, Penta, Hengyuan, Petron.
3.买或卖要看月季是否快公布了
4.早晨是出票的时机,下午毕市15分钟前是买进的时机

5.跌破support line一定要砍

6.不要同时买太多的股票,很难顾到
7.买了要等一下,不要太快放了那股票如果是好的月季
8.只买卖比较有成交量的股票,比较方便买进和卖出
9.买股票等突破,量来了,才买进。突破没量的股票很难维持上涨趋势。
10.跟随大势的走势
11.卖了的股票一定要跟回如果趋势来回了。
12.没量下跌的股票不要卖这么快

13.一次不要买太多的股票来操作,会顾不到,这错误已经犯很多次了...2014 & 2015 & 2017 (Jan -- June)