Weekly bulls have increased to 123:
AFG AJI AMWAY ANNJOO APEX APP ARANK ASUPREM ATIS BAHVEST BERNAS BIPORT BPPLAS BREM CHANG CHEEWAH CME CUSCAPI DAIBOCI DAYA DIGI DKLS DUTALND-WA DXN ECOFIRS ENGTEX F&N FAREAST FPI FRB GCE GPHAROS GPLUS GUINESS HAIO HARISON HLBANK HTPADU HYTEXIN IMASPRO INIX INSBIO IRMGRP JERASIA JETSON JOHAN-LA JTINTER KFC KIMHIN KINSTEL KINSTEL-WA KKB KZEN LBICAP LINEAR LIONIND LPF MAGNUM MALPAC MANULFE MAYBULK MBFHLDG-WA MBSB METACOR METECH MILUX MSC MSNIAGA MTEAM MUDA MUIIND-LA MUIIND-LB NALURI NESTLE NTPM OCB OPUS PAHANCO PANAMY PAOS PBBANK PBBANK-O1 PICORP PORTRAD PPHB PUC QL RAPID RAPID-WA RUBHD SAPIND SARAWAK SAUJANA SEQUOIA SHELL SITATT SRII STAR SUCCESS SUNCRN SWKPLNT TAANN TAKASO-WA TAMCORP TASEK TGUAN THPLANT TIMWELL TM TMCLIFE TRACOMA TSM TWS TWSPLNT UPA UTDPLT WARISAN WTHORSE WTK WWTKH YAHORNG YECHIU YOKO
Weekly bears have decreased to 365. Our rebound seems to halt halted. It troubles me when US goes up and we go down. What happens when US go down? We go down more?
Still not finding any good set up for serious trading. Still holding Digi-CB, Choland-C1, ICBC-C5, Cnooc-C4 and Exmobil-C1. Going to get off from Exmobil-C1. I thought XOM will make huge profit, apparently not. No luck.
Malaysian market cannot go up. No opportunity to trade. Currently, I'm active in US options market. You can read it in my other blog (link in sidebar).
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