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 Stock market V21, Huge Stimulus Age

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Neo18
post Feb 14 2009, 01:44 PM

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Let me be the one that start this thread can?!?!?!

i will only start v21 and v22 because my buying in stock/share will officially be over come month of June 09. This 4 month is going for kill!!! so version 21 and 22 very important for me!!!

Everyone HUAT!!!
Neo18
post Feb 14 2009, 08:16 PM

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i;m looking closely at ASTRO ALL ASIA NETWORK.

price is at their all time low of RM2.05!!!! maybe monday will whack 100lot


Neo18
post Feb 16 2009, 10:39 AM

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bought 50 lot of ASTRO @ 2.05!!!

my first purchase of February!!!
Neo18
post Feb 16 2009, 03:12 PM

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CIMB investment top 3 pick!!!

a. Resort
b. TM
c. YTL Power
Neo18
post Feb 17 2009, 10:47 AM

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bought 100 lot of RESORT - CJ @ 0.11!!!

my first warrant!!!
Neo18
post Feb 17 2009, 10:55 AM

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100 lot is RM1100 la.

50 lot is RM5500!!! althought i can afford, but since this is my first warrant. better be cautious...

I don't really got an exit strategy yet.. how does selling when RESORT mothershare touch RM2.50 sound?

good strategy?
Neo18
post Feb 17 2009, 10:59 AM

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QUOTE(cherroy @ Feb 17 2009, 10:56 AM)
Buy so little?

100 lot only cost 1.1K only. Not your style then.  biggrin.gif
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Dear Cherroy,

I already take HUGE RISK by playing with SHARE MARGIN FINANCING. I better not take any additional risk!!!Now, i used up 350k worth of financing. Plan to max out 600k by end May 09.

So better be cautious
Neo18
post Feb 17 2009, 11:04 AM

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QUOTE(haksam @ Feb 17 2009, 11:02 AM)
from your budget u should buy 200 lots of resort-ch and still maintain your exit point when resort touches RM2.50.. at least u get more quantity with the same budget... tongue.gif

it's warrant play anyway~ haha
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Resort CH expiry in 160 days la.. too risky.. i don't think can touch 2.50 by then


Neo18
post Feb 17 2009, 11:08 AM

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QUOTE(sampoo @ Feb 17 2009, 11:01 AM)
wat is the interest per annum?  smile.gif
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4.25% because BLR is 5.95
Neo18
post Feb 17 2009, 11:11 AM

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QUOTE(chyaw @ Feb 17 2009, 11:09 AM)
Hi Neo,
Of course I know lar! For me, all my minimum purchase is 5K. You're bigger fish than me, so 500 lots should be the right amount! tongue.gif
My current sell strategy is 20% profit margin. The reason is market still not picking up yet. So, go for small kill is enough. When I see sign of recovery, I'll hold my warrant until the mother share reach my selling target.

PS: this is my strategy, not a recommendation to anyone! Just a suggestion! Pls don't flame me!  rolleyes.gif
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ok ok... good strategy..

20% profit margin is easy la.. mother share need to touch 2.35 already kau tim


Neo18
post Feb 17 2009, 11:19 AM

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QUOTE(cherroy @ Feb 17 2009, 11:12 AM)
Buy reit/dividend stock with 10% dividend, then you are getting 6% with bank money.

350K mean you are getting/earning around 20K for pa, but with a high risk. 

Kinda salute your bravery and risk management part.  notworthy.gif
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actually, the correct calculation is like this...

i got 400k stock collateral already fully paid..
with my collateral i can get 400k worht of credit...

therefore, i already got 750k in the market (because i use 350k)

400k is in REIT, which is giving bout 9% nett dividend (because i bought some at high price too)
Balance 350k, all in 70% high dividend stock , balance 30% growth stock...

i want to REPEAT MY PERSONAL OPINION.. This opportunity only comes once in a lifetime. If u don't do anything bout it... then i think u deserve to remain poor..hahaha

Well, if market goes down to 700 point, then i eat bread and drink plain water everyday lor..hahaha


Neo18
post Feb 17 2009, 11:57 AM

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QUOTE(eltaria @ Feb 17 2009, 11:47 AM)
Live rich, or die trying...
Mmmm.
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yes, that is the right description for me!!! hahaha'
Neo18
post Feb 17 2009, 12:14 PM

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QUOTE(mo_meng @ Feb 17 2009, 12:05 PM)
neo will not be rich in short term but i do believe he will eat abalone + shark fin + bird nest everyday when market up
i do admire his guts to play this kind of approach where you c the opportunity u must grab it no matter what it needs takes
but i dont hv it guts like him doh.gif
what ever you do there is a risk depends on how to minimize it like neo .. putting in high div counters to reduce his risk e.g
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wah mo meng,

don't praise me too high ok? i paiseh la.. we are here to learn and to share information. Also, i want everyone in this FORUM TO HUAT ARR!!!

Tee Kong Por Pee all of u make big money from stock market!!!

keep on sharing info!!!

i have also plan my exit strategy...

as at today 900 point, PE base on 2009 earning is 13x against 16.6x for the past 9 years earning. Therefore, it is trading at a discount of 20% base on historical average

Therefore, my exit strategy for 20% of my portfolio is

900 x 1.2 = 1080

therefore, i will sell when KLCI reach 1080


Neo18
post Feb 17 2009, 02:55 PM

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QUOTE(cherroy @ Feb 17 2009, 02:48 PM)
DJ is at crossroad now, if it doesn't rebound from the 79xx level, and breach its support line convincingly, we might have fresh phase/round of downturn worldwide for equities market.
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i expect S&P to reach 750 this 2 weeks

Neo18
post Feb 17 2009, 03:42 PM

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bought resort @ 2.24
bought astro @ 2.03


Neo18
post Feb 17 2009, 03:54 PM

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QUOTE(cherroy @ Feb 17 2009, 03:48 PM)
Until Astro solves it Indonesia operation issue, the upside of it is rather limited.

The indonesia operation is leaking the company money at the moment.
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ya i know, Astro is for long term

Neo18
post Feb 17 2009, 05:23 PM

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QUOTE(cherroy @ Feb 17 2009, 04:40 PM)
No, my previous statement doesn't mean that it is good for long term either.

Until it sort out its overseas operation, it is not suit to long term which has no sign until now.

Only Malaysia operation is earning them profit, others are leaking money, which is not good for the shareholders.
By no mean, Astro longer future is proven to be good especially in overseas whereby competition is intense unlike in Malaysia, Astro is monopolised business which gov has signed with them, no other statelite TV broadcaster is allowed until 201x (forget what year liao)

Just my opinion though.
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thanks..

i've gone thru various analsis by McQuerie/Maybank investment/ICap. I fully understand the downside, as well as up side.

Also, i notice very strong support @ RM2...

anyway, go down buy somemore lor..hahaha

this next 4 month is buying period

This post has been edited by Neo18: Feb 17 2009, 05:24 PM
Neo18
post Feb 17 2009, 05:30 PM

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QUOTE(panasonic88 @ Feb 17 2009, 05:28 PM)
i chicken out, throw my Gamuda at a slight loss. reserving cash.

if tomolo Gamuda cheong, nasib la. tongue.gif

looking out for some some cheap vege on tomolo, aiming at Maybulk & Carlsberg particularly. steady counter ngam me more.
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stable counter, u should look at TM


Neo18
post Feb 23 2009, 09:53 AM

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aiks... market going to turn green!!!
Neo18
post Feb 25 2009, 02:58 PM

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may i know what is BLR now? previously was 5.95.. should it be 5.45 now?



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