Top 45 Stock yang telah ditutup posisinya (Profit 35; Loss 10; Break even 0).
19/05 Closed Loss. 11/03 ELTY (270) hold Buy (270 & 255) target new high 285/300/360. Risk (220-235). Buy breakout 310 for 360 then.
18/05 Closed Loss 05/03 BIPI (250). hold buy breakout 215/235 & hold Buy area 245 & 270 /342 (261.8%) for profit taking/450 (423.6% FR), risk is below 199.
19/05. Closed (Loss) 16/03 KARK (104) hold Cicil beli (buy) 99-105, target 159 (panjang symmetrical triangle), resiko di 90-85
17/03 Closed (Loss) 31.03 Revisi DOID Buy 1.000-1.050 target 1.300 stop dibawah 960, short dibawah 970. Buy 850 target 1.300 stop 790.
17/03 Closed Loss. 11/03 BRPT (1320) hold Buy 1.300-1.340 for wave i-v/1 & 1.430/1.460 for breakout 1.420), risk is below 1.200.
12/05 Closed (Loss) 30/03 SULI (178) Buy (cicil beli) di 100 & 160 & 170-175 stop dibawah 10%, target 300-330, buy breakout 350 target 600/640, resiko 10-15%. Cautious Trade! Berada dalam down channel & wave v/A dalam 2.
29/04. Closed 16/03 KAEF (127) hold Buy di lingkaran 125-128, target 147 (38.2% FR)/152 (50%)/159 (61.8%),
22/04. Closed / Done. 04/03. MRAT (445) Hold buy 390/400 target 500-530, risk is below 370
21/04. Closed. 24/02: KIJA (104) hold Accumulation 101-105 area in 138.2% & 161.8% Fibo, risk is below 96, target 119/127
20/04. Closed. 11/03 BSDE (610) hold Buy (600-620; breakout 740) target 800 (61.8% Fibo), stochastic crossover buy & oversold, risk are at 570-550
14/04. Closed. 04/03. TBLA (430) hold Buy 410 (double top) for impulse 3 wave, should be headed to 490 (50.0% FR), then buy breakout 500 for 600/660, risk is below 380 if price go below double trendline at 325.
12/04. Closed 22/03 ANTM (2.200) 19/03: Hold Buy di lingkaran (1-2 (2150-2250:cicil beli) target 2.500, buy breakout (2) 2.550 target 2.700, buy breakout (3) 2.800/2.825, resiko di kotak bergaris (1975-1750).
08/04. Closed 15/03 BKSL (95) hold Buy di 96-92, target 117-138 (61.8 FR), stop loss dibawah 90 (89-85)
07/04. Closed at 420. 17/03 WIKA (350) hold Buy 350 target 380/400 resiko di bawah 320/300
06/04 10/03 closed at 182. ASRI (142) hold Buy 138-142, risk is below 140, target 195/245
10/03 closed. INDY (2.275) Accumulation Buying 2.150-2.200, risk (2.050-2.150), for target 2.850/2.950.
05/04. Closed.23/02: BHIT (780).Trend masih bullish jangka pendek, koreksi penurunan dalam bull flag, seharusnya memberikan peluang Buy on weakness (lingkaran besar & run away gap di kisaran 700-780: cicil beli) target 1.000-1.050 (panjang flag) jika tembus garis segitiga dalam chart. BHIT saat ini berada dalam correction wave iv/3 untuk target 61.8% wave iv = kisaran Rp 950-1000 (final 3). Resiko (Stop loss) berada di kotak bergaris (kisaran 620-560).
O1.04 04/03 ADRO hold Buy 1.870 (17/03) target 2.000/2.075/2.195 (138.2 FR), risk is below 1760.
31.03 closed di 1.520. 24/02: BISI (1.390): hold buy target 1.570/1.670, Risk is below 1.310.
31.03 30.03 Daily long marubozu, bullish engulfing, vol meningkat. Chart hourly. Buy 1.150-1.200 area (cicil beli) target 1.300/1.340 stop 1.080, buy breakout 1360 (lihat trendline di segitiga mengerucut keatas; chart hourly) stop 1.290 target 1.700/1.740. Disclaimer on
31.03 (15/03) AKRA (1.000) hold buy di area 980-1020 (lingkaran 1), buy area 1060-1080 target 1.190/1.330 dan bahkan 1.475 (138.2 FR) dalam 1-2 bulan mendatang, resiko (stop loss) di kisaran 950-900
30.03 Closed 24/02: ENRG (162) Hold buy area 156-164 target 192 (buy breakout)/242, Risk below 154.
30.03 05/03 MPPA (1.140) Impulse B / iii/5?. Buy area 1080-1140 target 1.245, buy breakout 1.260 target 1.390, risk is below 990
29/03 10/03 APOL (153) hold Buy 152-156, risk is below 141, target 184/190-194.
26/03 11/03 LPKR (530) hold Buy 510 & 530 target channel top at 585 (target H&S),Risk is on the box (470-450). Buy breakout 650 (61.8% Fibo) for target 750, risk below 620.
25/03 PLAS (1.060) Trend masih bullish, terutama melihat hitungan Elliott wave (iii/3 dalam impulse 3) , koreksi penurunan saat ini merupakan peluang untuk akumulasi beli (lingkaran I di 1.010 & 1.060: cicil beli) untuk target breakout double top (1.120) & flag & lingkaran II (dalam segitiga kerucut) untuk buy breakout 1.130 target 1.180/1.320 bahkan 1.540 (triple top daily: buy breakout 1.550/1.560 target 1.750). Resiko saat ini di 930/990.
24/03. Done. 24/02: SMRA (730) hold buy 710-730 (circles) target 890 (channel top)/near 1170 (double top)Cup with handle & Impulse wave, Risk below 670
23/03. Done. 15/03 ASIA (121) Hold buy 102-105, target 129 (38.2% Fibo)/150 (50.0% Fibo)/169 (61.8% Fibo), resiko dibawah (100-90).
22/03. Closed: BUMI at 2.400 (setelah tembus ex breakout 2425 & stochastic breakout & ditutup dibawah trendline support 2.575 ). Potensi kembali ke 2.050/2.150, Speculative Buy 2.050/2.150 target 2.500/2.550, resiko (stop loss di bawah 2.000). Short sell dibawah 1.975 target 1.700/1.550. 03/03. BUMI (2.325) Hold buy 2.150 (11/02; on circle) & breakout 2.425/2.450 (11/03)target 2.650/2.750, risk below 2.000.
22/03. Closed PGAS di 4.125. 17/03 PGAS (4.250) hold Buy di 4.150-4.250 target 4294 (138.2%)/4.550 (161.8 FR), resiko di 3800-3900, 03/03 PGAS (3.800) hold Buy 3.750-3.800 (circles) , for impulse iii/B. buy breakout 4.075 at 4.100 & 4.175 (17/03) target Rp 4.395 (138.2 FR)/4.550 (161.8) to get short
12-15/03 Done. 10/03 SULI (200) Short Area above 260-345 was done for the area for profit takers.
22/03 Done 04/03.RAJA (315) hold Buy 280/290 take profit 400 (neckline of cup with handle target), then buy breakout 500 target 610 (61.8 FR 950-60), risk is below 240.
19/03 closed 15/03 BKSL (95) hold Buy di 96-92, target 117-138 (61.8 FR), stop loss dibawah 90 (89-85)
19/03 Done. 21/03 17/03 ITMG (36.150) Buy on weakness 35.500-36.200 masih dapat dilakukan target 36.950 (138.2% FR) & 38.425 (161.8 FR), resiko di kotak 34200-33.300.
18/03 Done. 02/03 MNCN (250) hold Buy area 215-225 (circles), risk is below 195, on the way to 300 & buy breakout 325 (18/03) for 382 (138.2 FR)/417 (161.8 FR)
17/03 Done. 24/02: SDRA (225). hold Buying opportunity on circle signs at 215-230 target 325 (23.6% FR), risk below 195.
17/03 Done. 23/02. BMTR (290) hold buy on x sign (280-former double top resistance) target 345, Impulse iii/3 is going on.
NB: Target tercapai 31.03. Rekomendasi 25/02: MASA/ APLI/ ITMG/ CTRP/ DILD
HOLD Strategies of 10 stocks (Gallery Saham Mania):
30/03 ASIA (106) Buy (cicil beli)di area 98-106 target 150/156 setelah breakout bull flag, resiko dibawah 10% atau dibawah 80 (segitiga bergaris). Disclaimer on.
23/03 CNKO (79) CNKO kembali menunjukkan pola bull flag yang kedua, buy di area lingkaran (cicil beli 76-80) untuk breakout segitiga kerucut target 97 (buy breakout 98/99 target 150). Risk < reward = resiko berada di 67-62. Saat ini CNKO membentuk pola koreksi minuette ii/3 impulse.
10/03 DGIK (86) hold Buy 86-88 area, risk is below 81, target 150.
24/02: BTEL (143): hold buy 139-143 (circles) Supported by 50% Fibonacci target 158/167, risk below 130, on the way
Use trailing stop if the prices going higher further, use tight stop as needed.
All recommendations available on the chart in this blogspot (gallery saham mania: globalmarketstrategist.blogspot.com)
Disclaimer on.
Blog milik Andri Zakarias Siregar, Analis, Trader, Investor & Trainer (Fundamental/Technical/Flowtist/Bandarmologi: Saham/FX/Commodity), berpengalaman 14 tahun. Narasumber: Berita 1 First Media, Channel 95 MNC(Indovision), MetroTV, ANTV, Bloomberg BusinessWeek, Investor Today, Tempo, Trust, Media Indonesia, Bisnis Indonesia, Seputar Indonesia, Kontan, Harian Jakarta, PasFM, Inilah.com, AATI-IFTA *** Semoga analisa CTA & informasi bermanfaat. Happy Zhuan & Success Trading. Good Luck.
Friday, April 30, 2010
Top 4 Buy & Hold Stocks Recommendation (Check Out The Charts)
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