Top 35 Stock yang telah ditutup posisinya (Profit 31; Loss 4; Break even 0).
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 14 stocks (Gallery Saham Mania):
31.03 Revisi DOID Buy 1.000-1.050 target 1.300 stop dibawah 960, short dibawah 970 target 850 stop Rp 50.
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. Disclaimer on.
30/03 ASIA (106) Buy C (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.
16/03 KARK (104) hold Cicil beli (buy) 99-105, target 159 (panjang symmetrical triangle), resiko di 90-85
16/03 KAEF (127) hold Buy di lingkaran 125-128, target 147 (38.2% FR),
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.
11/03 BSDE (610) hold Buy (600-620; breakout 740) target 800 (61.8% Fibo), stochastic crossover buy & oversold, risk are at 570-550
11/03 ELTY (270) hold Buy (270 & 255) target new high 285/300/360. Risk (220-235). Buy breakout 310 for 360 then.
10/03 DGIK (86) hold Buy 86-88 area, risk is below 81
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.
04/03. MRAT (445) Hold buy 390/400 target 500-530, risk is below 370
24/02: BTEL (143): hold buy 139-143 (circles) Supported by 50% Fibonacci target 158/167, risk below 130, on the way
24/02: KIJA (104) hold Accumulation 101-105 area in 138.2% & 161.8% Fibo, risk is below 96, target 119/127
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.
Tuesday, April 13, 2010
Top 14 Buy & Hold Stocks Recommendation (Check Out The Charts)
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