IHSG akan diuntungkan oleh kinerja harga komoditas setelah harga minyak mencapai US$ 87/barel, seharusnya positif untuk saham komoditas metal (ANTM, TINS, INCO), coal (ADRO, PTBA, ITMG, BRAU, HRUM, BORN, BUMI), energy (PGAS, ENRG), cpo (LSIP, AALI, UNSP, BWPT), telekomunikasi (EXCL, TLKM), industri (ASII, GGRM, GJTL, CPIN, JPFA), konsumer (INDF, ICBP, MYOR), retail (MPPA, MAPI, RALS). IHSG diperkirakan dalam kisaran 3.680-3.750.
Cautious of Profit Taking:
Buy : KRAS & APLN. Buy: BJBR/BMRI/BBCA/BDMN/BTPN/BBRI/BNLI/BNGA), Buy ASII, UNTR, AALI), telekomunikasi (Sell on rally: TLKM, EXCL, TBIG, TOWR), infrastruktur (Buy: ADHI, PTPP, WIKA), komoditas (Buy : PGAS/TINS/ANTM/INCO/JPRS/GDST/NIKL), Buy: LSIP/SGRO/BWPT), Coal (Buy; ITMG/PTBA/BYAN/ADRO/DOID), Buy on weakness BUMI, BNBR - Buy: UNSP, ELTY, DEWA, ENRG, Buy on weakness BRAU. konsumer: Trading Buy LPKR/BSDE/ICBP/INDF/UNVR, Buy : SMGR/INTP/BLTA/NIKL/MLPL//HRUM/PTBA/BWPT/MAIN/BNII/SMCB/SMRA/ASRI/AKRA/MPPA/KLBF/HMSP/CPIN/JPFA/GJTL.
Saksikan Dealing Room saham pilihan Kamis (02/12): 14.00-15.00 WIB & Movers & Shakers (19/11) Jam 19.00 - 20.00 WIB di Channel 95 MNC Bisnis (Indovision)
Close all position (04/08): Mayoritas profit diatas 15% sejak (19/07).
Indeks berpeluang menguat ke target 3.150 (target GSM di Q3 2010, tercapai 26/08) dan 3.400 (target GSM akhir tahun; direvisi menjadi 3.850 dari 3.550; jika tembus ke target 4.040. Analisa EW/Gann/Fibonacci).
Close all position (04/08): Mayoritas profit diatas 15% sejak (19/07).
08/11: Hold Buy BUVA (570/580) target 660/750/940/1050, selama ditutup diatas area 470/540 (Stop loss Done)
(22/10): 3 Metals: http://globalmarketstrategist.blogspot.com/2010/10/trio-metals-upgrade-targets.html
Oct 21 2010, 9:40 AMAndri (guest): @MYOR: Buy 11.150 setelah breakout 11.100 target 13.400 stop loss dibawah 9700. (Reach Target Profit)
Oct 21 2010, 9:25 AMAndri (guest): @PTPP: Hold buy on breakout resist line 930 target 1.200 stop loss 880 (Stop loss done).
Oct 21 2010, 11:18 AMAndri (guest): @BTEK: wave koreksi 4 telah berakhir, jika breakout 485, Buy: 420-430 risk 350, target 485 - 620 (tercapai)/700 (3)/920 (long term).
Oct 20 2010, 2:32 PM: (Closed on 22/10): Buy on weakness (20/10-10.30 Wib): Hold TLKM (9.100), JPFA (3.400), CPIN (8.250), INDF (4.900), PGAS (4.100), BUMI (2.275), MNCN (560), SOBI (3.050), BHIT (128). Buy LPKR 580, BSDE 890 target Profit Taking Jumat (22/10), risk 5%.
Sep 2 2010, 4:07 PM Gallery Saham Mania
HOLD BUY (liat chat roll): MASA: Buy breakout Fibo (23/09) at 380 target 440/500/MEDC: Buy (22/09) 3.150 target 3.400 (tercapai)/4.400 stop loss dibawah 2950/Buy ASII (21/09) 55.600 target 63.000/80.000/@ENRG Buy Breakout 125 (22/09) target 190/Buy (21/09) BWPT @910 target 1.030 (tercapai)-1.250/ ELSA @345 target 370-420/BUMI @1.960 (20/09) target 2.150 (tercapai)/2.350 (tercapai)/ CPIN @6.900 (15/09) target 10.350/ PGAS @ 3.950-4.000 (15/09) target 4.700/5.800/INDF @5.100 (15/09) 6.050-7.350/INCO @4.475 (15/09) target 5.300/6.500 (Upgrade)/BRAU (19/08) @420 & 455 tgt 485-500 (Tercapai)/JPFA @2.225 (A) tgt 3.000-3.500 (tercapai)/SOBI @2.325 tgt 2.750-3.200 (tercapai)/BLTA @240 tgt 265-280 (tercapai)/UNVR @16900 tgt 18.500/GJTL @1.760 tgt 2300 (Tercapai)/RALS @840 tgt 1050-1400/MAPI @1130 tgt 1625 (tercapai)-2285/BBKP @730 tgt 850-930/TPIA @2600 (-10%)/MYOR @8200 tgt 10.800 (tercapai)/BNGA @1260 tgt 1340 (Tercapai)-1.560/JSMR @2.925 tgt 3.325 (Tercapai)/BUMI @1.655 (A) tgt 1.780-1.840 (tercapai)/ADRO @1.825 (A) tgt 1.940 (tercapai). Stop loss < -7%.
Check out my blog (Gallery Saham Mania): globalmarketstrategist.blogspot.com
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