ADRO mencatat penurunan laba bersih sebesar 24,8% di kuartal I-2010 menjadi Rp 861 miliar, dari pencapaian laba bersih di kuartal I-2009 yang mencapai Rp 1,145 triliun. Penurunan laba bersih ini disebabkan karena meningkatnya
detikcom - Jakarta, PT Delta Dunia Makmur Tbk (DOID), yang menjadi induk usaha baru dari PT Bukit Makmur Mandiri Utama (BUMA) pada November 2009, mencatat peningkatan laba bersih dari Rp 1,503 miliar menjadi Rp 150,64 miliar atau naik 9.922% di kuartal I-2010. Ini didorong oleh peningkatan pendapatan bersih menjadi Rp 1,285 triliun.
Jakarta, PT Gudang Garam Tbk (GGRM) mencatat laba bersih triwulan I-2010 sebesar Rp 927,78 miliar atau meningkat 18,87% dibandingkan periode yang sama tahun lalu
Jakarta, PT Barito Pacific Tbk (BRPT) sepanjang triwulan I-2010 mencatat pertumbuhan laba bersih 233% menjadi Rp 117,06 miliar dari rugi bersih pada periode yang sama tahun 2009 sebesar Rp 87,65 miliar.ADRO mencatat penurunan laba bersih sebesar 24,8% di kuartal I-2010 menjadi Rp 861 miliar, dari pencapaian laba bersih di kuartal I-2009 yang mencapai Rp 1,145 triliun. Penurunan laba bersih ini disebabkan karena meningkatnya
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.
Saturday, May 1, 2010
Friday, April 30, 2010
Update Daily Investment News
PT HM Sampoerna Tbk (HMSP) membukukan laba bersih naik 12,03% dari Rp1,350 triliun pada kuartal pertama 2009 menjadi Rp1,512 triliun pada kuartal pertama 2010.
PT Modernland Realty Ltd Tbk (MDLN) mencatatkan penurunan laba bersih sebesar 48,31% menjadi Rp2,3 miliar pada kuartal I-2010 dibanding periode serupa 2009 sebesar Rp4,45 miliar.
PT Bank Himpunan Saudara Tbk (SDRA) membukukan laba bersih naik 173% dari Rp4,378 miliar pada kuartal pertama 2009 menjadi Rp11,965 miliar pada kuartal pertama 2010.
PT Duta Pertiwi Tbk (DUTI) mencatatkan kenaikan laba bersih sebesar 116,07% pada kuartal I-2010 menjadi Rp42,63 miliar dibanding periode serupa 2009 Rp19,73 miliar.
PT Energi Mega Persada Tbk (ENRG) mencatatkan kerugian bersih sebesar Rp21,73 miliar pada kuartal I-2010 setelah mencatatkan kerugian Rp18,47 miliar di periode serupa 2008.
PT Ancora Indonesia Resources Tbk (AIR/OKAS) mencatatkan penurunan laba bersih sebesar 80,02% pada kuartal I-2010 menjadi Rp1,79 miliar dibanding periode serupa 2009 Rp14,94 miliar.
PT Goodyear Indonesia Tbk (GDYR) mencatatkan kenaikan laba bersih sebesar 71,81% pada kuartal I-2010 menjadi US$2,56 juta dibanding periode serupa 2009 US$1,49 juta.
PT Bisi International Tbk (BISI) mencatatkan penurunan laba bersih sebesar 2,27% pada kuartal I-2010 menjadi Rp44,08 miliar dibanding periode serupa 2009 Rp48,81 miliar.
PT Summarecon Agung Tbk (SMRA) mencatatkan kenaikan laba bersih sebesar 118,72% pada kuartal I-2010 menjadi Rp51,07 miliar dibanding periode serupa 2009 Rp23,35 miliar.
PT Nusantara Infrastructure Tbk (META) mencatatkan rugi bersih sebesar Rp5,4 miliar di kuartal I-2010.
PT Telelomunikasi Indonesia Tbk (TLKM) mencatatkan kenaikan laba bersih triwulan I-2010 sebesar 12,98%. Kenaikan disokong oleh peningkatan pendapatan sebesar 6,2%.
Mantab! Laba Bersih SMCB Naik 364%
PT Holcim Indonesia Tbk (SMCB) mencatatkan kenaikan laba bersih hingga 364% sepanjang kuartal I 2010, menjadi Rp204,92 miliar.
Laba Bersih Citra Tubindo Anjlok 73,86% di Q1-2020
PT Citra Tubindo Tbk (CTBN) berhasil mencatatkan penurunan laba bersih sebesar 73,86% di kuartal I-2010 menjadi US$1,37 juta.
Laba Bersih AQUA Naik 23,97% di Q1-2010
PT Aqua Golden Mississippi Tbk (AQUA) berhasil mencatatkan kenaikan laba bersih sebesar 23,97% di kuartal I-2010 menjadi Rp32,58 miliar.
Inti Kapuas Rugi Rp595,62 Juta di Q1-2010
PT Inti Kapuas Arowana Tbk (IIKP) melaporkan mengalami kerugian bersih sekitar Rp595,62 juta atau turun 47,03% pada triwulan pertama 2010.
PT PP London Sumatera Tbk (LSIP) mencetak pertumbuhan laba bersih sebesar 62,76% di triwulan I-2010. Peningkatan penjualan sebesar 10% diiringi penyusutan pos-pos beban menjadi pendorong utamanya.
Tren kenaikan harga energi, akan berdampak pada penguatan saham secara sektoral. Saham lapis kedua seperti PT Benakat Petroleum Energy (BIPI) berpotensi menguat.
BRI: Akuisisi Bank Agro Masih Tahap Negosiasi
Bank Rakyat Indonesia Tbk (BBRI) menyatakan akuisisi Bank Agro masih dalam tahap negoisasi.
Bursa Asia Melesat Dipicu Wall Street dan Kondisi Yunani
Pasar saham Asia naik pada Jumat (30/4) dipicu penguatan saham AS dan rencana bantuan keuangan Yunani.
Laba Bersih Lippo Cikarang Naik 35,89% di Q1-2010
PT Lippo Cikarang Tbk (LPCK) berhasil mencatatkan kenaikan laba bersih sebesar 35,89% di kuartal I-2010 menjadi Rp16,47 miliar.
Laba Bersih RAJA Melesat 1.714% di Q1-2010
PT Rukun Raharja Tbk (RAJA) berhasil mencatatkan kenaikan laba bersih sebesar 1.714,49% di kuartal I-2010 menjadi Rp241,69 juta.
PT Sampoerna Agro Tbk (SGRO) berhasil mencetak pertumbuhan laba bersih sektiar 219% menjadi Rp42,81 miliar pada triwulan pertama 2010 dibandingkan perolehan triwulan serupa 2009 hanya Rp13,40 miliar.
PT Suparma Tbk (SPMA) berhasil mencatatkan penurunan laba bersih sebesar 16,58% di kuartal I-2010 menjadi Rp15,09 miliar dibanding periode serupa 2009 sebesar Rp18,09 miliar.
PT Sinar Mas Agro Resources adn Technology Tbk (SMART) berhasil membukukan lonjakan laba bersih sekitar 5.947% menjadi Rp439,07 miliar pada triwulan 1-2010 dibandingkan triwulan 1-2009 hanya Rp7,26 miliar.
PT Indofood Sukses Makmur Tbk (INDF) mencetak pertumbuhan laba signifikan sebesar 472,13% menjadi Rp631,87 miliar di triwulan I-2010 dibandingkan triwulan 1-2009 hanya Rp110,44 miliar.
Tren kenaikan harga energi, akan berdampak pada penguatan saham secara sektoral. Saham lapis kedua seperti PT Benakat Petroleum Energy (BIPI) berpotensi menguat.
BRI: Akuisisi Bank Agro Masih Tahap Negosiasi
Bank Rakyat Indonesia Tbk (BBRI) menyatakan akuisisi Bank Agro masih dalam tahap negoisasi.
Bursa Asia Melesat Dipicu Wall Street dan Kondisi Yunani
Pasar saham Asia naik pada Jumat (30/4) dipicu penguatan saham AS dan rencana bantuan keuangan Yunani.
Laba Bersih Lippo Cikarang Naik 35,89% di Q1-2010
PT Lippo Cikarang Tbk (LPCK) berhasil mencatatkan kenaikan laba bersih sebesar 35,89% di kuartal I-2010 menjadi Rp16,47 miliar.
Laba Bersih RAJA Melesat 1.714% di Q1-2010
PT Rukun Raharja Tbk (RAJA) berhasil mencatatkan kenaikan laba bersih sebesar 1.714,49% di kuartal I-2010 menjadi Rp241,69 juta.
PT Sampoerna Agro Tbk (SGRO) berhasil mencetak pertumbuhan laba bersih sektiar 219% menjadi Rp42,81 miliar pada triwulan pertama 2010 dibandingkan perolehan triwulan serupa 2009 hanya Rp13,40 miliar.
PT Suparma Tbk (SPMA) berhasil mencatatkan penurunan laba bersih sebesar 16,58% di kuartal I-2010 menjadi Rp15,09 miliar dibanding periode serupa 2009 sebesar Rp18,09 miliar.
Research JP Morgan Sec: Buy ELTY target Rp 325
Research Bahana Sec: Buy AKRA target Rp 1.125
Research Danareksa Sec: Sell ISAT target Rp 5.670
Indeks Harga Saham Gabungan (IHSG) dibuka menguat cukup tinggi dan berpeluang mencetak rekor tertinggi baru pada perdagangan hari ini. Nilai tukar rupiah juga menguat tipis ke level 9.012/US$.Pada perdagangan Jumat (30/4/2010), IHSG dibuka naik tipis ke level 2.927,261 dari penutupan kemarin di level 2.926,860 dan langsung melesat 23.583 poin (0,80%) ke level 2.950,557. Indeks LQ 45 juga menguat 4,475 poin (0,79%) ke level 568,297.Pada perdagangan pre-opening, hampir seluruh saham-saham unggulan menguat kecuali saham Indo Tambang (ITMG), Bukit Asam (PTBA) dan United Tractors (UNTR). Namun secara umum, perdagangan hari ini berada dalam tren penguatan. Sementara nilai tukar rupiah juga menguat tipis ke level 9.012 per dolar AS, dibandingkan penutupan kemarin di level 9.018 per dolar AS.
PT United Tractor Tbk (UNTR) berhasil mencetak pertumbuhan laba bersih 11,70% menjadi Rp907,449 miliar pada kuartal 1-2010 dibandingkan periode yang sama sebelumnya Rp812,334 miliar.
FREN Bakal Konversi Semua Utang Jadi Saham
Utang usaha senilai Rp 209,06 miliar akan dikonversi menjadi 4,15 miliar saham yang diterbitkan tanpa HMETD.
Banyak Kas, WIKA Batal Terbitkan Obligasi Tahun Ini
WIKA bakal menanamkan dana Rp 150 miliar - Rp 250 miliar untuk pembangunan jalan tol, pabrik aspal, dan pembangunan pembangkit listrik.
* BBCA: 3 Bulan, Dana Nasabah BCA Turun Rp 5 Triliun
* PGAS: Kantongi Laba Rp 1,7 Triliun
* ASII: Ekonomi Membaik, Laba Meroket 61%
* FREN: Diizinkan Konversi Saham
* BNLI: Kredit Capai Rp41 Triliun
* DLTA: Laba bersih Delta pada kuartal I/2010 naik 67,67%
* BBTN: Tawarkan Kupon 10,37%
* ADMF: Bukukan Laba Rp333 Miliar
* WIKA: Batalkan Emisi Obligasi
PT Batavia Prosperindo Finance Tbk (BPFI) dikabarkan sedang negosiasi dengan Bank Mandiri untuk mendapatkan kucuran dana Rp500 miliar, yang akan digunakan untuk ekspansi pembiyaan. Karena itu, harga sahamnya ditargetkan ke level Rp200.
Produsen baja PT Jaya Pari Steel Tbk (JPRS) mencetak lonjakan laba bersih 15.089,38% dari Rp78,54 juta pada akhir Maret 2009 menjadi Rp11,93 miliar pada 1Q10. Seiring dengan itu, sahamnya diyakini berpotensi mnguat ke level harga Rp500.
* Hari ini (30/4), cum date dividen tunai Gozco Plantations Tbk (GZCO) Rp 12 per saham. Ex date (3Mei2010)
* Hari ini (30/4), cum date dividen tunai Pelat Timah Nusantara Tbk (Latinusa) (NIKL) Rp 6 per saham. Ex date (3Mei2010)
* Hari ini (30/4), Exercise warrant Bakrieland Development Tbk (ELTY) rasio 1 : 1 Rp 250/saham
Laba Bersih BRNA Melonjak 321%
PT Berlina Tbk (BRNA) membukukan laba bersih naik 321% dari Rp2,028 miliar pada kuartal pertama 2009 menjadi Rp8,558 miliar pada kuartal pertama 2010.
Laba Bersih PTBA Tergerus 59% di Q1-2010
PTBA mencatat penurunan laba bersih sekitar 59% menjadi Rp373,03 miliar pada triwulan pertama 2010 dibandingkan periode triwulan yang sama 2009.
PT Adhi Karya Tbk (ADHI) mencatat penurunan laba bersih sekitar 45,93% menjadi Rp4,011 miliar pada triwulan 1-2010 dibandingkan periode yang sama mencapai Rp7,419 miliar.
Sumber: Inilah.com, detikfinance.com (market flash), kontan
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3180, 1.3159, 1.3131 and 1.3084(main), where correction is possible. Break would give 1.3076, where correction also may be. Then follows 1.3053. Break of the latter would result in 1.3028. If a strong impulse, we would see 1.3011. Continuation will give 1.2988.
Today's resistance: - 1.3262, 1.3288 and 1.3324 (main). Break would give 1.3341, where a correction is possible. Then goes 1.3368. Break of the latter would result in 1.3393. If a strong impulse, we'd see 1.3413. Continuation will give 1.3440 and 1.3465.
USD/JPY
Today's support: - 93.54, 93.12 and 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 11073.80, 11023.56, 10957.50 and 10923.80(main), where a delay and correction may happen. Break of the latter will give 10911.40, where correction also can be. Then follows 10888.12. Be there a strong impulse, we shall see 10853.22. Continuation will bring 10826.40 and 10807.26.
Today's resistance: - 11187.11 and 11208.72(main), where a delay and correction may happen. Break would bring 11240.76, where a correction may happen. Then follows 11265.33, where a delay and correction could also be. Be there a strong impulse, we'd see 11290.37. Continuation would bring 11323.12 and 11342.86.
The Rise of the Mega-Rich
by Robert Kiyosaki
The first decade of the 21st century is over. Many people find themselves off to a bad start. The new century began with the Y2K scare -- the threat of computers shutting down around the world. Then 9/11 came, followed by two long and expensive wars. The Nasdaq bubble and crash were followed by the real estate bubble then subprime crash, which led to the unprecedented printing of trillions of dollars in an attempt to prevent a global depression. The result is a lingering financial crisis that has expanded the gap between the haves and have-nots.
http://finance.yahoo.com/banking-budgetingk/article/109407/the-rise-of-the-mega-rich;_ylt=At2aeb0S4gGGdFt_5E1V9hy7YWsA;_ylu=X3oDMTFmcWgyNjBjBHBvcwM0BHNlYwNleHBlcnRPcGluaW9uRHluYW1pYwRzbGsDcmlzZW9mdGhlbWVn
Singapore Stock Index May Fall Below 2,900: Technical Analysis
(Bloomberg) -- Singapore’s Straits Times Index may fall below 2,900 in the coming week, extending its two-week drop, according to DMG & Partners Securities Pte, citing a “head-and- shoulders” pattern.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aNqNueviYBY4
China’s H Shares to Slow Pace of Declines: Technical Analysis
(Bloomberg) -- An index of Chinese stocks traded in Hong Kong may slow its pace of declines as the gauge approaches a “critical” level, according to technical analysis by UOB Kay Hian Ltd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aBCD0cRdrG0k
Dollar May Climb 17% Versus Yen on Ichimoku: Technical Analysis
(Bloomberg) -- The dollar may extend gains to the strongest since August 2008 if it closes above 95 yen, rising through the top of a weekly ichimoku cloud and its 21-month average, said Barclays Capital, citing trading patterns.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a75OZor8Jf1U
Shanghai Composite Triangle Suggests Gains: Technical Analysis
(Bloomberg) -- China’s stock index is on course to climb 7 percent in three months provided it holds above a trend line connecting lows when the market tumbled in August and May, according to independent technical analyst James Stellakis.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=azcjVXZeDL9s
Gold Set for Strongest Month Since November on Haven Demand
Bloomberg) -- Gold gained, poised for its strongest month since November, as the escalating European debt crisis increased its appeal as a haven investment.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aBJlcYDy3To0
S&P 500 May Drop After ‘Ultimate Squeeze’: Technical Analysis
(Bloomberg) -- Investors should sell basic- resources and financial shares as the Standard & Poor’s 500 Index may enter a correction following the “ultimate squeeze” of its rally, technical analysts at UBS AG said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=anaJjPiWIt7c
Strong Earnings Trump Global Economic Worries
Stocks [.SPX 1206.78 15.42 (+1.29%) ] chalked up their best day in nearly two months on Thursday as investors welcomed a string of positive market catalysts.
http://www.cnbc.com/id/36850918
Beware the 3 Recovery 'Derailers'
The growing sovereign debt crisis that started in Greece is just one of three potential "derailers" of the global economic recovery, Harry Samuel, global co-head of fixed income and currencies and head of global Treasury services at RBC Capital Markets, told CNBC Thursday.
http://www.cnbc.com/id/36844531
How to Beat Hedge Funds' Returns: Wealth Manager
Hedge funds have been attracting inflows from yield-hungry investors eager for seemingly guaranteed superior returns. But there are a few things that investors should know before giving hedge funds a try, said Niall Gannon, director of wealth management at Gannon Group at Morgan Stanley Smith Barney.
http://www.cnbc.com/id/36849248
Buffett's Bets—the Good, the Bad and the Unknown
Warren Buffett may be the world's most famous investor, but even he doesn't get everything right.
http://www.cnbc.com/id/36832137
Schork Oil Outlook: Bears Beware! Here's Why
Natural gas recovered slightly for the first time this week but was trending lower in after-hours trading. For today’s DOE release, the crowd is looking for a 70 Bcf injection. Meanwhile crude oil was strong despite a larger than expected build, and the products fell on the back of another build in ultra-low sulfur diesel stocks. Expect increased volatility as the products approach expiry.
http://www.cnbc.com/id/36851801
Oil Set for Third Monthly Gain on Signs of Economic Recovery
(Bloomberg) -- Crude oil is poised for a third monthly gain after reports showed European economic confidence increased and jobless claims in Germany and the U.S. declined, adding to signs the global economy is recovering.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a6XqOlCg0qR4
Asia Risks Overheating on Capital Inflows, IMF Says (Update1)
Bloomberg) -- Asia’s economic recovery that’s outpacing the rest of the world is attracting capital inflows that may cause the region to overheat and lead to the formation of asset bubbles, the International Monetary Fund said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aEtUZcHtO4Q8
Asian Stocks May Fall 17% on Greek Crisis, BNP Says (Update1)
(Bloomberg) -- Asian stocks outside of Japan may fall 17 percent in the short term as the Greek fiscal crisis prompts a drop in fund flows, BNP Paribas said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=akCXyxMY.5EQ
Credit Suisse Lowers Forecast for Euro on Greek Crisis Outlook
(Bloomberg) -- Credit Suisse Group AG cut its forecast for the euro, saying the Greek debt crisis has dented the 16-nation currency’s credibility as a safe alternative to the dollar for many investors.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a0BX2t3Pz55k
Euro May Drop to $1.30 on Greece Crisis, Credit Agricole Says
(Bloomberg) -- The euro may slide to $1.30, the lowest in a year amid concerns the sovereign-debt crisis will spread from Greece, according to a unit of Credit Agricole SA.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ax0XYgh8CYhI
PT Modernland Realty Ltd Tbk (MDLN) mencatatkan penurunan laba bersih sebesar 48,31% menjadi Rp2,3 miliar pada kuartal I-2010 dibanding periode serupa 2009 sebesar Rp4,45 miliar.
PT Bank Himpunan Saudara Tbk (SDRA) membukukan laba bersih naik 173% dari Rp4,378 miliar pada kuartal pertama 2009 menjadi Rp11,965 miliar pada kuartal pertama 2010.
PT Duta Pertiwi Tbk (DUTI) mencatatkan kenaikan laba bersih sebesar 116,07% pada kuartal I-2010 menjadi Rp42,63 miliar dibanding periode serupa 2009 Rp19,73 miliar.
PT Energi Mega Persada Tbk (ENRG) mencatatkan kerugian bersih sebesar Rp21,73 miliar pada kuartal I-2010 setelah mencatatkan kerugian Rp18,47 miliar di periode serupa 2008.
PT Ancora Indonesia Resources Tbk (AIR/OKAS) mencatatkan penurunan laba bersih sebesar 80,02% pada kuartal I-2010 menjadi Rp1,79 miliar dibanding periode serupa 2009 Rp14,94 miliar.
PT Goodyear Indonesia Tbk (GDYR) mencatatkan kenaikan laba bersih sebesar 71,81% pada kuartal I-2010 menjadi US$2,56 juta dibanding periode serupa 2009 US$1,49 juta.
PT Bisi International Tbk (BISI) mencatatkan penurunan laba bersih sebesar 2,27% pada kuartal I-2010 menjadi Rp44,08 miliar dibanding periode serupa 2009 Rp48,81 miliar.
PT Summarecon Agung Tbk (SMRA) mencatatkan kenaikan laba bersih sebesar 118,72% pada kuartal I-2010 menjadi Rp51,07 miliar dibanding periode serupa 2009 Rp23,35 miliar.
PT Nusantara Infrastructure Tbk (META) mencatatkan rugi bersih sebesar Rp5,4 miliar di kuartal I-2010.
PT Telelomunikasi Indonesia Tbk (TLKM) mencatatkan kenaikan laba bersih triwulan I-2010 sebesar 12,98%. Kenaikan disokong oleh peningkatan pendapatan sebesar 6,2%.
Mantab! Laba Bersih SMCB Naik 364%
PT Holcim Indonesia Tbk (SMCB) mencatatkan kenaikan laba bersih hingga 364% sepanjang kuartal I 2010, menjadi Rp204,92 miliar.
Laba Bersih Citra Tubindo Anjlok 73,86% di Q1-2020
PT Citra Tubindo Tbk (CTBN) berhasil mencatatkan penurunan laba bersih sebesar 73,86% di kuartal I-2010 menjadi US$1,37 juta.
Laba Bersih AQUA Naik 23,97% di Q1-2010
PT Aqua Golden Mississippi Tbk (AQUA) berhasil mencatatkan kenaikan laba bersih sebesar 23,97% di kuartal I-2010 menjadi Rp32,58 miliar.
Inti Kapuas Rugi Rp595,62 Juta di Q1-2010
PT Inti Kapuas Arowana Tbk (IIKP) melaporkan mengalami kerugian bersih sekitar Rp595,62 juta atau turun 47,03% pada triwulan pertama 2010.
PT PP London Sumatera Tbk (LSIP) mencetak pertumbuhan laba bersih sebesar 62,76% di triwulan I-2010. Peningkatan penjualan sebesar 10% diiringi penyusutan pos-pos beban menjadi pendorong utamanya.
Tren kenaikan harga energi, akan berdampak pada penguatan saham secara sektoral. Saham lapis kedua seperti PT Benakat Petroleum Energy (BIPI) berpotensi menguat.
BRI: Akuisisi Bank Agro Masih Tahap Negosiasi
Bank Rakyat Indonesia Tbk (BBRI) menyatakan akuisisi Bank Agro masih dalam tahap negoisasi.
Bursa Asia Melesat Dipicu Wall Street dan Kondisi Yunani
Pasar saham Asia naik pada Jumat (30/4) dipicu penguatan saham AS dan rencana bantuan keuangan Yunani.
Laba Bersih Lippo Cikarang Naik 35,89% di Q1-2010
PT Lippo Cikarang Tbk (LPCK) berhasil mencatatkan kenaikan laba bersih sebesar 35,89% di kuartal I-2010 menjadi Rp16,47 miliar.
Laba Bersih RAJA Melesat 1.714% di Q1-2010
PT Rukun Raharja Tbk (RAJA) berhasil mencatatkan kenaikan laba bersih sebesar 1.714,49% di kuartal I-2010 menjadi Rp241,69 juta.
PT Sampoerna Agro Tbk (SGRO) berhasil mencetak pertumbuhan laba bersih sektiar 219% menjadi Rp42,81 miliar pada triwulan pertama 2010 dibandingkan perolehan triwulan serupa 2009 hanya Rp13,40 miliar.
PT Suparma Tbk (SPMA) berhasil mencatatkan penurunan laba bersih sebesar 16,58% di kuartal I-2010 menjadi Rp15,09 miliar dibanding periode serupa 2009 sebesar Rp18,09 miliar.
PT Sinar Mas Agro Resources adn Technology Tbk (SMART) berhasil membukukan lonjakan laba bersih sekitar 5.947% menjadi Rp439,07 miliar pada triwulan 1-2010 dibandingkan triwulan 1-2009 hanya Rp7,26 miliar.
PT Indofood Sukses Makmur Tbk (INDF) mencetak pertumbuhan laba signifikan sebesar 472,13% menjadi Rp631,87 miliar di triwulan I-2010 dibandingkan triwulan 1-2009 hanya Rp110,44 miliar.
Tren kenaikan harga energi, akan berdampak pada penguatan saham secara sektoral. Saham lapis kedua seperti PT Benakat Petroleum Energy (BIPI) berpotensi menguat.
BRI: Akuisisi Bank Agro Masih Tahap Negosiasi
Bank Rakyat Indonesia Tbk (BBRI) menyatakan akuisisi Bank Agro masih dalam tahap negoisasi.
Bursa Asia Melesat Dipicu Wall Street dan Kondisi Yunani
Pasar saham Asia naik pada Jumat (30/4) dipicu penguatan saham AS dan rencana bantuan keuangan Yunani.
Laba Bersih Lippo Cikarang Naik 35,89% di Q1-2010
PT Lippo Cikarang Tbk (LPCK) berhasil mencatatkan kenaikan laba bersih sebesar 35,89% di kuartal I-2010 menjadi Rp16,47 miliar.
Laba Bersih RAJA Melesat 1.714% di Q1-2010
PT Rukun Raharja Tbk (RAJA) berhasil mencatatkan kenaikan laba bersih sebesar 1.714,49% di kuartal I-2010 menjadi Rp241,69 juta.
PT Sampoerna Agro Tbk (SGRO) berhasil mencetak pertumbuhan laba bersih sektiar 219% menjadi Rp42,81 miliar pada triwulan pertama 2010 dibandingkan perolehan triwulan serupa 2009 hanya Rp13,40 miliar.
PT Suparma Tbk (SPMA) berhasil mencatatkan penurunan laba bersih sebesar 16,58% di kuartal I-2010 menjadi Rp15,09 miliar dibanding periode serupa 2009 sebesar Rp18,09 miliar.
Research JP Morgan Sec: Buy ELTY target Rp 325
Research Bahana Sec: Buy AKRA target Rp 1.125
Research Danareksa Sec: Sell ISAT target Rp 5.670
Indeks Harga Saham Gabungan (IHSG) dibuka menguat cukup tinggi dan berpeluang mencetak rekor tertinggi baru pada perdagangan hari ini. Nilai tukar rupiah juga menguat tipis ke level 9.012/US$.Pada perdagangan Jumat (30/4/2010), IHSG dibuka naik tipis ke level 2.927,261 dari penutupan kemarin di level 2.926,860 dan langsung melesat 23.583 poin (0,80%) ke level 2.950,557. Indeks LQ 45 juga menguat 4,475 poin (0,79%) ke level 568,297.Pada perdagangan pre-opening, hampir seluruh saham-saham unggulan menguat kecuali saham Indo Tambang (ITMG), Bukit Asam (PTBA) dan United Tractors (UNTR). Namun secara umum, perdagangan hari ini berada dalam tren penguatan. Sementara nilai tukar rupiah juga menguat tipis ke level 9.012 per dolar AS, dibandingkan penutupan kemarin di level 9.018 per dolar AS.
PT United Tractor Tbk (UNTR) berhasil mencetak pertumbuhan laba bersih 11,70% menjadi Rp907,449 miliar pada kuartal 1-2010 dibandingkan periode yang sama sebelumnya Rp812,334 miliar.
FREN Bakal Konversi Semua Utang Jadi Saham
Utang usaha senilai Rp 209,06 miliar akan dikonversi menjadi 4,15 miliar saham yang diterbitkan tanpa HMETD.
Banyak Kas, WIKA Batal Terbitkan Obligasi Tahun Ini
WIKA bakal menanamkan dana Rp 150 miliar - Rp 250 miliar untuk pembangunan jalan tol, pabrik aspal, dan pembangunan pembangkit listrik.
* BBCA: 3 Bulan, Dana Nasabah BCA Turun Rp 5 Triliun
* PGAS: Kantongi Laba Rp 1,7 Triliun
* ASII: Ekonomi Membaik, Laba Meroket 61%
* FREN: Diizinkan Konversi Saham
* BNLI: Kredit Capai Rp41 Triliun
* DLTA: Laba bersih Delta pada kuartal I/2010 naik 67,67%
* BBTN: Tawarkan Kupon 10,37%
* ADMF: Bukukan Laba Rp333 Miliar
* WIKA: Batalkan Emisi Obligasi
PT Batavia Prosperindo Finance Tbk (BPFI) dikabarkan sedang negosiasi dengan Bank Mandiri untuk mendapatkan kucuran dana Rp500 miliar, yang akan digunakan untuk ekspansi pembiyaan. Karena itu, harga sahamnya ditargetkan ke level Rp200.
Produsen baja PT Jaya Pari Steel Tbk (JPRS) mencetak lonjakan laba bersih 15.089,38% dari Rp78,54 juta pada akhir Maret 2009 menjadi Rp11,93 miliar pada 1Q10. Seiring dengan itu, sahamnya diyakini berpotensi mnguat ke level harga Rp500.
* Hari ini (30/4), cum date dividen tunai Gozco Plantations Tbk (GZCO) Rp 12 per saham. Ex date (3Mei2010)
* Hari ini (30/4), cum date dividen tunai Pelat Timah Nusantara Tbk (Latinusa) (NIKL) Rp 6 per saham. Ex date (3Mei2010)
* Hari ini (30/4), Exercise warrant Bakrieland Development Tbk (ELTY) rasio 1 : 1 Rp 250/saham
Laba Bersih BRNA Melonjak 321%
PT Berlina Tbk (BRNA) membukukan laba bersih naik 321% dari Rp2,028 miliar pada kuartal pertama 2009 menjadi Rp8,558 miliar pada kuartal pertama 2010.
Laba Bersih PTBA Tergerus 59% di Q1-2010
PTBA mencatat penurunan laba bersih sekitar 59% menjadi Rp373,03 miliar pada triwulan pertama 2010 dibandingkan periode triwulan yang sama 2009.
PT Adhi Karya Tbk (ADHI) mencatat penurunan laba bersih sekitar 45,93% menjadi Rp4,011 miliar pada triwulan 1-2010 dibandingkan periode yang sama mencapai Rp7,419 miliar.
Sumber: Inilah.com, detikfinance.com (market flash), kontan
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3180, 1.3159, 1.3131 and 1.3084(main), where correction is possible. Break would give 1.3076, where correction also may be. Then follows 1.3053. Break of the latter would result in 1.3028. If a strong impulse, we would see 1.3011. Continuation will give 1.2988.
Today's resistance: - 1.3262, 1.3288 and 1.3324 (main). Break would give 1.3341, where a correction is possible. Then goes 1.3368. Break of the latter would result in 1.3393. If a strong impulse, we'd see 1.3413. Continuation will give 1.3440 and 1.3465.
USD/JPY
Today's support: - 93.54, 93.12 and 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 11073.80, 11023.56, 10957.50 and 10923.80(main), where a delay and correction may happen. Break of the latter will give 10911.40, where correction also can be. Then follows 10888.12. Be there a strong impulse, we shall see 10853.22. Continuation will bring 10826.40 and 10807.26.
Today's resistance: - 11187.11 and 11208.72(main), where a delay and correction may happen. Break would bring 11240.76, where a correction may happen. Then follows 11265.33, where a delay and correction could also be. Be there a strong impulse, we'd see 11290.37. Continuation would bring 11323.12 and 11342.86.
The Rise of the Mega-Rich
by Robert Kiyosaki
The first decade of the 21st century is over. Many people find themselves off to a bad start. The new century began with the Y2K scare -- the threat of computers shutting down around the world. Then 9/11 came, followed by two long and expensive wars. The Nasdaq bubble and crash were followed by the real estate bubble then subprime crash, which led to the unprecedented printing of trillions of dollars in an attempt to prevent a global depression. The result is a lingering financial crisis that has expanded the gap between the haves and have-nots.
http://finance.yahoo.com/banking-budgetingk/article/109407/the-rise-of-the-mega-rich;_ylt=At2aeb0S4gGGdFt_5E1V9hy7YWsA;_ylu=X3oDMTFmcWgyNjBjBHBvcwM0BHNlYwNleHBlcnRPcGluaW9uRHluYW1pYwRzbGsDcmlzZW9mdGhlbWVn
Singapore Stock Index May Fall Below 2,900: Technical Analysis
(Bloomberg) -- Singapore’s Straits Times Index may fall below 2,900 in the coming week, extending its two-week drop, according to DMG & Partners Securities Pte, citing a “head-and- shoulders” pattern.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aNqNueviYBY4
China’s H Shares to Slow Pace of Declines: Technical Analysis
(Bloomberg) -- An index of Chinese stocks traded in Hong Kong may slow its pace of declines as the gauge approaches a “critical” level, according to technical analysis by UOB Kay Hian Ltd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aBCD0cRdrG0k
Dollar May Climb 17% Versus Yen on Ichimoku: Technical Analysis
(Bloomberg) -- The dollar may extend gains to the strongest since August 2008 if it closes above 95 yen, rising through the top of a weekly ichimoku cloud and its 21-month average, said Barclays Capital, citing trading patterns.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a75OZor8Jf1U
Shanghai Composite Triangle Suggests Gains: Technical Analysis
(Bloomberg) -- China’s stock index is on course to climb 7 percent in three months provided it holds above a trend line connecting lows when the market tumbled in August and May, according to independent technical analyst James Stellakis.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=azcjVXZeDL9s
Gold Set for Strongest Month Since November on Haven Demand
Bloomberg) -- Gold gained, poised for its strongest month since November, as the escalating European debt crisis increased its appeal as a haven investment.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aBJlcYDy3To0
S&P 500 May Drop After ‘Ultimate Squeeze’: Technical Analysis
(Bloomberg) -- Investors should sell basic- resources and financial shares as the Standard & Poor’s 500 Index may enter a correction following the “ultimate squeeze” of its rally, technical analysts at UBS AG said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=anaJjPiWIt7c
Strong Earnings Trump Global Economic Worries
Stocks [.SPX 1206.78 15.42 (+1.29%) ] chalked up their best day in nearly two months on Thursday as investors welcomed a string of positive market catalysts.
http://www.cnbc.com/id/36850918
Beware the 3 Recovery 'Derailers'
The growing sovereign debt crisis that started in Greece is just one of three potential "derailers" of the global economic recovery, Harry Samuel, global co-head of fixed income and currencies and head of global Treasury services at RBC Capital Markets, told CNBC Thursday.
http://www.cnbc.com/id/36844531
How to Beat Hedge Funds' Returns: Wealth Manager
Hedge funds have been attracting inflows from yield-hungry investors eager for seemingly guaranteed superior returns. But there are a few things that investors should know before giving hedge funds a try, said Niall Gannon, director of wealth management at Gannon Group at Morgan Stanley Smith Barney.
http://www.cnbc.com/id/36849248
Buffett's Bets—the Good, the Bad and the Unknown
Warren Buffett may be the world's most famous investor, but even he doesn't get everything right.
http://www.cnbc.com/id/36832137
Schork Oil Outlook: Bears Beware! Here's Why
Natural gas recovered slightly for the first time this week but was trending lower in after-hours trading. For today’s DOE release, the crowd is looking for a 70 Bcf injection. Meanwhile crude oil was strong despite a larger than expected build, and the products fell on the back of another build in ultra-low sulfur diesel stocks. Expect increased volatility as the products approach expiry.
http://www.cnbc.com/id/36851801
Oil Set for Third Monthly Gain on Signs of Economic Recovery
(Bloomberg) -- Crude oil is poised for a third monthly gain after reports showed European economic confidence increased and jobless claims in Germany and the U.S. declined, adding to signs the global economy is recovering.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a6XqOlCg0qR4
Asia Risks Overheating on Capital Inflows, IMF Says (Update1)
Bloomberg) -- Asia’s economic recovery that’s outpacing the rest of the world is attracting capital inflows that may cause the region to overheat and lead to the formation of asset bubbles, the International Monetary Fund said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aEtUZcHtO4Q8
Asian Stocks May Fall 17% on Greek Crisis, BNP Says (Update1)
(Bloomberg) -- Asian stocks outside of Japan may fall 17 percent in the short term as the Greek fiscal crisis prompts a drop in fund flows, BNP Paribas said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=akCXyxMY.5EQ
Credit Suisse Lowers Forecast for Euro on Greek Crisis Outlook
(Bloomberg) -- Credit Suisse Group AG cut its forecast for the euro, saying the Greek debt crisis has dented the 16-nation currency’s credibility as a safe alternative to the dollar for many investors.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a0BX2t3Pz55k
Euro May Drop to $1.30 on Greece Crisis, Credit Agricole Says
(Bloomberg) -- The euro may slide to $1.30, the lowest in a year amid concerns the sovereign-debt crisis will spread from Greece, according to a unit of Credit Agricole SA.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ax0XYgh8CYhI
Top 4 Buy & Hold Stocks Recommendation (Check Out The Charts)
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.
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.
Thursday, April 29, 2010
Rekomendasi Top 25 stocks: Welcome JCI 3000+ Next Week?
IHSG telah breakout trendline resist 2924 dan ditutup di atas 2.926, dengan buying power yg moderat yang cukup kuat alasan bahwa koreksi abc dalam 2/5) telah berakhir, meski indeks masih menunjukkan pola wash & rinse bullish dan ascending triangle, (sesuai dengan E.W DJIA di 5/5), berpeluang breakout resist 2926, untuk target 2954/2965/2986. Trend berbalik bearish jika indeks ditutup dibawah 2888. dapat picu aksi profit lebih lanjut. Trading buy: asii, ptba, tmpi, asri, bumi, itmg, ggrm, idkm, bksl, dgik, kija, elsa, dild, auto, admf, myor, hexa, davo, cpro, bmtr, medc, adro, bmri, agro, bbtn, indf. Closed Hold Buy di support 2.880 target 2.925 = Profit +45 point . Buy break 2.928 target 2.987 stop 20p, buy 2.890 target 2.986 stop 2.850. Risk 3.5%, Reward >10%. Track Record IHSG: 16 Recommendations (15 profits: 1 loss) = (+20p+45p+73p+53+60p+45p+63p+0p+27p+50p-20p+13p+40p+45p). P = Point. Disclaimer on.
Technical Analysis BNI Securities 30-04
http://www.ziddu.com/download/9663382/043010t.pdf.html
Technical Analysis BNI Securities 30-04
http://www.ziddu.com/download/9663382/043010t.pdf.html
Update Daily Investment News
Henry Ho Jadi Dirut
Danamon Bagi Dividen Rp89,57 Per Saham
RUPS PT Bank Danamon Tbk (BDMN) menyetujui pembagian dividen sebesar Rp89,57 per saham dari laba Perseroan 2009.
Laba Bersih KKGI Naik 4,31% di Q1-2010
PT Resources Alam Indonesia Tbk (KKGI) mencatatkan kenaikan laba bersih sebesar 4,31% di kuartal I-2010 menjadi Rp21,83 miliar.
BTN Rencana Terbitkan Obligasi Rp1,5 T
PT Bank Tabungan Negara Tbk (BTN) berencana menerbitkan Obligasi XIV Bank BTN tahun 2010 senilai Rp1,5 triliun dengan jangka waktu (tenor) selama 10 tahun.
Rencana Tambah Kepemilikan di BATR
'Target Price' PTBA Rp20.200
Perseroan akan meningkatkan kepemilikan pada PT Bukit Asam Transpasific Railway (BATR) menjadi 30% dari saat ini 10%.
Laba Tumbuh, INTP Direkomendasikan 'Buy'
PT Indocement Tunggal Prakarsa (INTP) mencatat kenaikan laba bersih kuartal I-2010 sebesar 56% YoY walaupun pendapatan hanya naik 17% YoY.
PT Bursa Efek Indonesia (BEI) kembali melakukan penghentian perdagangan sementara atas saham PT Indosiar Karya Media Tbk (IDKM ) dan PT Sugi Samapersada Tbk (SUGI) di pasar reguler dan pasar tunai pada Kamis (29/4).
* MEDC: Laba 1Q10 melejit 17,08%
* ADMF: Laba Adira tumbuh 13%
* TURI: Pendapatan Tunas Ridean Naik 77%
* INTP: Untung Kurs Dongkrak Laba 56,42%
* TCID: Laba Bersih Turun 24,3%
* WIKA: Keuntungan Wika Naik 40%
* KARK: Targetkan Rights Issue di Bulan Juni
* PTBA: Layangkan Surat Protes ke Kejagung
* AGIS: Global Emerging Berpotensi Miliki 49% Saham Agis
* KAEF: Gandeng Tianjin Bangun Pabrik Obat US$12 Juta
* BBNI: Arranger Divestasi BNI Ditender
* GDYR: Jadwal Pembagian Dividen
* NISP: Laba Bersih Naik 73%
* BNGA: Laba Bersih Naik 100% pada 1Q10
* BBKP: Laba Bersih Tumbuh 17% Pada 1Q10
PT Bhakti Investama Tbk (BHIT) dikabarkan segera mengumumkan realisasi akusisi tambang batubara di Kalimantan/Sumatera. Langkah itu diambil untuk mengukuhkanekspansi perseroan ke bisnis sumber daya mineral, setelah mengakuisisi blok migas di Sumatera dan Papua. Karena itu, sahamnya berpotensi menguat ke level Rp1.000.
Saham PT Abdi Bangsa Tbk (ABBA) diyakini berpeluang menuju level Rp135-150. Itu terkait peluang pemilik saham perseroan atau Grup Mahaka untuk mengakusisi PT Indosiar Karya Medika Tbk (IDKM) karena lebih siap secara dana maupun kecocokan harga yang ditawarkan.
Hari ini (29/4), cum date dividen tunai Indo Tambangraya Megah Tbk (ITMG) sebesar Rp 1.286 per saham Ex date (30April2010)
COWL Siap Beli Lahan Senilai Rp 200 M
Untuk menutup kebutuhan sebagaina dana akuisisi, Cowell membuka opsi penerbitan obligasi atau penerbitan saham baru.
KARK Targetkan Rights Issue di Bulan Juni
Nilai penerbitan saham baru KARK bisa lebih besar dari Rp 1,25 triliun.
Sumber: Detikfinance.com (Market Flash), inilah.com, kontan
Danamon Bagi Dividen Rp89,57 Per Saham
RUPS PT Bank Danamon Tbk (BDMN) menyetujui pembagian dividen sebesar Rp89,57 per saham dari laba Perseroan 2009.
Laba Bersih KKGI Naik 4,31% di Q1-2010
PT Resources Alam Indonesia Tbk (KKGI) mencatatkan kenaikan laba bersih sebesar 4,31% di kuartal I-2010 menjadi Rp21,83 miliar.
BTN Rencana Terbitkan Obligasi Rp1,5 T
PT Bank Tabungan Negara Tbk (BTN) berencana menerbitkan Obligasi XIV Bank BTN tahun 2010 senilai Rp1,5 triliun dengan jangka waktu (tenor) selama 10 tahun.
Rencana Tambah Kepemilikan di BATR
'Target Price' PTBA Rp20.200
Perseroan akan meningkatkan kepemilikan pada PT Bukit Asam Transpasific Railway (BATR) menjadi 30% dari saat ini 10%.
Laba Tumbuh, INTP Direkomendasikan 'Buy'
PT Indocement Tunggal Prakarsa (INTP) mencatat kenaikan laba bersih kuartal I-2010 sebesar 56% YoY walaupun pendapatan hanya naik 17% YoY.
PT Bursa Efek Indonesia (BEI) kembali melakukan penghentian perdagangan sementara atas saham PT Indosiar Karya Media Tbk (IDKM ) dan PT Sugi Samapersada Tbk (SUGI) di pasar reguler dan pasar tunai pada Kamis (29/4).
* MEDC: Laba 1Q10 melejit 17,08%
* ADMF: Laba Adira tumbuh 13%
* TURI: Pendapatan Tunas Ridean Naik 77%
* INTP: Untung Kurs Dongkrak Laba 56,42%
* TCID: Laba Bersih Turun 24,3%
* WIKA: Keuntungan Wika Naik 40%
* KARK: Targetkan Rights Issue di Bulan Juni
* PTBA: Layangkan Surat Protes ke Kejagung
* AGIS: Global Emerging Berpotensi Miliki 49% Saham Agis
* KAEF: Gandeng Tianjin Bangun Pabrik Obat US$12 Juta
* BBNI: Arranger Divestasi BNI Ditender
* GDYR: Jadwal Pembagian Dividen
* NISP: Laba Bersih Naik 73%
* BNGA: Laba Bersih Naik 100% pada 1Q10
* BBKP: Laba Bersih Tumbuh 17% Pada 1Q10
PT Bhakti Investama Tbk (BHIT) dikabarkan segera mengumumkan realisasi akusisi tambang batubara di Kalimantan/Sumatera. Langkah itu diambil untuk mengukuhkanekspansi perseroan ke bisnis sumber daya mineral, setelah mengakuisisi blok migas di Sumatera dan Papua. Karena itu, sahamnya berpotensi menguat ke level Rp1.000.
Saham PT Abdi Bangsa Tbk (ABBA) diyakini berpeluang menuju level Rp135-150. Itu terkait peluang pemilik saham perseroan atau Grup Mahaka untuk mengakusisi PT Indosiar Karya Medika Tbk (IDKM) karena lebih siap secara dana maupun kecocokan harga yang ditawarkan.
Hari ini (29/4), cum date dividen tunai Indo Tambangraya Megah Tbk (ITMG) sebesar Rp 1.286 per saham Ex date (30April2010)
COWL Siap Beli Lahan Senilai Rp 200 M
Untuk menutup kebutuhan sebagaina dana akuisisi, Cowell membuka opsi penerbitan obligasi atau penerbitan saham baru.
KARK Targetkan Rights Issue di Bulan Juni
Nilai penerbitan saham baru KARK bisa lebih besar dari Rp 1,25 triliun.
Sumber: Detikfinance.com (Market Flash), inilah.com, kontan
Rekomendasi Top 22 saham & IHSG/DJIA
IHSG mental dari support channel di 2.875 ditutup di atas 2.900, dengan selling power yang cukup kuat untuk proses koreksi abc dalam 2/5), meski indeks masih menunjukkan pola wash & rinse bullish dan ascending triangle, (sesuai dengan E.W DJIA di 5/5), berpeluang breakout resist 2926, untuk target 2956/2965. Trend berbalik bearish jika indeks ditutup dibawah 2883. dapat picu aksi profit lebih lanjut. Trading buy: asii, ptba, tmpi, asri, bumi, itmg, ggrm, idkm, bksi, mppa, auto, admf, myor, hexa, davo, cpro, bmtr, medc, adro, bmri, agro, bbtn, indf. Closed Hold buy break 2917 target 2965/2992: Profit +13 point, Closed Sell break 2930 tgt 2890: Profit +40 point. Hold Buy di support 2.880 stop loss 20p target 2.925. Buy break 2.930 target 2.965 stop 20p, buy 2.876 target 2.926 stop 2.850. Risk 3.5%, Reward >10%. Track Record IHSG: 15 Recommendations (14 profits: 1 loss) = (+20p+45p+73p+53+60p+45p+63p+0p+27p+50p-20p+13p+40p). P = Point. Disclaimer on.
Wednesday, April 28, 2010
Update Daily Investment News
PT Indocement Tunggal Prakarsa Tbk (INTP) berhasil menumbuhkan laba bersih triwulan I-2010 sebesar 56,42%. Peningkatan dipicu oleh kenaikan penjualan sebesar 16,6% ditambah keuntungan kurs dan penghasilan bunga yang mencapai Rp 59,871 miliar.
PT Pembangunan Perumahan (Persero) Tbk (PTPP) mencatat pendapatan Rp 561 miliar selama triwulan I-2010. Laba perseroan juga tercatat mencapai Rp 15,36 miliar atau naik 26,24% dibanding periode yang sama tahun lalu, Rp 12,17 miliar.
PT Kimia Farma Tbk (KLBF) mengharapkan proses merger dengan PT Indofarma Tbk (INAF) rampung akhir 2010. Perseroan telah menyerahkan seluruh keputusan kepada pemerintah, namun realisasinya harus menunggu penilaian dari konsultan independen.
Laba Bersih Mandom Turun 24,25% di Q1-2010
PT Mandom Indonesia Tbk (TCID) mengalami penurunan laba bersih sebesar 24,25% di kuartal I-2010 menjadi Rp45,86 miliar.
Laba Bersih Mustika Ratu Turun 35,17%
PT Mustika Ratu Tbk (MRAT) dan anak perusahaan mencatatkan penurunan laba bersih 35,17% di kuartal I-2010 menjadi Rp6,69 miliar.
Laba Bersih Kagoe Igar Jaya Naik 167,71% di Q1-2010
PT Kagoe Igar Jaya Tbk (IGAR) mencatatkan laba bersih Rp5,97 miliar pada kuartal I-2010 atau naik 167,71% dari periode yang sama 2009 Rp2,23 miliar.
PT Sumi Indo Kabel Tbk (IKBI) mencatatkan kerugian bersih sebesar Rp2,39 miliar pada kuartal I-2010 dari periode yang sama sebelumnya untung Rp38,8 miliar.
Laba Bersih SONA Naik 153,18% di Q1-2010
PT Sona Topas Tourism Industry Tbk (SONA) berhasil mencatatkan laba bersih sebesar Rp10,76 miliar di kuartal I-2010 atau naik 153,18%.
Laba Bersih BATA Naik 43,18% di Q1-2010
PT Sepatu Bata Tbk (BATA) berhasil mencatatkan kenaikan laba bersih sebesar 43,18% pada kuartal I-2010 menjadi Rp3,78 miliar.
Volume Jual Naik, Saham PTBA Masih Menarik
Presiden Direktur PT Tambang Bukit Asam (PTBA) mengatakan volume penjualan batu bara naik sekitar 10-15% YoY pada kuartal I-2010 atau menjadi 3,1-3,2 juta ton.
PT Bumi Resources Tbk (BUMI) baru saja menjalin kontrak pengiriman batubara dengan perusahaan asal Jepang senilai US$113 per ton FOB.
Laba Bersih Tunas Ridean Turun 46,33%
PT Tunas Ridean Tbk (TURI) mencatatkan penurunan laba bersih sebesar 46,33% pada kuartal I-2010 menjadi Rp75,29 miliar.
Saham TOTL Dikerek ke Rp350
Kabar di pasar berhembus, saham PT Total Bangun Persada Tbk (TOTL) akan dikerek menuju level Rp350 dalam waktu dekat.
Cermati Saham Sierad Produce
Investor perlu mencermati saham PT Sierad Produce Tbk (SIPD) karena akan dikerek menembus level Rp100 seiring dengan rencana Perseroan untuk rights issue.
Sepanjang tiga bulan pertama di 2010, PT Bakrieland Development Tbk (ELTY) berhasil mencatat pertumbuhan laba bersih sebesar 6,5% menjadi Rp28 miliar ketimbang sebelumnya 26,3 miliar.
Sumber: Detikfinance.com/inilah.com
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3131 and 1.3084(main), where correction is possible. Break would give 1.3076, where correction also may be. Then follows 1.3053. Break of the latter would result in 1.3028. If a strong impulse, we would see 1.3011. Continuation will give 1.2988.
Today's resistance: - 1.3262, 1.3288 and 1.3324 (main). Break would give 1.3341, where a correction is possible. Then goes 1.3368. Break of the latter would result in 1.3393. If a strong impulse, we'd see 1.3413. Continuation will give 1.3440 and 1.3465.
USD/JPY
Today's support: - 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 93.83, 94.26 and 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 10957.50 and 10923.80(main), where a delay and correction may happen. Break of the latter will give 10911.40, where correction also can be. Then follows 10888.12. Be there a strong impulse, we shall see 10853.22. Continuation will bring 10826.40 and 10807.26.
Today's resistance: - 11086.87 and 11123.62(main), where a delay and correction may happen. Break would bring 11162.82, where a correction may happen. Then follows 11187.11, where a delay and correction could also be. Be there a strong impulse, we'd see 11208.72. Continuation would bring 11240.76 and 11265.33.
Treasury Futures May Rise to 2-Month High: Technical Analysis
(Bloomberg) -- Treasury futures may rise to the highest since February after climbing above so-called resistance at 117 14/32, said MF Global Singapore, part of the world’s largest broker of exchange-traded futures and options.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ahgBT7Pr9Vwg
Daily Forex Technicals | Written by India Forex
The EURUSD is currently trading at 1.3200 levels after touching a low of 1.3150 levels on greece downgrades. Near term importers cover near 1.3000 – 1.3050 levels. Bearish below 1.3650 levels and 1.30 looks most likely. We have got our exporters booked close to 1.36 levels for April and May. Please refer previous reports and sms.(EURUSD - 1.3380). Bearish
GBPUSD is currently trading at 1.5280 levels. Near term imports are for May cover around 1.50 levels. Our exporter clients are covered around 1.55 levels (refer previous updates). The bias is bearish further down. Bearish below 1.5600 levels target 1.50 levels. (GBPUSD 1.5275).
USDJPY is currently trading 93.13 levels. Yen is taking strong resistance near 94.20 breaking which we could target 97-98 levels. Weekly close above 92 levels has increased chances for a bearish move for the yen currency. Importers hold for medium term covers. (USDJPY- 93.85). Long Term (3-6 months) Target 98 and higher. WE JUST NEED A CONSISTENT BREAK OF 94.30 TO MAKE THIS HAPPEN.
AUDUSD is currently trading at 0.9213 levels. Importers cover on dips. Exporters in Aud may start booking from 0.9350 onwards partially. Since the Australian currency is overall hawkish and Gold is holding above $1135 dollars we would stay away from shorts. Buying on dips is recommended. (AUDUSD - 0.9260). Bullish.
Gold is currently trading at $1164 levels and its bias is clearly on the upside. As per our earlier reports we have continously bought from 1100 levels onwards. Buy on dips remains is the strategy. (Gold- $1154) Bullish.
The dollar index, the sharp fall ahead of 82.24 resistance argues that medium term rally is not ready to resume yet. Consolidation from 82.24 might extend further with another fall and break of 81.04 minor support will flip intraday bias back to the downside for 80.04 support to conclude the consolidation. Though, decisive break of 82.24 will target next key fibonacci level of 61.8% retracement of 89.62 to 74.19 at 83.72 next. (Dollar Index- 81.31) Clearly Bullish
Small Caps Set to Recoup Bear-Market Loss: Technical Analysis
(Bloomberg) -- The rally in U.S. stocks has lifted the Russell 2000 Index above a key level that suggests the gauge will recoup its entire bear-market loss, according to analysts who use Fibonacci numbers to forecast market moves.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aHm6mQ_1XECY
Euro Stoxx 50 Futures May Drop to 2,839: Technical Analysis
(Bloomberg) -- Euro Stoxx 50 Index futures may be poised for a retreat, according to Technical Analysis Reports.com Ltd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a5mHFHKrZXAc
Global Stocks $1 Trillion Loss No Reason to Sell for U.S. Funds
(Bloomberg) -- The largest equity-market decline since February is failing to spur selling by the biggest U.S. money managers, who say losses will prove temporary as gains in earnings make stocks too cheap to pass up.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aiJYV2b24sMw
How the Greek Downgrade Will Affect Markets
Standard & Poor's decision to downgrade both Greece and Portugal raised the prospect of the debt crisis spreading to other members of the euro zone and beyond.
http://www.cnbc.com/id/36818255
Greece Just Tip of Debt Crisis Iceberg: Roubini
The sovereign debt crisis will get worse and bond vigilantes could move on to even bigger economies like the United States and Japan when they are done sweeping through vulnerable European nations, according to economist Nouriel Roubini.
http://www.cnbc.com/id/36795861
Wednesday Look Ahead: Euro Debt Crisis, Fed Will Drive Markets
Fears of a wider European sovereign debt crisis swept global markets Tuesday, and could be a negative Wednesday as the Greek bailout seems to flounder.
http://www.cnbc.com/id/36813454
How to Prep for the Coming Inflation: Chief Investor
Stocks tumbled Tuesday and the Dow dropped over 100 points. How should investors be positioned? David Goerz, chief investment officer at Highmark Capital, and Sean Kraus, senior vice president and chief investment officer at Citizens Trust, shared their thoughts.
http://www.cnbc.com/id/36801386
Gold Is the 'Only Currency': Strategist
Gold is "the only currency" worth investing in as it is a good hedge against the eurozone's fiscal troubles, said Mathew Kaleel, co-founder & portfolio manager, H3 Global Advisors.
http://www.cnbc.com/id/36792634
The Euro Is a One-Way Bet -- Down
The man who is likely to succeed Jean-Claude Trichet as the President of the European Central Bank told CNBC that the Greek bailout will be implemented soon and dismissed the idea that the euro zone is at risk of falling apart.
http://www.cnbc.com/id/36795709
U.S. Households Lost $100,000 From Financial Crisis, Study Says
(Bloomberg) -- The financial crisis and recession cost U.S. households an average of about $100,000 in lost wealth and income, according to a study by former Treasury Department economist Phillip Swagel.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aBG4vFtWo6JI
Yuan’s Gain Against Euro May Delay China Ending Peg (Update1)
(Bloomberg) -- The yuan’s climb to a one-year high against the euro will erode China’s competitiveness in its largest export market and delay an end to its currency’s peg against the dollar, said UniCredit SpA and Societe Generale SA.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aYtaPG3FvA_M
Emerging-Market Bonds Halt Slide as Philippines, Indonesia Gain
(Bloomberg) -- Indonesian and Philippine dollar bonds rose, paring yesterday’s biggest loss in a month, on speculation Asian debt is still attractive given the region is leading an economic recovery.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aWntsxe9n_GI
Oil Volatility Sinks as Shortage Concern Eases: Energy Markets
(Bloomberg) -- Crude oil volatility is falling to the lowest level in almost three years as brimming stockpiles and rising OPEC investment in production capacity eases concern of shortages. http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aO5crLH5pAGw
Singapore May See ‘Steep’ Inflation Gains, Central Bank Says
(Bloomberg) -- Singapore’s inflation gains may become “steep” in coming quarters as improvements in the city- state’s labor market boost wages and businesses pass on higher costs to consumers, the central bank said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aiUMfECWt3B4
Euro May Drop to $1.30 on Greece Crisis, Credit Agricole Says
(Bloomberg) -- The euro may slide to $1.30, the lowest in a year amid concerns the sovereign-debt crisis will spread from Greece, according to a unit of Credit Agricole SA.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ax0XYgh8CYhI
PT Pembangunan Perumahan (Persero) Tbk (PTPP) mencatat pendapatan Rp 561 miliar selama triwulan I-2010. Laba perseroan juga tercatat mencapai Rp 15,36 miliar atau naik 26,24% dibanding periode yang sama tahun lalu, Rp 12,17 miliar.
PT Kimia Farma Tbk (KLBF) mengharapkan proses merger dengan PT Indofarma Tbk (INAF) rampung akhir 2010. Perseroan telah menyerahkan seluruh keputusan kepada pemerintah, namun realisasinya harus menunggu penilaian dari konsultan independen.
Laba Bersih Mandom Turun 24,25% di Q1-2010
PT Mandom Indonesia Tbk (TCID) mengalami penurunan laba bersih sebesar 24,25% di kuartal I-2010 menjadi Rp45,86 miliar.
Laba Bersih Mustika Ratu Turun 35,17%
PT Mustika Ratu Tbk (MRAT) dan anak perusahaan mencatatkan penurunan laba bersih 35,17% di kuartal I-2010 menjadi Rp6,69 miliar.
Laba Bersih Kagoe Igar Jaya Naik 167,71% di Q1-2010
PT Kagoe Igar Jaya Tbk (IGAR) mencatatkan laba bersih Rp5,97 miliar pada kuartal I-2010 atau naik 167,71% dari periode yang sama 2009 Rp2,23 miliar.
PT Sumi Indo Kabel Tbk (IKBI) mencatatkan kerugian bersih sebesar Rp2,39 miliar pada kuartal I-2010 dari periode yang sama sebelumnya untung Rp38,8 miliar.
Laba Bersih SONA Naik 153,18% di Q1-2010
PT Sona Topas Tourism Industry Tbk (SONA) berhasil mencatatkan laba bersih sebesar Rp10,76 miliar di kuartal I-2010 atau naik 153,18%.
Laba Bersih BATA Naik 43,18% di Q1-2010
PT Sepatu Bata Tbk (BATA) berhasil mencatatkan kenaikan laba bersih sebesar 43,18% pada kuartal I-2010 menjadi Rp3,78 miliar.
Volume Jual Naik, Saham PTBA Masih Menarik
Presiden Direktur PT Tambang Bukit Asam (PTBA) mengatakan volume penjualan batu bara naik sekitar 10-15% YoY pada kuartal I-2010 atau menjadi 3,1-3,2 juta ton.
PT Bumi Resources Tbk (BUMI) baru saja menjalin kontrak pengiriman batubara dengan perusahaan asal Jepang senilai US$113 per ton FOB.
Laba Bersih Tunas Ridean Turun 46,33%
PT Tunas Ridean Tbk (TURI) mencatatkan penurunan laba bersih sebesar 46,33% pada kuartal I-2010 menjadi Rp75,29 miliar.
Saham TOTL Dikerek ke Rp350
Kabar di pasar berhembus, saham PT Total Bangun Persada Tbk (TOTL) akan dikerek menuju level Rp350 dalam waktu dekat.
Cermati Saham Sierad Produce
Investor perlu mencermati saham PT Sierad Produce Tbk (SIPD) karena akan dikerek menembus level Rp100 seiring dengan rencana Perseroan untuk rights issue.
Sepanjang tiga bulan pertama di 2010, PT Bakrieland Development Tbk (ELTY) berhasil mencatat pertumbuhan laba bersih sebesar 6,5% menjadi Rp28 miliar ketimbang sebelumnya 26,3 miliar.
Sumber: Detikfinance.com/inilah.com
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3131 and 1.3084(main), where correction is possible. Break would give 1.3076, where correction also may be. Then follows 1.3053. Break of the latter would result in 1.3028. If a strong impulse, we would see 1.3011. Continuation will give 1.2988.
Today's resistance: - 1.3262, 1.3288 and 1.3324 (main). Break would give 1.3341, where a correction is possible. Then goes 1.3368. Break of the latter would result in 1.3393. If a strong impulse, we'd see 1.3413. Continuation will give 1.3440 and 1.3465.
USD/JPY
Today's support: - 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 93.83, 94.26 and 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 10957.50 and 10923.80(main), where a delay and correction may happen. Break of the latter will give 10911.40, where correction also can be. Then follows 10888.12. Be there a strong impulse, we shall see 10853.22. Continuation will bring 10826.40 and 10807.26.
Today's resistance: - 11086.87 and 11123.62(main), where a delay and correction may happen. Break would bring 11162.82, where a correction may happen. Then follows 11187.11, where a delay and correction could also be. Be there a strong impulse, we'd see 11208.72. Continuation would bring 11240.76 and 11265.33.
Treasury Futures May Rise to 2-Month High: Technical Analysis
(Bloomberg) -- Treasury futures may rise to the highest since February after climbing above so-called resistance at 117 14/32, said MF Global Singapore, part of the world’s largest broker of exchange-traded futures and options.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ahgBT7Pr9Vwg
Daily Forex Technicals | Written by India Forex
The EURUSD is currently trading at 1.3200 levels after touching a low of 1.3150 levels on greece downgrades. Near term importers cover near 1.3000 – 1.3050 levels. Bearish below 1.3650 levels and 1.30 looks most likely. We have got our exporters booked close to 1.36 levels for April and May. Please refer previous reports and sms.(EURUSD - 1.3380). Bearish
GBPUSD is currently trading at 1.5280 levels. Near term imports are for May cover around 1.50 levels. Our exporter clients are covered around 1.55 levels (refer previous updates). The bias is bearish further down. Bearish below 1.5600 levels target 1.50 levels. (GBPUSD 1.5275).
USDJPY is currently trading 93.13 levels. Yen is taking strong resistance near 94.20 breaking which we could target 97-98 levels. Weekly close above 92 levels has increased chances for a bearish move for the yen currency. Importers hold for medium term covers. (USDJPY- 93.85). Long Term (3-6 months) Target 98 and higher. WE JUST NEED A CONSISTENT BREAK OF 94.30 TO MAKE THIS HAPPEN.
AUDUSD is currently trading at 0.9213 levels. Importers cover on dips. Exporters in Aud may start booking from 0.9350 onwards partially. Since the Australian currency is overall hawkish and Gold is holding above $1135 dollars we would stay away from shorts. Buying on dips is recommended. (AUDUSD - 0.9260). Bullish.
Gold is currently trading at $1164 levels and its bias is clearly on the upside. As per our earlier reports we have continously bought from 1100 levels onwards. Buy on dips remains is the strategy. (Gold- $1154) Bullish.
The dollar index, the sharp fall ahead of 82.24 resistance argues that medium term rally is not ready to resume yet. Consolidation from 82.24 might extend further with another fall and break of 81.04 minor support will flip intraday bias back to the downside for 80.04 support to conclude the consolidation. Though, decisive break of 82.24 will target next key fibonacci level of 61.8% retracement of 89.62 to 74.19 at 83.72 next. (Dollar Index- 81.31) Clearly Bullish
Small Caps Set to Recoup Bear-Market Loss: Technical Analysis
(Bloomberg) -- The rally in U.S. stocks has lifted the Russell 2000 Index above a key level that suggests the gauge will recoup its entire bear-market loss, according to analysts who use Fibonacci numbers to forecast market moves.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aHm6mQ_1XECY
Euro Stoxx 50 Futures May Drop to 2,839: Technical Analysis
(Bloomberg) -- Euro Stoxx 50 Index futures may be poised for a retreat, according to Technical Analysis Reports.com Ltd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a5mHFHKrZXAc
Global Stocks $1 Trillion Loss No Reason to Sell for U.S. Funds
(Bloomberg) -- The largest equity-market decline since February is failing to spur selling by the biggest U.S. money managers, who say losses will prove temporary as gains in earnings make stocks too cheap to pass up.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aiJYV2b24sMw
How the Greek Downgrade Will Affect Markets
Standard & Poor's decision to downgrade both Greece and Portugal raised the prospect of the debt crisis spreading to other members of the euro zone and beyond.
http://www.cnbc.com/id/36818255
Greece Just Tip of Debt Crisis Iceberg: Roubini
The sovereign debt crisis will get worse and bond vigilantes could move on to even bigger economies like the United States and Japan when they are done sweeping through vulnerable European nations, according to economist Nouriel Roubini.
http://www.cnbc.com/id/36795861
Wednesday Look Ahead: Euro Debt Crisis, Fed Will Drive Markets
Fears of a wider European sovereign debt crisis swept global markets Tuesday, and could be a negative Wednesday as the Greek bailout seems to flounder.
http://www.cnbc.com/id/36813454
How to Prep for the Coming Inflation: Chief Investor
Stocks tumbled Tuesday and the Dow dropped over 100 points. How should investors be positioned? David Goerz, chief investment officer at Highmark Capital, and Sean Kraus, senior vice president and chief investment officer at Citizens Trust, shared their thoughts.
http://www.cnbc.com/id/36801386
Gold Is the 'Only Currency': Strategist
Gold is "the only currency" worth investing in as it is a good hedge against the eurozone's fiscal troubles, said Mathew Kaleel, co-founder & portfolio manager, H3 Global Advisors.
http://www.cnbc.com/id/36792634
The Euro Is a One-Way Bet -- Down
The man who is likely to succeed Jean-Claude Trichet as the President of the European Central Bank told CNBC that the Greek bailout will be implemented soon and dismissed the idea that the euro zone is at risk of falling apart.
http://www.cnbc.com/id/36795709
U.S. Households Lost $100,000 From Financial Crisis, Study Says
(Bloomberg) -- The financial crisis and recession cost U.S. households an average of about $100,000 in lost wealth and income, according to a study by former Treasury Department economist Phillip Swagel.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aBG4vFtWo6JI
Yuan’s Gain Against Euro May Delay China Ending Peg (Update1)
(Bloomberg) -- The yuan’s climb to a one-year high against the euro will erode China’s competitiveness in its largest export market and delay an end to its currency’s peg against the dollar, said UniCredit SpA and Societe Generale SA.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aYtaPG3FvA_M
Emerging-Market Bonds Halt Slide as Philippines, Indonesia Gain
(Bloomberg) -- Indonesian and Philippine dollar bonds rose, paring yesterday’s biggest loss in a month, on speculation Asian debt is still attractive given the region is leading an economic recovery.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aWntsxe9n_GI
Oil Volatility Sinks as Shortage Concern Eases: Energy Markets
(Bloomberg) -- Crude oil volatility is falling to the lowest level in almost three years as brimming stockpiles and rising OPEC investment in production capacity eases concern of shortages. http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aO5crLH5pAGw
Singapore May See ‘Steep’ Inflation Gains, Central Bank Says
(Bloomberg) -- Singapore’s inflation gains may become “steep” in coming quarters as improvements in the city- state’s labor market boost wages and businesses pass on higher costs to consumers, the central bank said.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aiUMfECWt3B4
Euro May Drop to $1.30 on Greece Crisis, Credit Agricole Says
(Bloomberg) -- The euro may slide to $1.30, the lowest in a year amid concerns the sovereign-debt crisis will spread from Greece, according to a unit of Credit Agricole SA.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ax0XYgh8CYhI
Tuesday, April 27, 2010
Top 16 Stock's Recommendation & IHSG in wave 5
IHSG menunjukkan signal bearish setelah breakout rising pennant support line, buying power yang melemah, untuk menuju ke support trendline di 2880/2907, untuk proses koreksi abc setelah capai flagpole di 2946 meski indeks masih menunjukkan pola wash & rinse bullish setelah breakout flag tercapai di target 2945, dalam proses 5/5 (sesuai dengan E.W DJIA di 5/5), setelah breakout resist line 2927, untuk target 2965/2992. Trend berbalik bearish jika indeks ditutup dibawah 2916. dapat picu aksi profit. 21.04. Hold buy break 2917 target 2965/2992 stop 2930, Sell break 2930 tgt 2890. Buy di support 2.880 stop loss 20p target 2.930. Buy on weakness sesi 2: 16 stocks: adro.jk, ggrm.jk, itmg.jk, asii.jk,jprs.jk,intp.jk,bbri.jk,bmri.jk,gjtl.jk,tins.jk,gzco.jk,sdra.jk,tmpi.jk,bhit.jk,mrat.jk,masa,jk Risk 3.5%, Reward >10%. Disclaimer on. Track Record IHSG: 13 Recommendations: (+20p+45p+73p+53+60p+45p+63p+0p+27p+50p-20p). P = Point.
Daily Investment News Update
Penjualan Alam Sutera Melonjak 287% di Q1-2010
Penjualan rumah PT Alam Sutera Realty Tbk (ASRI) melonjak 287% di kuartal 1-2010 jika dibandingkan 2009.
Fajar Wisesa Raup Laba Bersih Rp110,52 M
PT Fajar Surya Wisesa Tbk (FASW) berhasil meraih laba bersih sebesar Rp110,52 miliar pada kuartal I-2010.
Laba Bersih AALI Naik 24,92% di Q1-2010
PT Astra Agro Lestari Tbk (AALI) mencatatkan kenaikan laba bersih hanya 24,92% di kuartal I-2010 menjadi Rp271,98 miliar
PT Indosiar Karya Media Tbk (IDKM) tetap membantah kabar rencana akuisisi perseroan oleh Trans Corporation. Padahal, Ishadi SK, petinggi Trans Corp, tidak menampik adanya aksi korporasi tersebut.
Setelah berhasil mengakuisisi tiga perusahaan, laba bersih PT Inovisi Infracom Tbk (INVS) hingga akhir 2010 ini diprediksi mencapai Rp32,799 miliar.
PT Danasupra Erapacific Tbk (DEFI) berhasil mencatatkan kenaikan laba bersih sebesar Rp406,67 juta pada kuartal I-2010 dibanding periode yang sama 2009 yang merugi Rp99,36 juta.
Hasil Rapat Umum Pemegang Saham Tahunan PT Goodyear Indonesia Tbk (GDYR) memutuskan menyetujui pembagian dividen tahun buku 2009 Rp225 per lembar saham atau sekitar 7,6% dari total laba bersih Rp121,086 miliar pada 2009.
PT Pelat Timah Nusantara Tbk (NIKL) mencetak laba bersih sebesar Rp 28,051 miliar di triwulan I-2010 setelah mengalami kerugian di triwulan I-2009. Perolehan ini didorong oleh kenaikan pendapatan sebesar 27,09%.
Menang Tender, WIKA Direkomendasi 'Buy'
PT Wijaya Karya (WIKA) kemungkinan besar ditunjuk sebagai pelaksana pembangunan pabrik alumunium (CGA) senilai US$300-400 juta bersama Tsukishima Kikai.
Juli, Medco Lepas 5% Saham Treasury
PT Medco Energi Internasional Tbk (MEDC) melepas 5% atau 1666,622 saham treasury hasil pelaksanaan program buyback saham sesuai dengan RUPSLB kepada jajaran manajemen.
Sepanjang tiga bulan pertama di 2010, PT Sorini Agro Asia Corporindo Tbk (SOBI) melaporkan penurunan laba bersih sekitar 25% menjadi Rp30,2 miliar ketimbang perolehan sebelumnya Rp40,8 miliar.
Pulihnya sektor properti didukung fundamental yang positif, membuat saham PT Sentul City (BKSL) menarik. Emiten ini pun diramalkan segera menuju ke level Rp300.
CTRA Segera Stock Split Dengan Rasio 1:2
Rencana stock split ini bertujuan membuat perdagangan saham CTRA lebih likuid.
Sumber: Detikfinance.com, kontan, inilah.com
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3316, 1.3278, 1.3240 and 1.3187(main), where correction is possible. Break would give 1.3331, where correction also may be. Then follows 1.3319. Break of the latter would result in 1.3303. If a strong impulse, we would see 1.3276. Continuation will give 1.3240 and 1.3187.
Today's resistance: - 1.3437, 1.3461 and 1.3507 (main). Break would give 1.3538, where a correction is possible. Then goes 1.3566. Break of the latter would result in 1.3595. If a strong impulse, we'd see 1.3616. Continuation will give 1.3637.
USD/JPY
Today's support: - 93.60, 93.12 and 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 11164.20, 1141.13, 11126.28 and 11087.90(main), where a delay and correction may happen. Break of the latter will give 11058.46, where correction also can be. Then follows 11036.23. Be there a strong impulse, we shall see 10983.34. Continuation will bring 10945.30.
Today's resistance: - 11265.33(main), where a delay and correction may happen. Break would bring 11272.50, where a correction may happen. Then follows 11283.80, where a delay and correction could also be. Be there a strong impulse, we'd see 11317.50. Continuation would bring 11343.22.
Daily Forex Technicals | Written by India Forex
The EURUSD is currently trading at 1.3380 levels after touching a low of 1.3199 levels on friday. Near term importers cover near 1.3000 –1.3200 levels. Bearish below 1.3650 levels and 1.30 looks most likely. (EURUSD - 1.3380).
GBPUSD is currently trading at 1.5454 levels. Near term imports are already covered for clients (refer last 19 days! update) around 67- 68 levels. The bias is bearish further down. Exporters for April and May can cover atleast 50-60% at 1.54-1.55 levels i.e 68.30-68.60 levels. Breaking of 1.5300 levels would push the pair to 1.5150 levels. Weekly charts are showing downward correction. Bearish below 1.5600 levels. (GBPUSD 1.5454).
USDJPY is currently trading 93.85 levels. Yen is taking strong resistance near 94.20 breaking which we could target 97-98 levels. Weekly close above 92 levels has increased chances for a bearish move for the yen currency. Importers hold for medium term covers. (USDJPY- 93.85). Long Term (3-6 months) Target 98 and higher. WE JUST NEED A CONSISTENT BREAK OF 94.30 TO MAKE THIS HAPPEN.
AUDUSD is currently trading at 0.9260 levels. Importers cover on dips. Exporters in Aud may start booking from 0.9350 onwards partially. Since the Australian currency is overall hawkish and Gold is holding above $1135 dollars we would stay away from shorts! . Buying on dips is recommended. (AUDUSD - 0.9260). Bullish.
Gold is currently trading at $1154 levels and its bias is clearly on the upside. Buy on dips remains is the strategy. (Gold- $1154) Bullish.
The dollar index, the sharp fall ahead of 82.24 resistance argues that medium term rally is not ready to resume yet. Consolidation from 82.24 might extend further with another fall and break of 81.04 minor support will flip intraday bias back to the downside for 80.04 support to conclude the consolidation. Though, decisive break of 82.24 will target next key fibonacci level of 61.8% retracement of 89.62 to 74.19 at 83.72 next. (Dollar Index- 81.31) Bullish
Oil May ‘Muck Around,’ Then Shoot for $88: Technical Analysis
(Bloomberg) -- Crude oil is set to reach $88 a barrel, its highest level for this year, because price dips have failed to snap the market’s uptrend, according to National Australia Bank Ltd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=afzfuGtfKI6c
Gold Is the 'Only Currency': Strategist
Gold is "the only currency" worth investing in as it is a good hedge against the eurozone's fiscal troubles, said Mathew Kaleel, co-founder & portfolio manager, H3 Global Advisors.
http://www.cnbc.com/id/36792634
Art Cashin: Markets Are 'Nowhere Near a Top'
Stocks mostly rose on Monday after a round of positive earnings news. Will the rally continue and how should investors be positioned? David Kotok, chairman and chief investment officer at Cumberland Advisors and CNBC contributor, and Art Cashin, director of floor operations at UBS Financial Services, shared their insights.
http://www.cnbc.com/id/36779218
Halftime: Gaming Goldman, Strong Fundamentals Vs Weak Technicals
The Dow [.DJIA 11205.03 0.75 (+0.01%) ] continued its winning streak after an upbeat outlook from Caterpillar [CAT 71.65 2.87 (+4.17%) ] led stocks higher.
http://www.cnbc.com/id/36782435
Outlook: Market Selloff and 'Weakness' in Second Half
The market rally will last until about June—then, investors should brace for a selloff, said John Carter, president of Trade The Markets. What will be the catalyst? He shared his market outlook.
http://www.cnbc.com/id/36778641
Lowry Sees Strongest Rally Since 1960
Despite worries on Greece and financial reform, market shows no signs of giving up gains. All major indices are at new highs.
http://www.cnbc.com/id/36785724
Surprised by This Season’s Upside Surprises?
This earnings season investors have been shocked – shocked! – by the number of upside surprises being announced. But anyone who followed this past quarter closely, Cramer said Monday, wouldn’t be.
http://www.cnbc.com/id/36778984
S+P Could Hit 3000 by 2020! Bull Market Far from Over, Jon Markman Says
Jon Markman first appeared on our show in December and urged investors to go long. Fast forward four months and we all know how the market has surged. Friday, the markets edged even higher, with the Dow up for the eighth-consecutive week.
http://finance.yahoo.com/tech-ticker/sp-could-hit-3000-by-2020!-bull-market-far-from-over-jon-markman-says-473559.html;_ylt=AmXUSFln0O5HItb9nFQHBDC7YWsA;_ylu=X3oDMTFhaWE3N3JjBHBvcwM1BHNlYwNzcGVjaWFsRmVhdHVyZXMEc2xrA21hcmttYW5zcGNvdQ--?tickers=aapl,^gspc,^dji,ba,IWN,ita,HBAN&sec=topStories&pos=9&asset=&ccode=
Gold survives Goldman Sachs
by Peter Brimelow
When I last wrote about gold, it was after what I called "freaky Friday" -- the steep, chart-disrupting price slump in gold triggered by heavy selling following the Goldman Sachs (NYSE: GS - News) litigation announcement.
http://finance.yahoo.com/banking-budgeting/article/109384/gold-survives-goldman-sac;_ylt=Auf_ubMUJRqCOe32Za6jNDm7YWsA;_ylu=X3oDMTFhbW1wMTZwBHBvcwMzBHNlYwNzcGVjaWFsRmVhdHVyZXMEc2xrA2dvbGRzdXJ2aXZlcw--
Do Stocks Show a Bullish Bias at Month's End?
tradingmarkets
As we head into the last few trading days of the April, now is a good time to revisit some research we published late last year. Many of you are probably aware of the "end-of-the month" phenomena -- when money managers pile into the stocks at the end of the month in anticipation of 401k and savings money coming in. Well, we decided to take a quantitative look at whether there was any statistical evidence to support it, and potentially profit from the behavior.
http://finance.yahoo.com/news/Do-Stocks-Show-a-Bullish-Bias-tm-3275211310.html?x=0&.v=1
Penjualan rumah PT Alam Sutera Realty Tbk (ASRI) melonjak 287% di kuartal 1-2010 jika dibandingkan 2009.
Fajar Wisesa Raup Laba Bersih Rp110,52 M
PT Fajar Surya Wisesa Tbk (FASW) berhasil meraih laba bersih sebesar Rp110,52 miliar pada kuartal I-2010.
Laba Bersih AALI Naik 24,92% di Q1-2010
PT Astra Agro Lestari Tbk (AALI) mencatatkan kenaikan laba bersih hanya 24,92% di kuartal I-2010 menjadi Rp271,98 miliar
PT Indosiar Karya Media Tbk (IDKM) tetap membantah kabar rencana akuisisi perseroan oleh Trans Corporation. Padahal, Ishadi SK, petinggi Trans Corp, tidak menampik adanya aksi korporasi tersebut.
Setelah berhasil mengakuisisi tiga perusahaan, laba bersih PT Inovisi Infracom Tbk (INVS) hingga akhir 2010 ini diprediksi mencapai Rp32,799 miliar.
PT Danasupra Erapacific Tbk (DEFI) berhasil mencatatkan kenaikan laba bersih sebesar Rp406,67 juta pada kuartal I-2010 dibanding periode yang sama 2009 yang merugi Rp99,36 juta.
Hasil Rapat Umum Pemegang Saham Tahunan PT Goodyear Indonesia Tbk (GDYR) memutuskan menyetujui pembagian dividen tahun buku 2009 Rp225 per lembar saham atau sekitar 7,6% dari total laba bersih Rp121,086 miliar pada 2009.
PT Pelat Timah Nusantara Tbk (NIKL) mencetak laba bersih sebesar Rp 28,051 miliar di triwulan I-2010 setelah mengalami kerugian di triwulan I-2009. Perolehan ini didorong oleh kenaikan pendapatan sebesar 27,09%.
Menang Tender, WIKA Direkomendasi 'Buy'
PT Wijaya Karya (WIKA) kemungkinan besar ditunjuk sebagai pelaksana pembangunan pabrik alumunium (CGA) senilai US$300-400 juta bersama Tsukishima Kikai.
Juli, Medco Lepas 5% Saham Treasury
PT Medco Energi Internasional Tbk (MEDC) melepas 5% atau 1666,622 saham treasury hasil pelaksanaan program buyback saham sesuai dengan RUPSLB kepada jajaran manajemen.
Sepanjang tiga bulan pertama di 2010, PT Sorini Agro Asia Corporindo Tbk (SOBI) melaporkan penurunan laba bersih sekitar 25% menjadi Rp30,2 miliar ketimbang perolehan sebelumnya Rp40,8 miliar.
Pulihnya sektor properti didukung fundamental yang positif, membuat saham PT Sentul City (BKSL) menarik. Emiten ini pun diramalkan segera menuju ke level Rp300.
CTRA Segera Stock Split Dengan Rasio 1:2
Rencana stock split ini bertujuan membuat perdagangan saham CTRA lebih likuid.
Sumber: Detikfinance.com, kontan, inilah.com
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3316, 1.3278, 1.3240 and 1.3187(main), where correction is possible. Break would give 1.3331, where correction also may be. Then follows 1.3319. Break of the latter would result in 1.3303. If a strong impulse, we would see 1.3276. Continuation will give 1.3240 and 1.3187.
Today's resistance: - 1.3437, 1.3461 and 1.3507 (main). Break would give 1.3538, where a correction is possible. Then goes 1.3566. Break of the latter would result in 1.3595. If a strong impulse, we'd see 1.3616. Continuation will give 1.3637.
USD/JPY
Today's support: - 93.60, 93.12 and 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 11164.20, 1141.13, 11126.28 and 11087.90(main), where a delay and correction may happen. Break of the latter will give 11058.46, where correction also can be. Then follows 11036.23. Be there a strong impulse, we shall see 10983.34. Continuation will bring 10945.30.
Today's resistance: - 11265.33(main), where a delay and correction may happen. Break would bring 11272.50, where a correction may happen. Then follows 11283.80, where a delay and correction could also be. Be there a strong impulse, we'd see 11317.50. Continuation would bring 11343.22.
Daily Forex Technicals | Written by India Forex
The EURUSD is currently trading at 1.3380 levels after touching a low of 1.3199 levels on friday. Near term importers cover near 1.3000 –1.3200 levels. Bearish below 1.3650 levels and 1.30 looks most likely. (EURUSD - 1.3380).
GBPUSD is currently trading at 1.5454 levels. Near term imports are already covered for clients (refer last 19 days! update) around 67- 68 levels. The bias is bearish further down. Exporters for April and May can cover atleast 50-60% at 1.54-1.55 levels i.e 68.30-68.60 levels. Breaking of 1.5300 levels would push the pair to 1.5150 levels. Weekly charts are showing downward correction. Bearish below 1.5600 levels. (GBPUSD 1.5454).
USDJPY is currently trading 93.85 levels. Yen is taking strong resistance near 94.20 breaking which we could target 97-98 levels. Weekly close above 92 levels has increased chances for a bearish move for the yen currency. Importers hold for medium term covers. (USDJPY- 93.85). Long Term (3-6 months) Target 98 and higher. WE JUST NEED A CONSISTENT BREAK OF 94.30 TO MAKE THIS HAPPEN.
AUDUSD is currently trading at 0.9260 levels. Importers cover on dips. Exporters in Aud may start booking from 0.9350 onwards partially. Since the Australian currency is overall hawkish and Gold is holding above $1135 dollars we would stay away from shorts! . Buying on dips is recommended. (AUDUSD - 0.9260). Bullish.
Gold is currently trading at $1154 levels and its bias is clearly on the upside. Buy on dips remains is the strategy. (Gold- $1154) Bullish.
The dollar index, the sharp fall ahead of 82.24 resistance argues that medium term rally is not ready to resume yet. Consolidation from 82.24 might extend further with another fall and break of 81.04 minor support will flip intraday bias back to the downside for 80.04 support to conclude the consolidation. Though, decisive break of 82.24 will target next key fibonacci level of 61.8% retracement of 89.62 to 74.19 at 83.72 next. (Dollar Index- 81.31) Bullish
Oil May ‘Muck Around,’ Then Shoot for $88: Technical Analysis
(Bloomberg) -- Crude oil is set to reach $88 a barrel, its highest level for this year, because price dips have failed to snap the market’s uptrend, according to National Australia Bank Ltd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=afzfuGtfKI6c
Gold Is the 'Only Currency': Strategist
Gold is "the only currency" worth investing in as it is a good hedge against the eurozone's fiscal troubles, said Mathew Kaleel, co-founder & portfolio manager, H3 Global Advisors.
http://www.cnbc.com/id/36792634
Art Cashin: Markets Are 'Nowhere Near a Top'
Stocks mostly rose on Monday after a round of positive earnings news. Will the rally continue and how should investors be positioned? David Kotok, chairman and chief investment officer at Cumberland Advisors and CNBC contributor, and Art Cashin, director of floor operations at UBS Financial Services, shared their insights.
http://www.cnbc.com/id/36779218
Halftime: Gaming Goldman, Strong Fundamentals Vs Weak Technicals
The Dow [.DJIA 11205.03 0.75 (+0.01%) ] continued its winning streak after an upbeat outlook from Caterpillar [CAT 71.65 2.87 (+4.17%) ] led stocks higher.
http://www.cnbc.com/id/36782435
Outlook: Market Selloff and 'Weakness' in Second Half
The market rally will last until about June—then, investors should brace for a selloff, said John Carter, president of Trade The Markets. What will be the catalyst? He shared his market outlook.
http://www.cnbc.com/id/36778641
Lowry Sees Strongest Rally Since 1960
Despite worries on Greece and financial reform, market shows no signs of giving up gains. All major indices are at new highs.
http://www.cnbc.com/id/36785724
Surprised by This Season’s Upside Surprises?
This earnings season investors have been shocked – shocked! – by the number of upside surprises being announced. But anyone who followed this past quarter closely, Cramer said Monday, wouldn’t be.
http://www.cnbc.com/id/36778984
S+P Could Hit 3000 by 2020! Bull Market Far from Over, Jon Markman Says
Jon Markman first appeared on our show in December and urged investors to go long. Fast forward four months and we all know how the market has surged. Friday, the markets edged even higher, with the Dow up for the eighth-consecutive week.
http://finance.yahoo.com/tech-ticker/sp-could-hit-3000-by-2020!-bull-market-far-from-over-jon-markman-says-473559.html;_ylt=AmXUSFln0O5HItb9nFQHBDC7YWsA;_ylu=X3oDMTFhaWE3N3JjBHBvcwM1BHNlYwNzcGVjaWFsRmVhdHVyZXMEc2xrA21hcmttYW5zcGNvdQ--?tickers=aapl,^gspc,^dji,ba,IWN,ita,HBAN&sec=topStories&pos=9&asset=&ccode=
Gold survives Goldman Sachs
by Peter Brimelow
When I last wrote about gold, it was after what I called "freaky Friday" -- the steep, chart-disrupting price slump in gold triggered by heavy selling following the Goldman Sachs (NYSE: GS - News) litigation announcement.
http://finance.yahoo.com/banking-budgeting/article/109384/gold-survives-goldman-sac;_ylt=Auf_ubMUJRqCOe32Za6jNDm7YWsA;_ylu=X3oDMTFhbW1wMTZwBHBvcwMzBHNlYwNzcGVjaWFsRmVhdHVyZXMEc2xrA2dvbGRzdXJ2aXZlcw--
Do Stocks Show a Bullish Bias at Month's End?
tradingmarkets
As we head into the last few trading days of the April, now is a good time to revisit some research we published late last year. Many of you are probably aware of the "end-of-the month" phenomena -- when money managers pile into the stocks at the end of the month in anticipation of 401k and savings money coming in. Well, we decided to take a quantitative look at whether there was any statistical evidence to support it, and potentially profit from the behavior.
http://finance.yahoo.com/news/Do-Stocks-Show-a-Bullish-Bias-tm-3275211310.html?x=0&.v=1
Top 16 Stock's Recommendation & IHSG in wave 5
IHSG menunjukkan buying power yg kuat, rising pennant dan wash & rinse bullish setelah breakout flag tercapai di target 2945, dalam proses 5/5 (sesuai dengan E.W DJIA di 5/5), setelah breakout resist line 2927, untuk target 2965/2992. Trend berbalik bearish jika indeks ditutup dibawah 2916. dapat picu aksi profit taking dan dapat memicu 4/5 belum berakhir. Resist di 2955/2968. Support berada di 2936/2925. 21.04. Hold buy break 2917 target 2965/2992 stop 20p, Sell break 2900 tgt 2855. Trading Buy 16 stocks: adro.jk, ggrm.jk, itmg.jk, asii.jk,jprs.jk,intp.jk,bbri.jk,bmri.jk,gjtl.jk,tins.jk,gzco.jk,sdra.jk,tmpi.jk,bhit.jk,mrat.jk,masa,jk Risk 3.5%, Reward >10%. Disclaimer on. Track Record IHSG: 13 Recommendations: (+20p+45p+73p+53+60p+45p+63p+0p+27p+50p-20p). P = Point.
*AUSTRALIA THERMAL COAL PRICES HIT $108 PER TONNE, 18- MONTH HIGH - GLOBALCOA
*AUSTRALIA THERMAL COAL PRICES HIT $108 PER TONNE, 18-
Monday, April 26, 2010
Daily Investment News Update
PT Jaya Pari Steel Tbk (JPRS) mencatatkan penurunan laba bersih unaudited 55,83% dari Rp78,544 juta pada kuartal pertama 2009 menjadi Rp11,929 miliar pada kuartal pertama 2010.
PT Jasa Marga Tbk (JSMR) mencatat kenaikan pendapatan 21,86% pada kuartal I 2010, dari Rp 820,55 miliar menjadi Rp 1 triliun. Volume lalu lintas transaksi juga tercatat naik 3,07% menjadi 226,5 juta kendaraan.
Global Emerging Market Ltd (GEM) segera menyuntikkan dana sebesar Rp 325 miliar ke PT Agis Tbk (TMPI). GEM akan menukarkan investasi tersebut ke dalam saham TMPI.
Rencana 'Stock Split' Saham BBRI Direkomendasi 'Buy'
Manajemen PT Bank Rakyat Indonesia (BBRI) berencana mengajukan aksi stock split saham 1:2 jika harga saham mencapai harga di atas Rp9.000/saham di kuartal II-2010.
Laba Bersih BTPN Naik 165% di Q1-2010
PT Bank Tabungan Pensiunan Nasional Tbk (BTPN) membukukan laba bersih unadited naik 165% atau Rp154,575 miliar pada kuartal pertama 2010.
Penjualan Batubara BUMI 16 MT di Q1 2010
PT Bumi Resources Tbk mencatatkan penjualan batubara sekitar 16 metrik ton pada kuartal pertama 2010.
PT Gunawan Dianjaya Steel Tbk (GDST) mencatatkan laba bersih Rp40,404 miliar pada akhir Maret 2010 setelah sebelumnya mencatatkan rugi Rp122,406 miliar pada akhir Maret 2009.
PT Benakat Petroleum Energy Tbk (BIPI) kembali dikabarkan tertarik mengakuisisi sebuat perusahaan kontraktor minyak dan gas bumi (migas).
Sejak munculnya kabar mengenai wacana akuisisi PT Indosiar Karya Media Tbk (IDKM) oleh Chairul Tanjung melalui Trans Corp, harga saham operator stasiun televisi swasta itu terus mencatatkan kenaikan cukup signifikan. Pada akhir transaksi sesi pertama Senin 26 April 2010, harga saham Indosiar menguat Rp 60 (25 persen) ke level Rp 300. Harga saham Indosiar tersebut telah mencapai batas atas kenaikan yang diizinkan, sehingga terkena penolakan transaksi secara otomatis (auto rejection).
PT Benakat Petroleum Energy Tbk (BIPI) kembali dikabarkan tertarik mengakuisisi sebuah perusahaan kontraktor minyak dan gas bumi (migas). Perseroan ingin membesarkan bisnisnya dengan memiliki saham Elnusa dan perusahaan lainnya. Karena itu, harga BIPI akan dikerek ke posisi Rp500 jangka pendek.
Beberapa broker dikabarkan bakal mengakumulasi saham PT Jaya Real Property Tbk (JRPT), karena harganya masih cukup murah dengan price earning ratio (PER) sanga rendah 6,6 kali dibandingkan sektornya yang telah mencapai 22,2 kali. Sementara itu, kinerja perseroan semakin bagus seiring membaiknya perekonomian nasional.
Sumber: Detikfinance.com, inilah.com, kontan.
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3316, 1.3278, 1.3240 and 1.3187(main), where correction is possible. Break would give 1.3331, where correction also may be. Then follows 1.3319. Break of the latter would result in 1.3303. If a strong impulse, we would see 1.3276. Continuation will give 1.3240 and 1.3187.
Today's resistance: - 1.3437, 1.3461 and 1.3507 (main). Break would give 1.3538, where a correction is possible. Then goes 1.3566. Break of the latter would result in 1.3595. If a strong impulse, we'd see 1.3616. Continuation will give 1.3637.
USD/JPY
Today's support: - 94.02, 93.60, 93.12 and 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 11126.28 and 11087.90(main), where a delay and correction may happen. Break of the latter will give 11058.46, where correction also can be. Then follows 11036.23. Be there a strong impulse, we shall see 10983.34. Continuation will bring 10945.30.
Today's resistance: - 11238.72(main), where a delay and correction may happen. Break would bring 11265.33, where a correction may happen. Then follows 11283.80, where a delay and correction could also be. Be there a strong impulse, we'd see 11317.50. Continuation would bring 11343.22.
Daily Forex Technicals | Written by India Forex
The EURUSD is currently trading at 1.3375 levels after touching a low of 1.3199 levels yesterday. Near term importers cover near 1.3000 -1.3200 levels. Bearish below 1.3650 levels and 1.30 looks most likely. (EURUSD - 1.3375).
GBPUSD is currently trading at 1.5425 levels. Near term imports are already covered for clients (refer last 18 days update) around 67- 68 levels. The bias is bearish further down. Exporters for April and May can cover atleast 50-60% at 1.54-1.55 levels i.e 68.30-68.60 levels. Breaking of 1.5300 levels would push the pair to 1.5150 levels. Weekly charts are showing downward correction. Bearish below 1.5600 levels. (GBPUSD 1.5425).
USDJPY is currently trading 94.20 levels. Yen is taking strong resistance near 94.20 breaking which we could target 97-98 levels. Weekly close above 92 levels has increased chances for a bearish move for the yen currency. Importers hold for medium term covers. (USDJPY- 94.20). Long Term (3-6 months) Target 98 and higher. WE JUST NEED A CONSISTENT BREAK OF 94.30 TO MAKE THIS HAPPEN.
AUDUSD is currently trading at 0.9277 levels. Importers cover on dips. Exporters in Aud may start booking from 0.9350 onwards partially. Since the Australian currency is overall hawkish and Gold is holding above $1135 dollars we would stay away from shorts. Buying on dips is recommended. (AUDUSD - 0.9277). Bullish.
Gold is currently trading at $1158 levels and its bias is clearly on the upside. Buy on dips remains is the strategy. (Gold- $1158) Bullish.
The dollar index, the sharp fall ahead of 82.24 resistance argues that medium term rally is not ready to resume yet. Consolidation from 82.24 might extend further with another fall and break of 81.04 minor support will flip intraday bias back to the downside for 80.04 support to conclude the consolidation. Though, decisive break of 82.24 will target next key fibonacci level of 61.8% retracement of 89.62 to 74.19 at 83.72 next.! (Dollar Index- 81.43) Bullish.
Asian Stock Index Faces ‘Major’ Resistance: Technical Analysis
(Bloomberg) -- An Asian stock index must overcome a support-turned-resistance line this week to maintain a rally or face a longer slump, according to CIMG Investment Bank Bhd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aUjxDs1Gt39Q
Regulation Won't 'Kill the Golden Goose': Mobius
Regulation in the financial industry will not "kill the golden goose", said Mark Mobius, Executive Chairman of Templeton Asset Management.
http://www.cnbc.com/id/36773566
Market Is 'Ripe For Correction' — But You Can Invest Here
The market is “ripe for a correction," but there are still areas where investors can make money, said Simon Goodfellow of ING Wholesale Banking. He shared his market outlook and best plays.
http://www.cnbc.com/id/36735243
Market Outlook: More Earnings With Wary Eye On Fed, Greece
Better corporate profits and economic news could keep the market humming, as long as the slow fuse on the Greek debt situation doesn't end with a bang.
http://www.cnbc.com/id/36746597
Gold May Gain as Dollar’s Rally Stalls, Boosting Metal’s Allure
(Bloomberg) -- Gold traded near the highest in more than a week as the dollar halted a rally against major counterparts, potentially boosting investment demand for the metal as an alternative asset.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a08cabR3xCy4
Palm Oil Climbs to Highest Since April 9, Tracking Oil’s Gain
(Bloomberg) -- Palm oil advanced as crude oil rose for a third day, boosting the appeal of vegetable oils used in biofuels, and after Godrej International Ltd. director Dorab Mistry said the tropical oil may advance in the second half.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aV69lEcKYNQs
Asian Currencies Climb to 2008 Highs as Region Leads Recovery
(Bloomberg) -- Asian currencies rose, with Taiwan’s dollar and South Korea’s won reaching the highest levels in at least 19 months, on speculation investors will plow more funds into local assets as the region leads a recovery.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ah.6Za3htokA
Crude Oil Weekly Technical Outlook
Nymex Crude Oil (CL)
Crude oil's rebound from 80.53 resumed towards the end after initial setback and closed strongly at 85.12. Further rise would be in favor to retest 87.09 high but after all, sustained break there is needed to confirm rally resumption. Otherwise, another fall would still be seen before consolidation from 87.09 concludes. On the downside, below 81.73 minor support will flip intraday bias back to the downside for 38.2% retracement of 69.50 to 87.09 at 80.37 or possibly further to 61.8% retracement at 76.22.
In the bigger picture, medium term rise from 33.20 is viewed as a correction to the whole correction that started at 2008 at 147.27. Our preferred view is that rise from 33.2 is in form of a three wave structure (73.23, 65.05, ?) and should be near to completion. Strong resistance is expected around 90 psychological level, which coincide with 50% retracement of 147.27 to 33.2 at 90.24 and 61.8% projection of 33.2 to 73.23 from 65.05 at 89.79, and bring reversal. Hence, even though another rally cannot be ruled out, upside potential should be limited. On the downside, break of 69.50 support will break the series of higher low pattern from 33.2 and will be an important indication that the trend has reversed. In such case, we'll turn bearish on crude oil and expect the then down trend to target a new low below 33.2.
In the long term picture, there is no change in the view that fall from 147.27 is part of the correction to the five wave sequence from 98 low of 10.65. While the rebound from 33.2 is strong and might continue, there is no solid evidence that suggest fall 147.27 is completed and we're still preferring the case that rebound from 33.2 is merely a corrective rise only. Having said that, strong resistance should be seen between 76.77/90.24 fibo resistance zone and bring reversal for another low below 33.2 before completing the whole correction from 147.27.
PT Jasa Marga Tbk (JSMR) mencatat kenaikan pendapatan 21,86% pada kuartal I 2010, dari Rp 820,55 miliar menjadi Rp 1 triliun. Volume lalu lintas transaksi juga tercatat naik 3,07% menjadi 226,5 juta kendaraan.
Global Emerging Market Ltd (GEM) segera menyuntikkan dana sebesar Rp 325 miliar ke PT Agis Tbk (TMPI). GEM akan menukarkan investasi tersebut ke dalam saham TMPI.
Rencana 'Stock Split' Saham BBRI Direkomendasi 'Buy'
Manajemen PT Bank Rakyat Indonesia (BBRI) berencana mengajukan aksi stock split saham 1:2 jika harga saham mencapai harga di atas Rp9.000/saham di kuartal II-2010.
Laba Bersih BTPN Naik 165% di Q1-2010
PT Bank Tabungan Pensiunan Nasional Tbk (BTPN) membukukan laba bersih unadited naik 165% atau Rp154,575 miliar pada kuartal pertama 2010.
Penjualan Batubara BUMI 16 MT di Q1 2010
PT Bumi Resources Tbk mencatatkan penjualan batubara sekitar 16 metrik ton pada kuartal pertama 2010.
PT Gunawan Dianjaya Steel Tbk (GDST) mencatatkan laba bersih Rp40,404 miliar pada akhir Maret 2010 setelah sebelumnya mencatatkan rugi Rp122,406 miliar pada akhir Maret 2009.
PT Benakat Petroleum Energy Tbk (BIPI) kembali dikabarkan tertarik mengakuisisi sebuat perusahaan kontraktor minyak dan gas bumi (migas).
Sejak munculnya kabar mengenai wacana akuisisi PT Indosiar Karya Media Tbk (IDKM) oleh Chairul Tanjung melalui Trans Corp, harga saham operator stasiun televisi swasta itu terus mencatatkan kenaikan cukup signifikan. Pada akhir transaksi sesi pertama Senin 26 April 2010, harga saham Indosiar menguat Rp 60 (25 persen) ke level Rp 300. Harga saham Indosiar tersebut telah mencapai batas atas kenaikan yang diizinkan, sehingga terkena penolakan transaksi secara otomatis (auto rejection).
PT Benakat Petroleum Energy Tbk (BIPI) kembali dikabarkan tertarik mengakuisisi sebuah perusahaan kontraktor minyak dan gas bumi (migas). Perseroan ingin membesarkan bisnisnya dengan memiliki saham Elnusa dan perusahaan lainnya. Karena itu, harga BIPI akan dikerek ke posisi Rp500 jangka pendek.
Beberapa broker dikabarkan bakal mengakumulasi saham PT Jaya Real Property Tbk (JRPT), karena harganya masih cukup murah dengan price earning ratio (PER) sanga rendah 6,6 kali dibandingkan sektornya yang telah mencapai 22,2 kali. Sementara itu, kinerja perseroan semakin bagus seiring membaiknya perekonomian nasional.
Sumber: Detikfinance.com, inilah.com, kontan.
Daily Forex Technicals | Written by FXtechtrade
EUR/USD
Today's support: - 1.3316, 1.3278, 1.3240 and 1.3187(main), where correction is possible. Break would give 1.3331, where correction also may be. Then follows 1.3319. Break of the latter would result in 1.3303. If a strong impulse, we would see 1.3276. Continuation will give 1.3240 and 1.3187.
Today's resistance: - 1.3437, 1.3461 and 1.3507 (main). Break would give 1.3538, where a correction is possible. Then goes 1.3566. Break of the latter would result in 1.3595. If a strong impulse, we'd see 1.3616. Continuation will give 1.3637.
USD/JPY
Today's support: - 94.02, 93.60, 93.12 and 92.70(main). Break would bring 92.46, where correction is possible. Then 92.14, where a correction may also happen. Break of the latter will give 91.63. If a strong impulse, we would see 91.46. Continuation would give 91.14 and 90.91.
Today's resistance: - 94.57(main), where a correction may happen. Break would bring 94.72, where also a correction may be. Then 94.96. If a strong impulse, we would see 95.16. Continuation will give 95.41.
DOW JONES INDEX
Today's support: - 11126.28 and 11087.90(main), where a delay and correction may happen. Break of the latter will give 11058.46, where correction also can be. Then follows 11036.23. Be there a strong impulse, we shall see 10983.34. Continuation will bring 10945.30.
Today's resistance: - 11238.72(main), where a delay and correction may happen. Break would bring 11265.33, where a correction may happen. Then follows 11283.80, where a delay and correction could also be. Be there a strong impulse, we'd see 11317.50. Continuation would bring 11343.22.
Daily Forex Technicals | Written by India Forex
The EURUSD is currently trading at 1.3375 levels after touching a low of 1.3199 levels yesterday. Near term importers cover near 1.3000 -1.3200 levels. Bearish below 1.3650 levels and 1.30 looks most likely. (EURUSD - 1.3375).
GBPUSD is currently trading at 1.5425 levels. Near term imports are already covered for clients (refer last 18 days update) around 67- 68 levels. The bias is bearish further down. Exporters for April and May can cover atleast 50-60% at 1.54-1.55 levels i.e 68.30-68.60 levels. Breaking of 1.5300 levels would push the pair to 1.5150 levels. Weekly charts are showing downward correction. Bearish below 1.5600 levels. (GBPUSD 1.5425).
USDJPY is currently trading 94.20 levels. Yen is taking strong resistance near 94.20 breaking which we could target 97-98 levels. Weekly close above 92 levels has increased chances for a bearish move for the yen currency. Importers hold for medium term covers. (USDJPY- 94.20). Long Term (3-6 months) Target 98 and higher. WE JUST NEED A CONSISTENT BREAK OF 94.30 TO MAKE THIS HAPPEN.
AUDUSD is currently trading at 0.9277 levels. Importers cover on dips. Exporters in Aud may start booking from 0.9350 onwards partially. Since the Australian currency is overall hawkish and Gold is holding above $1135 dollars we would stay away from shorts. Buying on dips is recommended. (AUDUSD - 0.9277). Bullish.
Gold is currently trading at $1158 levels and its bias is clearly on the upside. Buy on dips remains is the strategy. (Gold- $1158) Bullish.
The dollar index, the sharp fall ahead of 82.24 resistance argues that medium term rally is not ready to resume yet. Consolidation from 82.24 might extend further with another fall and break of 81.04 minor support will flip intraday bias back to the downside for 80.04 support to conclude the consolidation. Though, decisive break of 82.24 will target next key fibonacci level of 61.8% retracement of 89.62 to 74.19 at 83.72 next.! (Dollar Index- 81.43) Bullish.
Asian Stock Index Faces ‘Major’ Resistance: Technical Analysis
(Bloomberg) -- An Asian stock index must overcome a support-turned-resistance line this week to maintain a rally or face a longer slump, according to CIMG Investment Bank Bhd.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aUjxDs1Gt39Q
Regulation Won't 'Kill the Golden Goose': Mobius
Regulation in the financial industry will not "kill the golden goose", said Mark Mobius, Executive Chairman of Templeton Asset Management.
http://www.cnbc.com/id/36773566
Market Is 'Ripe For Correction' — But You Can Invest Here
The market is “ripe for a correction," but there are still areas where investors can make money, said Simon Goodfellow of ING Wholesale Banking. He shared his market outlook and best plays.
http://www.cnbc.com/id/36735243
Market Outlook: More Earnings With Wary Eye On Fed, Greece
Better corporate profits and economic news could keep the market humming, as long as the slow fuse on the Greek debt situation doesn't end with a bang.
http://www.cnbc.com/id/36746597
Gold May Gain as Dollar’s Rally Stalls, Boosting Metal’s Allure
(Bloomberg) -- Gold traded near the highest in more than a week as the dollar halted a rally against major counterparts, potentially boosting investment demand for the metal as an alternative asset.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=a08cabR3xCy4
Palm Oil Climbs to Highest Since April 9, Tracking Oil’s Gain
(Bloomberg) -- Palm oil advanced as crude oil rose for a third day, boosting the appeal of vegetable oils used in biofuels, and after Godrej International Ltd. director Dorab Mistry said the tropical oil may advance in the second half.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=aV69lEcKYNQs
Asian Currencies Climb to 2008 Highs as Region Leads Recovery
(Bloomberg) -- Asian currencies rose, with Taiwan’s dollar and South Korea’s won reaching the highest levels in at least 19 months, on speculation investors will plow more funds into local assets as the region leads a recovery.
http://www.bloomberg.com/apps/news?pid=newsarchive&sid=ah.6Za3htokA
Crude Oil Weekly Technical Outlook
Nymex Crude Oil (CL)
Crude oil's rebound from 80.53 resumed towards the end after initial setback and closed strongly at 85.12. Further rise would be in favor to retest 87.09 high but after all, sustained break there is needed to confirm rally resumption. Otherwise, another fall would still be seen before consolidation from 87.09 concludes. On the downside, below 81.73 minor support will flip intraday bias back to the downside for 38.2% retracement of 69.50 to 87.09 at 80.37 or possibly further to 61.8% retracement at 76.22.
In the bigger picture, medium term rise from 33.20 is viewed as a correction to the whole correction that started at 2008 at 147.27. Our preferred view is that rise from 33.2 is in form of a three wave structure (73.23, 65.05, ?) and should be near to completion. Strong resistance is expected around 90 psychological level, which coincide with 50% retracement of 147.27 to 33.2 at 90.24 and 61.8% projection of 33.2 to 73.23 from 65.05 at 89.79, and bring reversal. Hence, even though another rally cannot be ruled out, upside potential should be limited. On the downside, break of 69.50 support will break the series of higher low pattern from 33.2 and will be an important indication that the trend has reversed. In such case, we'll turn bearish on crude oil and expect the then down trend to target a new low below 33.2.
In the long term picture, there is no change in the view that fall from 147.27 is part of the correction to the five wave sequence from 98 low of 10.65. While the rebound from 33.2 is strong and might continue, there is no solid evidence that suggest fall 147.27 is completed and we're still preferring the case that rebound from 33.2 is merely a corrective rise only. Having said that, strong resistance should be seen between 76.77/90.24 fibo resistance zone and bring reversal for another low below 33.2 before completing the whole correction from 147.27.
The Elliott Waves Weekly Select
Will a New Catalyst Move the Stock Market?
If There's a "Secret" Behind Stock Market Movements -- We Present It Here
Do investors expect the Securities and Exchange Commission's allegations against Goldman Sachs to be the straw which breaks the stock market's back? Or will future accusations against other financial institutions be the trigger? Neither?
http://www.elliottwave.com/freeupdates/archives/2010/04/23/Will-a-New-Catalyst-Move-the-Stock-Market.aspx
Goldman Sachs Company Charged With Fraud: Who Could Have Guessed? Part II
The firm's history suggests its vulnerability in periods of negative social mood.
In the November 2009 issue of Elliott Wave International's monthly Elliott Wave Financial Forecast, co-editors Steven Hochberg and Peter Kendall published a careful study of Goldman Sachs company history -- and made a sobering forecast for the firm's future.
http://www.elliottwave.com/freeupdates/archives/2010/04/20/Goldman-Sachs-Charged-With-Fraud-Who-Could-Have-Guessed-Part-II.aspx
Goldman Sachs Company Charged With Fraud: Who Could Have Guessed? Part III
Special Section: A Flickering Financial Star, Part III
With the market’s downtrend recently in abeyance, these transgressions failed to capture the imagination of the public or the scrutiny of law enforcement. But the extreme recriminatory power of the next leg down in social mood suggests that Goldman’s dealings will become a lighting rod for public discontent.
http://www.elliottwave.com/freeupdates/archives/2010/04/22/Goldman-Sachs-Company-Charged-With-Fraud-Who-Could-Have-Guessed-Part-III.aspx
How to Channel an Impulse Wave on a Price Chart
How do you choose one lesson from a basic tutorial that is chock-full of excellent information about Elliott wave analysis? You could browse through all 50 sections distributed over 10 lessons. Or you could do what some people do when they open a dictionary: let the book fall open and point your finger at a word. Sometimes you learn more from a random search than a deliberate one.
http://www.elliottwave.com/freeupdates/archives/2010/04/22/How-to-Channel-an-Impulse-Wave-on-a-Price-Chart-.aspx
If There's a "Secret" Behind Stock Market Movements -- We Present It Here
Do investors expect the Securities and Exchange Commission's allegations against Goldman Sachs to be the straw which breaks the stock market's back? Or will future accusations against other financial institutions be the trigger? Neither?
http://www.elliottwave.com/freeupdates/archives/2010/04/23/Will-a-New-Catalyst-Move-the-Stock-Market.aspx
Goldman Sachs Company Charged With Fraud: Who Could Have Guessed? Part II
The firm's history suggests its vulnerability in periods of negative social mood.
In the November 2009 issue of Elliott Wave International's monthly Elliott Wave Financial Forecast, co-editors Steven Hochberg and Peter Kendall published a careful study of Goldman Sachs company history -- and made a sobering forecast for the firm's future.
http://www.elliottwave.com/freeupdates/archives/2010/04/20/Goldman-Sachs-Charged-With-Fraud-Who-Could-Have-Guessed-Part-II.aspx
Goldman Sachs Company Charged With Fraud: Who Could Have Guessed? Part III
Special Section: A Flickering Financial Star, Part III
With the market’s downtrend recently in abeyance, these transgressions failed to capture the imagination of the public or the scrutiny of law enforcement. But the extreme recriminatory power of the next leg down in social mood suggests that Goldman’s dealings will become a lighting rod for public discontent.
http://www.elliottwave.com/freeupdates/archives/2010/04/22/Goldman-Sachs-Company-Charged-With-Fraud-Who-Could-Have-Guessed-Part-III.aspx
How to Channel an Impulse Wave on a Price Chart
How do you choose one lesson from a basic tutorial that is chock-full of excellent information about Elliott wave analysis? You could browse through all 50 sections distributed over 10 lessons. Or you could do what some people do when they open a dictionary: let the book fall open and point your finger at a word. Sometimes you learn more from a random search than a deliberate one.
http://www.elliottwave.com/freeupdates/archives/2010/04/22/How-to-Channel-an-Impulse-Wave-on-a-Price-Chart-.aspx
Top 16 Stock's Recommendation & IHSG in wave 5 already?
IHSG menunjukkan buying power yg kuat,breakout flag target 2945, kemungkinan proses 5/5) (sesuai dengan E.W DJIA di 5/5), setelah breakout resist line 2916, untuk target 2965/2992. Trend berbalik bearish jika indeks ditutup dibawah 2916. dapat picu aksi profit taking dan dapat memicu 4/5 belum berakhir. Resist di 2942/2965. Support berada di 2900/2916. 21.04. Closed buy IHSG 2.907. Profit +50 point. Hold buy break 2917 target 2965/2992 stop 20p, sell break 2890 done -20p. Sell break 2900 tgt 2855. Trading Buy 16 stocks: mncn.jk, bhit.jk,dgik.jk,bksl.jk,bmri.jk,asii.jk,itmg.jk,klbf.jk,rals.jk,nikl.jk. Risk 3.5%, Reward >10%. Disclaimer on. Track Record IHSG: 13 Recommendations: (+20p+45p+73p+53+60p+45p+63p+0p+27p+50p-20p). P = Point.