Morgan Stanley Global Debates Playbook
2011 Outlook: Rebalancing Toward the Positive
http://www.ziddu.com/download/13287996/Global_Debates_Playbook_2011_outlook_Rebalancing.pdf.html
BNP Market Outlook 2011
http://www.ziddu.com/download/13287740/MarketOutlook2011BNPAribas.pdf.html
Credit Suisse Global Equity Strategy 2011
http://www.ziddu.com/download/13287845/CS_GES_101208_2011Outlook.pdf.html
Merrill Lynch 2011 Commodity Outlook
http://www.ziddu.com/download/13287974/2011CommodityOutlook.pdf.html
Commodities 2011 Outlook: A Commodity Bull Market
http://www.ziddu.com/download/13287924/COMMODITIES_2011_OUTLOOK.pdf.html
Asia/GEMs Strategy 2011 Outlook: Slowing Growth, Rising Inflation and Higher Policy Rates = Less Bullish than Consensus
http://www.ziddu.com/download/13287699/GEMS_WEEKLY_OUTLOOK_V5_FINAL.pdf.html
FX Pulse: 2011 Outlook
How Much Further Can the Can Be Kicked?
http://www.ziddu.com/download/13287595/FX_Pulse_09Dec10_RI.pdf.html
Global FX Strategy 2011
http://www.ziddu.com/download/13287655/JPM-Global-Fx-2011.pdf.html
Blog milik Andri Zakarias Siregar, Analis, Trader, Investor & Trainer (Fundamental/Technical/Flowtist/Bandarmologi: Saham/FX/Commodity), berpengalaman 14 tahun. Narasumber: Berita 1 First Media, Channel 95 MNC(Indovision), MetroTV, ANTV, Bloomberg BusinessWeek, Investor Today, Tempo, Trust, Media Indonesia, Bisnis Indonesia, Seputar Indonesia, Kontan, Harian Jakarta, PasFM, Inilah.com, AATI-IFTA *** Semoga analisa CTA & informasi bermanfaat. Happy Zhuan & Success Trading. Good Luck.
Friday, January 7, 2011
Thursday, January 6, 2011
2011 Outlook: Citigroup, Blackrock, Morgan Stanley, BNP Paribas, Merrill Lynch, Credit Suisse, JP Morgan (Part 1)
Credit Suisse Commodity Outlook
http://issuu.com/calverinosantanael/docs/cs_2011_commodity_outlook_131210?showEmbed=true
CPO Malaysia
http://issuu.com/calverinosantanael/docs/malaysia_cpo_291210
Credit Suisse Monthly Report (Des - Jan 2011)
https://www.credit-suisse.com/uk/privatebanking/services/doc/research_monthly.pdf
Citigroup Investment Pulse 2011
http://www.pdf-finder.com/Global-equities-looking-to-advance-in-2011.html
Citigroup Commodity Pulse Des 2010
http://docs.google.com/gview?url=http://www.citibank.com.hk/global_docs/investments/invpul.pdf&chrome=true
UN: World Economic Situation and Prospects 2011
http://www.pdf-finder.com/World-Economic-Situation-and-Prospects-2011.html
Blackrock Equity Outlook 2011
http://www.globalinvestormagazine.com/Article/2740777/Regions/26312/Global-outlook-positive-despite-challenges.html
Morgan Stanley Economic Outlook
http://www.pdf-finder.com/Asset-Allocation-and-Strategy-Commentary.html
Morgan Stanley - Global Debates Playbook: 2011 Outlook, BNP Paribas, Merrill Lynch, Credit Suisse, JP Morgan are next
http://issuu.com/calverinosantanael/docs/cs_2011_commodity_outlook_131210?showEmbed=true
CPO Malaysia
http://issuu.com/calverinosantanael/docs/malaysia_cpo_291210
Credit Suisse Monthly Report (Des - Jan 2011)
https://www.credit-suisse.com/uk/privatebanking/services/doc/research_monthly.pdf
Citigroup Investment Pulse 2011
http://www.pdf-finder.com/Global-equities-looking-to-advance-in-2011.html
Citigroup Commodity Pulse Des 2010
http://docs.google.com/gview?url=http://www.citibank.com.hk/global_docs/investments/invpul.pdf&chrome=true
UN: World Economic Situation and Prospects 2011
http://www.pdf-finder.com/World-Economic-Situation-and-Prospects-2011.html
Blackrock Equity Outlook 2011
http://www.globalinvestormagazine.com/Article/2740777/Regions/26312/Global-outlook-positive-despite-challenges.html
Morgan Stanley Economic Outlook
http://www.pdf-finder.com/Asset-Allocation-and-Strategy-Commentary.html
Morgan Stanley - Global Debates Playbook: 2011 Outlook, BNP Paribas, Merrill Lynch, Credit Suisse, JP Morgan are next
Tuesday, January 4, 2011
CLSA Fengshui Index 2010 Stock Chart + January Effect 2011
Next is Fengshui Metal Rabbitt Year 2011
From: one of the best analyst using W.D Gann Analysis in Singapore.
2009 Yin Earth Ox (Earth)
2010 Yang Metal Tiger (Wood)
2011 Yin Metal Rabbit (Wood)
2012 Yang Water Dragon (Earth)
2013 Yin Water Snake (Fire)
2014 Yang Wood Horse (Fire)
2015 Yin Wood Goat (Earth)
2016 Yang Fire Monkey (Metal)
2017 Yin Fire Roaster (Metal)
2009 Yin Earth Ox (Earth)
2010 Yang Metal Tiger (Wood)
2011 Yin Metal Rabbit (Wood)
2012 Yang Water Dragon (Earth)
2013 Yin Water Snake (Fire)
2014 Yang Wood Horse (Fire)
2015 Yin Wood Goat (Earth)
2016 Yang Fire Monkey (Metal)
2017 Yin Fire Roaster (Metal)
Jan 3 Weekly:
Fengshui: Market unlikely to see strength this week. Jan 3 & 7 likely volatile. Financial Astrology: Sharp decline likely ahead. Watch Jan 4 and 7.
Jan 4 2011 – Solar eclipse, New Moon, Jupiter Uranus Conjunction.
Technical Analysis: US markets: Waiting for sell signals to confirm the start of Wave C down.
January: Earth Cow 04 January - 04 February
GOOD MONTH
Lucky days: 06, 11, 16, 18, 20, 23, 27 and 30 January
Unlucky days: 04, 09, 17, 21, 28 and 29 January; 02 February
There’s a good bit of bounce left in the bourse (16 January looks especially scintillating) before the Metal Tiger taps the Metal Rabbit and hightails it. The bonny bunny will bring many more hop-portunities; in preparation, clear your closets of any clothing you’d think twice about wearing, and adopt a programme of vigorous and even violent exercise. This is a terrific time for travel, but don’t stray too far from home. It’s true that money can’t buy you love (except the sordid sort) but it’s jolly handy to have about. May the Metal Tiger pounce on plenty for you this year and fill your boots to the very top buckle. To paraphrase Blake: ‘Tiger, Tiger, earn me right . . .’
CLSA Feng Shui Market 2010:
http://www.ziddu.com/download/13314711/FSI-2010.pdf.html
Below is a summary of the forecasts for the possible end of Bear Market or start of next Bull Market:
- The Joseph Cycle Analysis – 2014 bottom
- Technical Analysis – 2014 to 2016 bottom
- Financial or Stock Market Astrology Analysis – 2010 to 2015 bottom
- Fengshui Analysis – 2014 start of Bull Market
- About 8 years of general bear market (both commodities and equities)
- Commodities likely to bottom in 2013
- Stocks (nominal terms) likely to bottom in 2014
- Stocks (real dollar terms) likely to bottom in 2016
Monday, January 3, 2011
Info New Combo Technical Analysis 2011
Mulai Januari 2011, blog Globalmarketstrategist.blogspot.com akan dihentikan, setelah mendapatkan banyak permintaan, CTA (Fundamental (Macro & Micro > valuasi) - Technical (Elliott wave/Gann/Market Profile/Dow Theory/7 Fibo) - Flowtist - Sentiment - Bandarmologi - Education) akan membuat web dengan format baru untuk member yang dikenakan charge, dengan keuntungan mengikuti free & seminar CTA (Khusus member CTA), discount untuk workshop CTA & private in house CTA, analisa CTA harian/mingguan/bulanan top 9 (termasuk on request: bobot 85% Saham - 5% indeks saham futures - 5% Forex - 5% Commodity), IPO (the 1st technical analysis in Indonesia), Special Report, Special Report dari analyst global (EW/Macro/Feng Shui/Astrology/Strategist), prediksi Bola (Piala Asia 2011/Sea Games 2011/Olimpiade 2012/Euro 2012/World Cup 2014, etc), konsultasi Q&A, hingga rekomendasi by SMS/BBM/YM (program berikutnya), konsultasi trading - investasi.
Paket 3 Bulan: Rp. 700.000
Paket 6 Bulan: Rp. 1.200.000
The Workshop Combo Technical Analysis (CTA) Saham:
http://globalmarketstrategist.blogspot.com/2010/11/coming-soon-workshop-combo-technical.html
Harga Paket Member CTA:
Paket 1 Bulan: Rp. 300.000Paket 3 Bulan: Rp. 700.000
Paket 6 Bulan: Rp. 1.200.000
The Workshop Combo Technical Analysis (CTA) Saham:
http://globalmarketstrategist.blogspot.com/2010/11/coming-soon-workshop-combo-technical.html
Untuk informasi lebih lanjut, dapat dilihat di blog ini (globalmarketstrategist.blogspot.com).
The Last of Track Records Combo Technical Analysis 2010
IHSG Track Record (since end of March 2010) : 76 Recommendations (57 Profits: 3x (sebelumnya 26 x profit berturut-turut); 4 Break Even: 15 Loss) = (+20p+45p+73p+53+60p+45p+63p+0p+27p+50p-20p+13p+40p+45p+40p+29p-30p-154p-75p+80p+26p+0p+28p+80p+62p+53p+20p+0p+70p+99p+135p-20p-30p+50p+60p+100p+0p-55p-30p+59p-30p-20p-30p-30p+45p+70p+74p+57p+35p+50p+50p-30P+20P+20P+35P+54P+60P+40P+58P+3P+50P+5P+55P+5P+55P+23P+60P+15P-45P+100P+85P+65P). Total : Net +2334 points = Average 30.71 point.
++++++++++++++++++++++++++++++++++++++++
DJIA Track record (since end of March 2010) : 61 Recommendations (34 Profits: 27 Loss) (-65p-30p+370p + 280p+190p-30p+230p-30p+120p+200p-40p+280p+198p+205p+110p-30p+70p+200p+150p-50p-30p-30p-30p+145p-50p-30p+175p-50p-50p-60p-50p-50p+225p+100p-55p+100p+380p+220p+230p-100p-60p+265p+20p+80P+90P+130P-30P+50P-50P-50P+100P+20P+225P+250P+180P-50P-50P-50P-50P+165P-50P-50P-50P-50P+170P+300P+200P+200P). Total Net +5.008 points = Average +79.49 points/trade.
**********
Hasil gross profit CTA di tahun 2010:
CTA Closing 08 Agustus (27 saham = +280% Yield) + CTA 2 September (+22 saham = +315%) + CTA Nov - Des (69 saham = +560% Yield) = Total +1.120% Yield.
Tidak termasuk :
*** Technical Chart Saham 2010:
http://globalmarketstrategist.blogspot.com/search/label/Technical%20Chart%20IPO
*** Technical Chart IPO:
http://globalmarketstrategist.blogspot.com/search/label/Technical%20Chart%20IPO
*********
Technical Chart Saham CTA Sebelumnya: Hold BUY (09/11) SMCB (2.525).(19/11): AALI (24.000/24.400)/DOID (1.090)/ITMG (49.450)/CNKO (153)/BRAU (510).(22/11): PBRX (1.270-1.330)/ MEDC (3.600)/ADRO (2.450). (23/11): HEXA (7100)/MASA (320)/JSMR (3.500). (24/11) KRAS (1220)/BJBR (1520-1540)/BNII (650) = Done
++++++++++++++++++++++++++++++++++++++
Technical Chart Saham Periode Nov - Des 2010 (link di sebelah kanan bawah): Total 69 Saham:
Hold Buy (56 Saham): AALI (24.200)/ADRO (2.400)/BUMI (2.850)BLTA (330)/MASA (320)/PBRX (1.270)/BNII (630-650)/KRAS (1.200)/BNBR (73)/JSMR (3.375)/BRAU (510)/CNKO (168)/ITMG (49.700)/SIPD (68)/ENRG (135)/UNSP (385)/ICBP (4.500-4.525)/SMCB (2.375-2.400)/BMTR (580-600)/CMNP (1.400)/DGIK (105-106)/ELSA (350)/TRUB (84/85)/SDRA (275)/DILD (410)/PNBN (1.120-1.130)/SOBI (3.300)/TPIA (3.000)/SMMA (1.980-2.000)/DOID (1.340-1.350)/TLKM (7.800)/ASII (49.650)/BUMI (2-2.850)/ADRO (2-2.500)/BMRI (6.250)/BBRI (10.000)/BBNI (3.650)/BDMN (5.600-5.650)/BBTN (1.570)/NIKL (420)/BWPT (1.150-1.160)/JPRS (560)/ADHI (900)/PTPP (750 & 780)/WIKA (690)/ELTY (155-158)/BHIT (160-163)/CTRA (335)/KRAS (1.150)/ASRI (290)/MLPL (295)/BBNI (3.850/3.875)/KKGI (3.600)/ASII (53.600)/BBRI (10.500/10.600).
Rec Loss (13 saham): ASII/BRNA/BJBR/SMCB/MEDC/POLY/BHIT/ICBP/CPIN/HEXA/BNGA/MPPA/MLPL
++++++++++++++++++++++++++++++++++++++++
Close all position (04/08): Mayoritas profit diatas 15% sejak (19/07).
Sep 2 2010, 4:07 PM Gallery Saham Mania
HOLD BUY (liat chat roll): MASA: Buy breakout Fibo (23/09) at 380 target 440/500/MEDC: Buy (22/09) 3.150 target 3.400 (tercapai)/4.400 stop loss dibawah 2950/Buy ASII (21/09) 55.600 target 63.000/80.000/@ENRG Buy Breakout 125 (22/09) target 190/Buy (21/09) BWPT @910 target 1.030 (tercapai)-1.250/ ELSA @345 target 370-420/BUMI @1.960 (20/09) target 2.150 (tercapai)/2.350 (tercapai)/ CPIN @6.900 (15/09) target 10.350/ PGAS @ 3.950-4.000 (15/09) target 4.700/5.800/INDF @5.100 (15/09) 6.050-7.350/INCO @4.475 (15/09) target 5.300/6.500 (Upgrade)/BRAU (19/08) @420 & 455 tgt 485-500 (Tercapai)/JPFA @2.225 (A) tgt 3.000-3.500 (tercapai)/SOBI @2.325 tgt 2.750-3.200 (tercapai)/BLTA @240 tgt 265-280 (tercapai)/UNVR @16900 tgt 18.500/GJTL @1.760 tgt 2300 (Tercapai)/RALS @840 tgt 1050-1400/MAPI @1130 tgt 1625 (tercapai)-2285/BBKP @730 tgt 850-930/TPIA @2600 (-10%)/MYOR @8200 tgt 10.800 (tercapai)/BNGA @1260 tgt 1340 (Tercapai)-1.560/JSMR @2.925 tgt 3.325 (Tercapai)/BUMI @1.655 (A) tgt 1.780-1.840 (tercapai)/ADRO @1.825 (A) tgt 1.940 (tercapai). Stop loss < -7%.
Pohon Saham Mania: globalmarketstrategist.blogspot.com
++++++++++++++++++++++++++++++++++++++++
DJIA Track record (since end of March 2010) : 61 Recommendations (34 Profits: 27 Loss) (-65p-30p+370p + 280p+190p-30p+230p-30p+120p+200p-40p+280p+198p+205p+110p-30p+70p+200p+150p-50p-30p-30p-30p+145p-50p-30p+175p-50p-50p-60p-50p-50p+225p+100p-55p+100p+380p+220p+230p-100p-60p+265p+20p+80P+90P+130P-30P+50P-50P-50P+100P+20P+225P+250P+180P-50P-50P-50P-50P+165P-50P-50P-50P-50P+170P+300P+200P+200P). Total Net +5.008 points = Average +79.49 points/trade.
**********
Hasil gross profit CTA di tahun 2010:
CTA Closing 08 Agustus (27 saham = +280% Yield) + CTA 2 September (+22 saham = +315%) + CTA Nov - Des (69 saham = +560% Yield) = Total +1.120% Yield.
Tidak termasuk :
*** Technical Chart Saham 2010:
http://globalmarketstrategist.blogspot.com/search/label/Technical%20Chart%20IPO
*** Technical Chart IPO:
http://globalmarketstrategist.blogspot.com/search/label/Technical%20Chart%20IPO
*********
Technical Chart Saham CTA Sebelumnya: Hold BUY (09/11) SMCB (2.525).(19/11): AALI (24.000/24.400)/DOID (1.090)/ITMG (49.450)/CNKO (153)/BRAU (510).(22/11): PBRX (1.270-1.330)/ MEDC (3.600)/ADRO (2.450). (23/11): HEXA (7100)/MASA (320)/JSMR (3.500). (24/11) KRAS (1220)/BJBR (1520-1540)/BNII (650) = Done
++++++++++++++++++++++++++++++++++++++
Technical Chart Saham Periode Nov - Des 2010 (link di sebelah kanan bawah): Total 69 Saham:
Hold Buy (56 Saham): AALI (24.200)/ADRO (2.400)/BUMI (2.850)BLTA (330)/MASA (320)/PBRX (1.270)/BNII (630-650)/KRAS (1.200)/BNBR (73)/JSMR (3.375)/BRAU (510)/CNKO (168)/ITMG (49.700)/SIPD (68)/ENRG (135)/UNSP (385)/ICBP (4.500-4.525)/SMCB (2.375-2.400)/BMTR (580-600)/CMNP (1.400)/DGIK (105-106)/ELSA (350)/TRUB (84/85)/SDRA (275)/DILD (410)/PNBN (1.120-1.130)/SOBI (3.300)/TPIA (3.000)/SMMA (1.980-2.000)/DOID (1.340-1.350)/TLKM (7.800)/ASII (49.650)/BUMI (2-2.850)/ADRO (2-2.500)/BMRI (6.250)/BBRI (10.000)/BBNI (3.650)/BDMN (5.600-5.650)/BBTN (1.570)/NIKL (420)/BWPT (1.150-1.160)/JPRS (560)/ADHI (900)/PTPP (750 & 780)/WIKA (690)/ELTY (155-158)/BHIT (160-163)/CTRA (335)/KRAS (1.150)/ASRI (290)/MLPL (295)/BBNI (3.850/3.875)/KKGI (3.600)/ASII (53.600)/BBRI (10.500/10.600).
Rec Loss (13 saham): ASII/BRNA/BJBR/SMCB/MEDC/POLY/BHIT/ICBP/CPIN/HEXA/BNGA/MPPA/MLPL
++++++++++++++++++++++++++++++++++++++++
Close all position (04/08): Mayoritas profit diatas 15% sejak (19/07).
Sep 2 2010, 4:07 PM Gallery Saham Mania
HOLD BUY (liat chat roll): MASA: Buy breakout Fibo (23/09) at 380 target 440/500/MEDC: Buy (22/09) 3.150 target 3.400 (tercapai)/4.400 stop loss dibawah 2950/Buy ASII (21/09) 55.600 target 63.000/80.000/@ENRG Buy Breakout 125 (22/09) target 190/Buy (21/09) BWPT @910 target 1.030 (tercapai)-1.250/ ELSA @345 target 370-420/BUMI @1.960 (20/09) target 2.150 (tercapai)/2.350 (tercapai)/ CPIN @6.900 (15/09) target 10.350/ PGAS @ 3.950-4.000 (15/09) target 4.700/5.800/INDF @5.100 (15/09) 6.050-7.350/INCO @4.475 (15/09) target 5.300/6.500 (Upgrade)/BRAU (19/08) @420 & 455 tgt 485-500 (Tercapai)/JPFA @2.225 (A) tgt 3.000-3.500 (tercapai)/SOBI @2.325 tgt 2.750-3.200 (tercapai)/BLTA @240 tgt 265-280 (tercapai)/UNVR @16900 tgt 18.500/GJTL @1.760 tgt 2300 (Tercapai)/RALS @840 tgt 1050-1400/MAPI @1130 tgt 1625 (tercapai)-2285/BBKP @730 tgt 850-930/TPIA @2600 (-10%)/MYOR @8200 tgt 10.800 (tercapai)/BNGA @1260 tgt 1340 (Tercapai)-1.560/JSMR @2.925 tgt 3.325 (Tercapai)/BUMI @1.655 (A) tgt 1.780-1.840 (tercapai)/ADRO @1.825 (A) tgt 1.940 (tercapai). Stop loss < -7%.
Pohon Saham Mania: globalmarketstrategist.blogspot.com
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