apa cerita sini ? ini hari market hantu ah? semua kaunter takda jalan!....Lai...lai...lai-O....kita kasi hantam itu 0.485..0.49..0.495...ini kaunter manyak bagus oh....beli janji untung lumayan !!!
1. receivables, deposits & prepayments have increased by >50% compared to 1st quarter. Bad payment collection? 2. lower sales of rm11.3m from property segment 3. derivative loss of rm2.1m 4. Quarter to quarter comparison, revenue dropped 18% but pbt dropped 41%....
I thought they export > 50% of their furniture? forex gain doesn't help? appreciate if any sifu could enlighten me.
apa cerita sini??...wah...manayak murah hari ini...takda orang mau belikah?..keputusan tak baik ke? siapa kisah? orang sudah masuk sgreement mau buat bisnes besar-besaran...kan share investment tengok masa depan? sibab itu ada P/E ratio....lu orang takda paham ke?...huiyo...gua bagi lu chance beli dulu...nanti gua kasi hantam naik kow-kow....
as i said, he is most lousy compare to previous few.
1)he doesnt know anything about chart or TA. 2) his fundamental analysis is purely cut and paste from various source. none of his own input except his wild bullish fantasy claim. (refer GOB) 3) he doesnt understand stock market, he think its like kindergarden math. ie. he has said NTA is 3.00 means stock will goto 3.00, such dangerous assumption many had warn him earlier. ask kcloh.
4) he equal GDV with the company turnover. super laughdie concept.
Optimusprime..thanks for plabs..I buy it at 0.22 cent and sold already..just bought this syf at 0.485 could u suggests me what to do..as I just play stock less than a month
no gone case. the company still strong. very solid in fundamentals. still making money. only make less money in its latest report. far from bankrupt. time to buy more. where can you find this price at .440-.445 for syf. Buffett warren says when people don't want we take, when people want we give
Actually the result doesn't drop much (7%), this is acceptable but the problem is ppl expect booming result will out. As a shareholder myself feel very disappointing about this. After analyze the report I found out that the company did a very big mistake on the currency exchange hedging. High probably the company was betting USD to depreciate, that the main reason SYF recorded millions+ losses. My opinion is if you are a genuine investor you should hold SYF at least for 1-2 years, there are few projects is going on until FY2016-2017. We could only see the fruits after one and half years, be patient, and watch the show. Frankly speaking, in short term you will not see any surprise happen.
This book is the result of the author's many years of experience and observation throughout his 26 years in the stockbroking industry. It was written for general public to learn to invest based on facts and not on fantasies or hearsay....
damon96
56 posts
Posted by damon96 > 2015-03-26 23:04 | Report Abuse
Hows the warrant