popcorn im holding call and put, no common stock at all... yes short term(1-2 weeks) trend not clear, but most probably we will see the biggest event of economy down turn in world history... very soon
well fed rise rate, only the fastest way to pin down EM... still in nearly future more event to pin down EM...
yupe china economist look don't want to gamble their future by GORENG INDEX SUDDENLY.... they play carefully and wise, like fishing... they try to strengthen and focus to root problem compare to look good from outside, i think they play long strategy...
i play long more safe, after calculating volatile risk nowadays, better for me to trade call and put in long run... sometimes play contra too while riding the wave
From the statement posted, it is fact that the foreign funds were the net buyers last week and next week the trend should be the same. Those who claims that foreign funds are all leaving Malaysia stock market is just bluffing without facts.
so sad, many dont know how FF actually operate, they buy and dispose like retailers also.... so doesn't means data 2 days, nett buy they are back... they can suddenly dispose too, from my analysis FF net buy to cover shorting, so means if this continue, another pull back will appear...
Yes, last drop the king bear didn't come out yet..maybe just its army..I believe the next drop king bear join the battle to kill the bull..how soon..no one knows ..but if u look at US DJ..it has been increasing for the past years..which I think I over valued.. Recession is coming.
taiping bear, if u believed polar bear will escape soon, why dont inform as many retailers in here, so people will trade with cautious? why we need to promote people buy, if we know there will be sudden drop?
I think most of the ppl here no longer holding c12 except ivan, I guess..
Yea, no point sharing negative view here, one day u will come say buy c12.. Like you said, u made 1k everyday, don think u everyday buy put warrant lo..
Dj has complete it sourcer top..will move further down further soon..klse then to follow mostly us market behavior.short trade to sapu profit opertunity, avoid keeping for long esp the non div pay stocks
when djia 16000 again, will trigger massive selling, i dont think investor in usa gonna stay after reading all the slow down data... for what reason they need to stay?
i dont know ik059, but i think all the evidence of market share will crash is complete, just waiting time... its like time bomb, i dont think in current situation people willing to be the last holder... mmmm lets wait
Mr Cyborg , please spread all the virus in HK thread . I will advised you ....if you really need my help . First , are you buying HK or H5 above 0.42 & 0.35 cents respectively. Have you keep averaging up your price ? Are you sai lang all your capitals in Putties ? If yes , please let me know the units & price .
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....
popcorn
1,625 posts
Posted by popcorn > 2015-09-19 20:09 | Report Abuse
Cyborg must hold a lot of put warrants, he keep saying KLSE will down...
trend still not clear...