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【BNASTRA 7195 交流专区】(前名COMCORP)

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发表于 4-2-2016 02:36 AM | 显示全部楼层
Type
Announcement
Subject
TRANSACTIONS (CHAPTER 10 OF LISTING REQUIREMENTS)
NON RELATED PARTY TRANSACTIONS
Description
COMINTEL CORPORATION BHD ("Comcorp" or "the Company")Proposed Acquisition of Thirty per cent (30%) equity interest in Comlenia Sdn Bhd "(Comlenia") from SELEX Sistemi Integrati S.p.A. In Liquidazione ("SELEX") ("Proposed Acquisition")
The Board of Directors of Comcorp wishes to announce that Comintel Sdn Bhd (“Comintel”), a wholly-owned subsidiary of Comcorp have on even date  entered into a Share Purchase Agreement (“SPA”) with SELEX Sistemi Integrati S.p.A In Liquidazione (“SELEX”) to purchase four hundred and fifty thousand  (450,000) ordinary shares (“Sale Shares”) of Ringgit Malaysia One each (“RM1.00) representing thirty per cent (30%) equity interest in Comlenia Sdn Bhd (“Comlenia”) for a total cash consideration of Ringgit Malaysia Five Hundred and Forty Thousand (RM540,000.00) (“Purchase Consideration”)

Please refer to the attachment for details of the Proposed Acquistion.

This announcement is dated 3 February 2016.
http://www.bursamalaysia.com/market/listed-companies/company-announcements/4993709
Attachments

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发表于 25-3-2016 03:12 AM | 显示全部楼层
本帖最后由 icy97 于 29-3-2016 04:03 AM 编辑

SUMMARY OF KEY FINANCIAL INFORMATION
31 Jan 2016
INDIVIDUAL PERIOD
CUMULATIVE PERIOD
CURRENT YEAR QUARTER
PRECEDING YEAR
CORRESPONDING
QUARTER
CURRENT YEAR TO DATE
PRECEDING YEAR
CORRESPONDING
PERIOD
31 Jan 2016
31 Jan 2015
31 Jan 2016
31 Jan 2015
$$'000
$$'000
$$'000
$$'000
1Revenue
109,312
85,206
377,223
309,537
2Profit/(loss) before tax
8,295
759
15,739
-1,642
3Profit/(loss) for the period
6,106
708
13,156
-1,761
4Profit/(loss) attributable to ordinary equity holders of the parent
6,297
628
13,892
-1,342
5Basic earnings/(loss) per share (Subunit)
4.50
0.45
9.92
-0.96
6Proposed/Declared dividend per share (Subunit)
0.00
0.00
0.00
0.00


AS AT END OF CURRENT QUARTER
AS AT PRECEDING FINANCIAL YEAR END
7
Net assets per share attributable to ordinary equity holders of the parent ($$)
0.7956
0.6933

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发表于 30-3-2016 04:48 AM | 显示全部楼层
Type
Announcement
Subject
TRANSACTIONS (CHAPTER 10 OF LISTING REQUIREMENTS)
NON RELATED PARTY TRANSACTIONS
Description
COMINTEL CORPORATION BHD (Comcorp or the Company)Proposed Acquisition of Thirty per cent (30%) equity interest in Comlenia Sdn Bhd (Comlenia) from SELEX Sistemi Integrati S.p.A. In Liquidazione (SELEX) (Proposed Acquisition)
Further to our announcement dated 3 February 2016 in relation to the Share Purchase Agreement (“SPA”) with SELEX Sistemi Integrati S.p.A. In Liquidazione (“SELEX”) to purchase four hundred and fifty thousand (450,000) ordinary shares (“Sale Shares”) of Ringgit Malaysia One each (RM1.00) representing thirty per cent (30%) equity interest in Comlenia Sdn Bhd (“Comlenia”) for a total cash consideration of Ringgit Malaysia Five Hundred and Forty Thousand (RM540,000.00), the Board of Directors of Comcorp wishes to announce that the transaction is deemed completed on 14 March 2016 and  the four hundred and fifty (450,000) ordinary shares of RM1.00 each are  legally registered in Comintel Sdn Bhd’s name today. Thus, as of today, Comlenia is a wholly-owned subsidiary of Comintel Sdn Bhd which in turn, is a wholly-owned subsidiary of Comcorp.

This announcement is dated 29 March 2016.

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发表于 24-5-2016 07:48 PM | 显示全部楼层
本帖最后由 goldentriangle 于 29-5-2016 09:25 AM 编辑

这股值得买吗?
今天刚买进 20 lots 0.67
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发表于 5-6-2016 10:07 PM | 显示全部楼层
本帖最后由 icy97 于 5-6-2016 10:57 PM 编辑

康明電飛上枝頭
2016-06-05 19:26
http://biz.sinchew.com.my/node/138222?tid=8
     
馬股中有許多公司因業績欠佳而遭市場冷待,這類公司股價一般很低迷,難獲投資者多看兩眼;但是,千萬別低估這類公司的潛力,說不定裡頭棲著沉睡中的鳳凰呢。

比如,近月因業績大好而備受矚目的康明電機構(COMCORP,7195,主板工業產品組)就是最佳例子。

《股海撈月》是在今年初留意到康明電的變化,但因當時股價非常波動,我們耐心觀察了該公司幾個月的時間,以評估業績和股價的持續性。

而現在,相信是時候和各位分享康明電飛上枝頭的故事了。

EMS明顯改善
業績報捷

2003年上市的康明電,是一家涉足電子製造、通訊、資訊科技和綠色科技事業的公司,其業務目前分成3大部門,分別是電子製造(EMS)、通訊和國防,但相信即將開始作出貢獻的綠色科技業務會成為另一收入來源。

同時,為多元化業務和善用其內部研發能力,康明電也正籌備把製造活動延伸至原件設計製造(ODM)市場。

在今年1月杪結束的2016財政年裡,康明電營業額報3億7千670萬令吉,按年成長21.7%,並成功轉虧為盈,淨利報1千350萬令吉,相當於每股盈利9.63仙,創上市至今最佳年度淨利,這樣的業績表現使該股引起投資者注意。

資料顯示,康明電全年業績報捷,EMS業務明顯轉好是最大關鍵,有關業務去年共為康明電貢獻96%營業額,且全年稅前盈利高達2千572萬7千令吉,若非通訊和國防業務合計虧損約600萬令吉,和價值400萬令吉的貨存撥備與註銷,全年業績勢必更佳。

據瞭解,EMS業務之所以能在去年明顯好轉,很大程度還得歸功於該公司近年實施的精益生產、成本撙節等強化效率的措施開始產生效果,馬幣貶值也該記一功,因產品100%用於出口。

年報資料顯示,美元走強去年一共為康明電帶來約610萬令吉兌現和未兌現外匯盈餘,佔EMS業務稅前盈利約24%;由此可見,驅使康明電業績翻身的最主要因素,乃EMS業務根本改善,外匯只是紅利,這大大強化了強勢業績的持續性。

更何況,馬幣兌美元早前雖強彈,一度返回3.90令吉,但事後證明只是曇花一現,因馬幣如今已重新跌破4.10令吉,加上美國升息腳步堅定、大馬經濟放緩,下半年美元展望獲看高一線,康明電業績可望繼續獲外匯利好的扶持。

在EMS業務順利翻盤之際,康明電的通訊和國防業務短期內料難有突破,因這兩項業務的收入主要來自公共領域,深受受政府減少支出影響。

由於EMS業務已有能力獨挑大樑,通訊和國防業務展望遜色的潛在影響並不大,畢竟兩項業務只佔總營業額不到5%;實際上,只要康明電能繼續壓低以上兩個部門的營運虧損,使EMS業務盈利更充份反映在集團業績上,其實已算萬幸。

綠色科技
重要收入來源

除了電子製造業務,康明電另一讓人深感興趣的地方,在於該公司發展綠色科技業務的意願非常強烈;依現況推算,康明電在綠色科技方面的努力,料很快彰顯效果,成為該公司另一重要收入來源。

據瞭解,康明電旗下第一座2兆瓦生物質發電廠,已預定5月杪啟用,這座號稱大馬第一項負碳值(Carbon Negative)的發電廠計劃,能夠利用材質和農產品殘渣來發電,同時不會產生二氧化碳和污染物。

假設每兆瓦電力年收入為100萬令吉(以其他再生能源收費作準),2兆瓦發電廠每年料為康明電帶來200萬令吉收入,雖不足以左右集團業績,勝在發展空間巨大,除自行經營發電廠,也能為其他機構提供綠色系統方案服務,如農業和木料相關領域。

另外,有細讀上週公佈的2016年報的朋友或許會發現,康明電已成功研發出內建智能發光二極管(LED)照明燈產品,並已就此申請專利權,新的LED燈目前已準備好要推出市場,董事部有信心新產品將對未來業績作出正面貢獻,畢竟採用更耐更環保的LED燈已是當今趨勢。

康明電也已設計出含有通訊功能的智能測量器,目前正在認證階段,董事部說,這些新產品將由康明電自行製造和推銷,以期繼續壯大營業額和盈利,同時讓公司多元化至原件設計製造(ODM)市場和擴大產品組合。

外匯波動
股價曾低見65仙

自今年3月杪因業績大好而上探91仙高點後,康明電股價便因美元貶值促使投資者拋售出口股,而一度敗退至65仙低點;因此,外匯波動引起的負面情緒料已反映在股價上,康明電未來走勢相信會更貼近基本面。

如前文所說,康明電重獲市場注意的主因在於業績轉強,因此,股價能否持穩在漲軌上,關鍵是未來業績還能有多大驚喜。

就去年業績來看,康明電業績明顯好轉,其實是2016財政年下半年才剛發生的事,因該公司上財政年書寫的9.63仙每股盈利,有高達7.97仙或83%來自下半年(去年8月至今年1月)。

有鑑於此,若過去半年的強勢表現得以延續,那麼康明電今年的業績或會更有看頭,畢竟綠色科技業務才剛要開始貢獻,多元化至ODM市場也是不容小覷的改變,因這業務的潛在賺幅整體要高於EMS服務。

而且,管理層還強調會繼續優化製造業務的運作和生產效率,希望有助進一步改善賺幅。

康明電將在本月公佈2017財政年的首季業績,我們且拭目以待。

康明電機構最新檔案
上週五股價:74仙(漲0.5仙)
每股淨資產:79.56仙
總資產:2億6千980萬8千令吉
現金:4千630萬3千令吉
總負債:1億5千757萬4千令吉
貸款:8千981萬令吉
股本:1億4千萬股(每股面值50令吉)
大股東:莫哈瑪丹(23.55%)、林景福(23.22%)

(星洲日報/投資致富‧股海撈月‧文:李三宇)
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发表于 20-6-2016 11:27 AM | 显示全部楼层
本帖最后由 icy97 于 20-6-2016 07:32 PM 编辑

COMCORP - Another Pump & Dump Stock. Better be very careful now. (Calvin Tan)
Author: calvintaneng   |   Publish date: Mon, 20 Jun 2016, 12:33 AM
http://klse.i3investor.com/blogs/www.eaglevisioninvest.com/98622.jsp

Dear Friends in i3 Forum,

Last time when IFCA was chased past Rm1.00 I started to warn & warn people there. In stead of taking heed many poured scorn on Calvin the kind hearted friend.

NancyTang, Crischan, Orionpacific, Russian & Cyborg and others took no heed and threw all caution to the wind.
At the lofty height of Rm1.50 NancyTang posted this in Ifca Forum


                                                                
May 26, 2015 11:02 AM | Report Abuse
                                
Sin con ... IFCA seems to be stabilising ... bought back 300 big lots this morning & already making a good profit the second time ! The bottom line is never fall in love with a counter ... dump it if it doesn't perform & don't advise people to hold on for 5 or 10 years with all type of flase promises & childish fairy tales !!!
      
On May 26, 2015 IFCA Traded around Rm1.50
                                
After buying 300,000 shares of IFCA at Rm1.50 (Total Rm450,000) IFCA crashed to 46 cts within weeks and NancyTang lost over Rm300,000. Her total lost was around half a million ringgit. And Nancytang disappeared from i3 Forum since then. So were Crichan, Orionpacific, Russian, Cyborg & others
                                
See IFCA 5 year chart
                                
IFCA MSC BERHAD [S] (0023)                                
                                
                                                                       
                                
                                
                        

Right Now COMCORP Has Already Been Pumped Up over 200% From 30 cts to 95 cts.
Comcorp has been under performimg for many years & now suddenly come to live with the help of syndicates. Comcorp last quarter result shows a gain. But Receivables also ballooned. And Cash Position has decreased!

So Calvin Tan Research calls for a Strong Sell on Comcorp. To buy now or even hold is liken to
        1) Stealing food from lion kill
        2) Foraging for food at the mouth of active volcanoes
        3) Swimming and feeding among Great White Sharks

See COMCORP Chart below

COMINTEL CORPORATION BHD [S] (7195)

        Company Website
        Annual Report
        General Meetings


        















If not the COMCORP CHART WILL ALSO LOOK LIKE IFCA BELOW

IFCA MSC BERHA

        Company Website
        Initial Public Offering Document
        Annual Report
        General Meetings


        



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发表于 21-6-2016 02:51 PM | 显示全部楼层
哭哭鸟 发表于 20-6-2016 11:27 AM
COMCORP - Another Pump & Dump Stock. Better be very careful now. (Calvin Tan)
Author: calvintaneng   |   Publish date: Mon, 20 Jun 2016, 12:33 AM
http://klse.i3investor.com/blogs/www.eaglevisioninv ...

居然这里看到你

这股不错,这个星期捞到一点点
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发表于 21-6-2016 04:49 PM | 显示全部楼层
请问有人知道这股发生什么事吗?
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发表于 21-6-2016 10:25 PM | 显示全部楼层
whyip1988 发表于 21-6-2016 02:51 PM
居然这里看到你

这股不错,这个星期捞到一点点

已經賣了?
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发表于 22-6-2016 10:40 AM | 显示全部楼层
本帖最后由 icy97 于 22-6-2016 05:50 PM 编辑

Comcorp - Clear cut stock to avoid, warning issued but no one listened
Author: ValueGrowthInvestor   |   Publish date: Tue, 21 Jun 2016, 08:40 PM
http://klse.i3investor.com/blogs/ValueGrowthInvesting/98795.jsp

First, I would like to say I do not intend to offend or gloat at anyone. Losing money is a very painful experience, especially when you lose 28% in a single afternoon.

However, we should all take this as a lesson and try not to repeat such mistakes. The warning signs were clear. YiStock who was so generous even posted a blogpost on the irregularities, discrepencies and financial shenanigans that inflated the earnings of Comcorp in its 4Q15 results.

Sadly, many people did not want to heed such warning and was living in denial. At the back of their heads, the might be thinking: "But a very famous sifu on i3investor recommended the stock, can't go wrong. Just hold until make 100% gains". His track record might be impeccable, but everyone makes mistakes. It is totally understandable.

That's when everything came tumbling down.

The past is in the past, let's not dwell in it. Let us try to learn what went wrong and avoid making the same mistakes. Next time, do not follow bloggers on i3investor blindy, myself included. Always do your own research and double/triple check every claim made. Google is your best friend. Fact checking and making sure the story aligns will help you avoid getting free trip to Holland.

One more thing, please DO NOT attempt to catch this failling knife thinking that it is oversold.

        
  

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发表于 23-6-2016 11:04 AM | 显示全部楼层

卖了一半,一半在0.92 进的,现在亏到脱裤.................
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发表于 23-6-2016 11:09 AM | 显示全部楼层
whyip1988 发表于 23-6-2016 03:04 AM
卖了一半,一半在0.92 进的,现在亏到脱裤.................

今天起了啊..
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发表于 23-6-2016 11:18 AM | 显示全部楼层

很怕再像那天这样,打算等下放了你也是入手很多吗?
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发表于 23-6-2016 11:25 AM | 显示全部楼层
whyip1988 发表于 23-6-2016 03:18 AM
很怕再像那天这样,打算等下放了你也是入手很多吗?

哭哭沒買..
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发表于 23-6-2016 02:54 PM | 显示全部楼层
本帖最后由 icy97 于 23-6-2016 07:07 PM 编辑


又来???!!!午盘惊见COMCORP 上演跳水记!!!

COMCORP (7195)日线图 – 2016年6月21日

本来上的好好滴,怎知一声晴天霹雳,COMCORP 在午盘突然变脸,上演大幅度插水,把投资者吓得魂飞魄散。。。

之前没有认真研究过这个股,不过今天既然COMCORP上演跳水,小吕把它作为case study ,来马后炮分析一下,作为以后经验的借鉴,以后再遇到这种图形或形态,务必要谨慎对待。。。

从起升处看,COMCORP是从约 RM 0.30 开始启动,第一波拉的很急,在约一星期的交易日就直奔到最高 RM 0.895,约2倍的涨幅!!!印证了股市的神奇!!!然后就进入调整阶段,调到约RM 0.52 的位置又转折向上,这次的高点又破了前高些许点位,直达RM 0.91 ,然后又调整。。。不过这次调没有这么深,约RM 0.66 又开始向上,今天走到最高点RM 0.99,然后午盘开始下杀,收市时做了今天一根大阴烛,一举把前段的波幅坑杀掉,又印证了股市的凶险!!!

在印象中,这种三顶的形态较为少见,而且最后一顶还比之前的二顶高,一般上最后一顶都比前顶低,因为主力是不会轻易解放套牢盘的,万一散户都在这里套利,主力还能出货吗?因此,这种稍高的顶最是迷惑人,可能主力深懂心理战术,反其道而行,出奇制胜。。。而且选择在午盘约4点左右下杀,让没有看盘的投资者想卖都来不及。。。。

我还记得以前的股王IRIS(0010),在下跌阶段时,一连三天,早盘稍微拉高,然后就是沉闷的横盘,到了12点25 分,离午休时间还有区区5分钟的时间,突然下杀,让你打电话都来不及,着实阴险。。。

股市凶险,突发意外事件层出不穷,投资者每次进场时都应设立止损位,把风险减低,保护资本,以期待日后还有本钱再战江湖。。。

COMCORP目前的支撑位只能设立在前波低点约RM 0.52,不过这种长阴下杀形显示主力也在逃票,能不能顶得住,希望上天保佑吧。。。。。

附上一张目前的技术图让大家参考参考。。

MYtraderview

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发表于 23-6-2016 02:55 PM | 显示全部楼层
本帖最后由 icy97 于 23-6-2016 07:07 PM 编辑

COMCORP (7195) – 科米特机构: 暴跌背后的潜在原因




COMCORP即将在这个月发布FY17Q1的业绩。普遍上,很多投资者都对它的业绩保持乐观和正面。它的股价也因此在上个星期偷步起涨,突破前期高点,创下了上市新高。可是,意想不到的是股价却在今天闭市前1小时被严重抛售。COMCORP整体从RM0.935跌了27cent至RM0.665,跌幅高达28.9%!

从基本面上浅谈COMCORP。COMCORP在2003年上市,是一家涉足电子制造、通讯、资讯科技和绿色科技事业的公司,其业务目前分成3大部门,分別是电子制造(EMS)、通讯和国防,但相信即將开始作出贡献的绿色科技业务会成为另一收入來源。

EMS业务之所以能在去年明显好转,很大程度还得归工于公司近年实施的精益生产、成本节制等强化效率的措施开始产生效果。当然,马币贬值也该记一功,COMCORP 95%的营业额来自于出口。在EMS业务顺利翻盘之际,COMCORP的通讯和国防业务短期内料难有突破,只求减少亏损。由于两项业务只占总营业额不到5%,影响预料并不大。

除此之外,COMCORP旗下第一座2兆瓦生物质发电厂,已预定2016年5月尾启用。这座号称大马第一项负碳值(Carbon Negative) 的发电厂计划,能够利用材质和农产品残渣来发电,同时不会产生二氧化碳和污染物。这新发电厂预计开始在下半年贡献。

另外,根据2016年财报,COMCORP已成功研发出内建智能发光LED照明灯产品,并正在申请专利权。新的LED灯目前已准备好要推出市场。

从生意的角度来看,COMCORP的确有个正面成长。但经过仔细观察COMCORP的现金流,笔者意外的发现了一些潜在风险。虽然COMCORP在FY16年里净赚了RM13.89m (上市以来新高),可是从账目上COMCORP却出现了负现金流! 这是因为COMCORP FY16的应收账款增加了RM30.22m。简短来说,COMCORP虽然账面上赚了RM13.89m,可是却收不到钱。这意味着COMCORP可能面临了收不回账的风险。

老实说,笔者对COMCORP即将发布的业绩是看好的。但今天这一跌,却让笔者对COMCORP有所保留。今天的大跌,有2个可能性:
1. 有内幕消息者得知COMCORP业绩不好,已经开始提前抛售。
2. 有大庄家在获利后,大手笔抛售COMCORP。

笔者认为是第一种可能性,因为庄家通常都会选择股价低于20cent的【仙股】,就好像XOX、EKA、M3TECH、HIAPTEK等等。这些【仙股】被炒的大体时间通常都在2至4个月以内,涨幅都是在100%以上。此外,这些股都有一个共同点,都是长期亏钱的公司。

COMCORP似乎没有一点是符合这些共同点。因此,笔者认为COMCORP业绩不好的可能性是挺大的,就好像之前的TAANN。从技术面来看,恐怕投资者对COMCORP开始失去信心,股价走势也不明朗

RH Research


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发表于 23-6-2016 02:56 PM | 显示全部楼层
本帖最后由 icy97 于 23-6-2016 07:08 PM 编辑

COMCORP (7195) prcie action dissection
Author: duitKWSPkita   |   Publish date: Wed, 22 Jun 2016, 06:09 PM
http://klse.i3investor.com/blogs/duitKWSPkita/98853.jsp

Dear Reader,
        This blog is written for educational purpose. I will touch little bit on P&L implication on the upcoming Q1 result as it's important for us to benchmark it's "fair" psychology price. I was actually seeing the stock -Comcorp whole day and I was very sure one had more than 9 times to escape before the massive sell-down at 4:15PM. No other mean why I was there for whole day but to monitor and discuss privately(email) with my friends in comcorp thread.
        I would try my best to cover:
  •                 Overview of Comcorp
  •                 Profit & Loss position as the game plan catalyst
  •                 10 chances to escape and what insights you missed out
  •                 Game play after sell down
  •                 Conclusion


        Overview of Comcorp
        This is considered as relatively high borrowing company whose business highly denominated in US Dollar. Few divisions under the company but we do realize the manufacturing of radio frequency engineering products are the key driver for the company as IT CONTRIBUTED 100% FOR THE NET PROFIT. The group has ventured into green energy but it's still in very beginning stage and not much exposure to the market. Bursa just updated En. Abdul Majid Bin Omar disposed blocks of his shares.

        Profit & Loss position as the game plan catalyst
        No matter good or bad company. In order for a high price sell down to be successful it wont runaway from
        1) Blow wind of new influential shareholder or impressive business earning growth outlook  
        2) Increase of volume & price to imply interest of public  
        3) Design stage of price position vs date to confirm the signals of Technical Analysis such as breakout/bullish signal/TP2/TP4/higher high support level  
        4) Important date to flush the shares quietly above the turnover price but if it fail landslide is the worst and last option
        Let's discuss the P&L position in below.
        
        Figure 1: 3 years share price record
        Figure 1 show us the movement of price and company become active since June' 2015 where Ringgit Malaysia started to be weaken. It can be explained by the end April result announced in June' 25 2015.
        
        
        Figure 2: Correlation of exchange rate versus Net Profit and Revenue
        In Figure 2 a good fundamental analyst shall be able to spot the share price increase was mainly due to "currency gain" but not really from operating beneficial such as sales volume or new customers. I humbly remind you on the flattish REVENUE within this 6 quarters despite increment of net profit (driven by exchange rate from 3.222 to 4.206).
        Most important info here is we can easily predict the upcoming Q1 result based on average 4.050 exchange rate the net profit should be less than RM3.3 million but still higher QoQ result. Note: last Q1 is EPS 1.33 & N.Profit 1.9 mil.

        10 chances to escape and what insights you missed out
        Different operator has the different way of disposal and it has no common symptons to identify when the sell down start. Nevertheless, with real time monitoring on the buy & sell queu compare with previous days plus analysis on the 3X3 and 5X5 queuing will gproovide you some hint what would be NEXT! Instacom has different pattern, RAYA another type, Parkson and POS are more mature throwing process. I believe many experience traders could spot it but if share it out the operator will change their plan accordingly.
        
        Figure 3: sell down chart

        
        Figure 4: 10 chances to escape before the strong sell down at 4:15PM
        I try to dissect and put it in more detailed info like time, lots of single disposal, unit price and total sum and below are examples of the data extraction. I have alerted few close friends at 9:37AM when I notice they start to queue formation for the sell down and the initial plan was to press down to RM0.905 with the daily cut loss point at RM0.890. The 9:22:00 1090 lots disposal happened after the cancellation of queing at RM0.935. Morning 5X5 queing was about equal thus the test water was not triggered anyone.
        If you recall yesterday US futures and Asian MSCI started to improve from 10:30AM (see Figure 3) there excited day trader jumped in to form upside momentum. For info, in any occasion a real upside must be confirmed through 2  steps (increase of BUYER number and cancellation of SELLERS) but BUYER vs SELLER still 56 vs 135  ; 5X5 : 136,681 vs 249,892. Before morning closing big player started to throw on the ready buyer and BUY RATE was about 53%. Main problem is whole morning I did not see major buyer stepped in but all has been done through retailer.
        It is very obvious when the second session open they would pushed higher. I HIGHLIGHTED IN THE THREAD TO TAKE PROFIT AT RM0.285 because they purposely pushed over RM0.280 (breakout area based on TA) to lure more buyers to chase breakout towrads RM1.00.
        3:09:00 to 3:09:08 where we saw sell queue from above RM0.990 being cancelled and the exact lot number thrown to match at RM0.975/0.980 without second thought. With the BUY RATE of 55% and 5X5 negative 2.3X implied that they run out of time and must clear everything before closing.
        3:30:23 the condition became worsen with the CANCEL QUEU-throw direct and ADD ON SELL QUEUE but I must say that technical chart in 5m and 15m become more attractive (designed by experienced operator) where everyone jump out to shout RM1 target.
        Prior to 4:00:00 I made a strong statement to several friends to take profit and highlighted (庄家洗牌几乎完毕。后果可大可小。强烈建议清仓!) because at the time 5X5 became heavier and suddenly RM0.995/RM1.00 disappeared but never see sign of support. Some big queue stood at RM0.935/RM0.930/RM0.925 there to confirm sell down mechanism.

        Game play after sell down
        
        Figure 5: 5 stages of ditribution after proper plan
        Well, game play on Thursday after sell down???????? We can talk until cow come to home and come to bed but things are evolving too fast as operator react accordingly. Based on analysis operator was only throw 47% and the rest 53% was thrown by panicking retailers. No matter sell down caused by cease of major shareholder or business concern some big players already took advantage at the several stages.
        For me the range of RM0.575 - RM0.780 is quite reasonable for quick day trader. Any open low will give rebound opportunity while Gap up will trigger CUT LOSS for long term players. FA wise the businesses earning will be discounted but the game is not over yet.

        Conclusion:
        I hope everyone can spend some time in market psychology other than technical analysis and fundamental anlysis. You do not need to change stream to 100% Psychology Analysis but to understand there is opportunity of manipulation in every corner. Lastly, I hope all my friends could exit with minimum damage.


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发表于 24-6-2016 01:02 AM | 显示全部楼层
维护价值及股东利益 国际通讯擬回购股票

财经  2016年06月23日
(吉隆坡23日讯)股价週二经歷剧烈跌幅的国际通讯(COMCORP,7195,主板工业股)表示,日后若有必要將不排除通过股票回购,维保护股票价值及股东利益。

国际通讯週二(21日)股价临尾20分钟急速下滑,全天大跌28.88%,或27仙,收报66.5仙,並收到大马交易所发出的不寻常交易活动(UMA)询问。

根据今天出席该公司股东大会的小股东对《东方財经》表示,该公司股价走势是股东最为关注的课题之一。

而对於公司为何没有通过股票回购来支撑股价时,该公司执行董事罗国强透露,公司的立场向来是除非万不得已,否则不会干预股价;不过,他也表示,日后若有必要,將会小心运用这项工具,来保护股价及股东利益。

该公司在今日的股东大会上再次获得股东授权,进行不超过缴足资本10%的股票回购。

然而,国际通讯董事经理林景福在会后对媒体表示,週二股价下挫的速度过快,让公司管理层措手不及,无法採取任何对策。同时,他亦重申,对股票急剧下滑的原因不知情,大股东並没有卖股,他们將会继续调查了解箇中原因。

国际通讯大部份为海外业务,截至2016財政年(1月31日结账),北美洲占製造业务营业额的80%、亚太区占15%,而欧洲则占5%。

根据小股东透露,管理层在股东大会上针对匯率的影响表示,公司有自然对冲,同时也將与银行合作来监测匯率的变化。

另一方面,国际通讯正在涉足绿色能源新领域,现阶段正在申请永久许可证。

与此同时,在竞爭激烈的环境底下,林景福表示,公司將更注重消费领域,如发展发光二极管(LED)业务。

该公司打算在近期內推出新型的省电及耐用型LED灯管。林景福指出,主要的客户对象为新建筑物,若以一天24小时运作的基础来计算,该公司研发的这项新灯管可维持5.7年。

此外,国际通讯现有的一项业务是製造供汽车及保险领域使用的,车速检测器,这项產品主要供出口市场。不过,隨著国家银行逐步放宽汽车保险保费限制,他相信,这项產品日后也可在大马畅销。

不过,他亦坦言,今年经济放缓,环境较具挑战,再加上买家减少开销,订单预料会有所下滑。【东方网财经】
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发表于 26-6-2016 03:33 AM | 显示全部楼层
Type
Reply to Query
Reply to Bursa Malaysia's Query Letter - Reference ID
IQL-24062016-00002
Subject
Article Entitled: "Comintel warns slowdown in production orders"
Description
COMINTEL CORPORATION BHD ("Comcorp" or "the Company") Article Entitled: "Comintel warns slowdown in production orders"
Query Letter Contents
We refer to the above article appearing in The Edge Financial Daily, Page 8, on Friday, 24 June 2016, a copy of which is enclosed for you reference.
In particular, we would like to draw your attention to the underlined sentence(s) which is/are reproduced as follows :-
      
"Comintel Corp Bhd, whose share price has had a roller-coaster ride recently, warns that the order volume for its manufacturing division will shrink amid the global economic slowdown."

In accordance with Bursa Securities' Corporate Disclosure Policy, kindly furnish Bursa Securities with an announcement for public release confirming or denying the above reported article in particular the underlined sentences after due and diligent enquiry with all the directors, major sharesholders and all such other person reasonably familiar with the matters about which the disclosure is to made in this respect. In the event you deny the above reported sentences or any other part of the article, you are required to set forth facts sufficient to support the same. In the event you confirm the above reported sentences or any other part of the article, you are required to set forth facts sufficient to support the same.
We refer to Bursa Malaysia Securities Berhad’s Letter of Query dated 24 June 2016, in relation to the above news article by The Edge Financial Daily, page 8 today, 24 June 2016, in particular the following statement:

“Comintel  Corp Bhd, whose share price has had a roller-coaster ride recently, warns that the order volume for its manufacturing division will shrink amid the global economic slowdown.”

In relation thereto, the Company wishes to deny that no such statement was made by us.

The Company will make the necessary announcement to Bursa Malaysia Securities Berhad of any material information should it fall under the Main Market Listing Requirements..

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发表于 29-6-2016 03:52 AM | 显示全部楼层
本帖最后由 icy97 于 30-6-2016 03:36 PM 编辑

需求赚幅齐扬‧康明电首季净利飙189%

(吉隆坡28日讯)产品需求和赚幅同步走高,康明电机构(COMCORP,7195,主板工业产品组)截至2016年4月30日止第一季净利按年大涨188.84%至536万1000令吉,前期为185万6000令吉。

首季营业额成长24.46%至1亿零371万6000令吉,前期为8333万4000令吉。

该公司董事部透过文告说,首季营业额报捷主要归功于产品需求走高,净利劲扬则涵盖生产力改善、产品需求和赚幅走高等利好因素。

展望未来,董事部认为英国脱欧虽造成全球经济继续充满挑战,但集团制造业务的良好纪录、成本效率,加上弱势马币对业务有利等,因此谨慎乐观认为可在2017财政年取得让人满意的表现。

另外,董事部也预见其绿色方案业务虽需一段时间方可成熟,但看好绿色业务可对未来业绩作出可持续的贡献。

文章来源:
星洲日报‧财经‧2016.06.29

SUMMARY OF KEY FINANCIAL INFORMATION
30 Apr 2016
INDIVIDUAL PERIOD
CUMULATIVE PERIOD
CURRENT YEAR QUARTER
PRECEDING YEAR
CORRESPONDING
QUARTER
CURRENT YEAR TO DATE
PRECEDING YEAR
CORRESPONDING
PERIOD
30 Apr 2016
30 Apr 2015
30 Apr 2016
30 Apr 2015
$$'000
$$'000
$$'000
$$'000
1Revenue
103,716
83,334
103,716
83,334
2Profit/(loss) before tax
5,992
1,699
5,992
1,699
3Profit/(loss) for the period
5,213
1,629
5,213
1,629
4Profit/(loss) attributable to ordinary equity holders of the parent
5,361
1,856
5,261
1,856
5Basic earnings/(loss) per share (Subunit)
3.83
1.33
3.83
1.33
6Proposed/Declared dividend per share (Subunit)
0.00
0.00
0.00
0.00


AS AT END OF CURRENT QUARTER
AS AT PRECEDING FINANCIAL YEAR END
7
Net assets per share attributable to ordinary equity holders of the parent ($$)
0.8424
0.7927

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