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Showing posts with label Malaysia. Show all posts
Showing posts with label Malaysia. Show all posts

Thursday, 19 July 2018

FTSE Bursa Malaysia KLCI Index: 19 July 2018, Thursday, 1.20pm Singapore Time

FTSE Bursa Malaysia KLCI Index: 
19 July 2018, Thursday, 1.20pm Singapore Time
(Click on Technical Chart above to Expand)

Attached is the Malaysia KLCI Index. The series of red circled regions and green circled regions show how the markets in Malaysia had turned from an originally intended bear market to a complete new up-trending bull market -- turning long term resistance band at 1709-1732 points to long term support band.

The yellow circled regions are my live warnings in 2016 and 2017 to buy cheaply while market herd were calling for bear market and market crash on rate hikes. This was where I called for maximum bullishness and loaded up good stocks such as Hibiscus Petroleum in 2016 -- at a mere 26 cents as much as I could (http://donovan-ang.blogspot.com/2016/10/hibiscus-petroleum-20-october-2016.html), and also called for it to bottom with the indices and the crude oil market. Many smart followers followed my live buys and loaded at 26 cents, and at current price of 91.5cents, they are sitting on +350% returns. My expectation is +1000% in returns from the bull market for the stock, and it has another 750% journey to go, which is a triangulation of just how much legs the bull market will go (my forewarning is that 2008-2018 is merely 1st leg of bull market, while 2018-2028 is 2nd leg of bull market where majority of gains are to be made for 90% of all stocks across the board).

As previously fore-warned that the sell-off by foreign funds in Malaysia following the Pakatan Harapan election victory would just be backtests of supports and for confirming long term bull market for the upcoming 3 years, and that market herd will mostly be interpreting it as bear market, the market as well as the herd's mentality have been enacting too per my fore-warnings.

Smart monies have now confirmed that the backtests of supports are successful and will be flowing back into the markets in droves. Most of the herd are bearish and full of conviction of a bear market now. This is when the equity market will be executing the brown trajectory per my financial modelling. The time is ripe. In addition, we are now at the confluence of multiple supports as highlighted in light blue on chart. The treacherous backtests of supports have been completed.

From current point which is the mid-term, mid-point and mid-wave of Super-Cycle bull market (refer to all triangulations derived previously in all my live analyses),  we will be continuing the 2nd half of a wave 3 bull market (even wave 5 is far from current point). From current point, based on history, large caps typically have at least another 2x upside, mid caps have at least another 5x upside, and small caps have at least another 10x upside. Research past 50 years of data -- this is a standard economic cycle.


Sunday, 19 November 2017

马来西亚股票市场:为何接下来将会屡屡创下历史天高 (技术量价结构)

马来西亚股票市场技术图表 1
(请点击技术图表以便加以放大)

以上为马来西亚吉隆坡综合指数技术图表1:
2013-2014年间,我预先警告油价将大崩盘,新兴市场和马来西亚股市将会有崩盘式大抛售。股市在我预警后随后2年进行大抛售。所有预警于股市有所行动前发出。

2016年期间,大众散户高喊熊市,我反转并预警,大户与国际热钱、基金型资金等全面进行大量进货,以上三个圈起之预警都是于1H-2016和2H-2016年股市有所动向前发出。股市在我预警后有明显上升的趋势。所有预警都是于股市有所行动前发出。

马来西亚股票市场技术图表 2
(请点击技术图表以便加以放大)

接下来为马来西亚吉隆坡综合指数技术图表2:
图表中有7大重点(详见技术图表)。

重点1:
2014年间,此洪量之红量(红圈1)同步于大宗商品、大宗商品货币和新兴市场货币之熊量,因此大红量可判断为高点大量卖出,随之而来的普通之量也可均判为出货之量。深红之处也乃主控家、操盘手越卖越急之现象。在我预警后,大盘主要市场随之恐慌性抛售。

大盘崩盘式下杀后,反弹急促,反弹后接踵而来的下杀也急,然而随之而来的反弹还是急促,下杀又还是依然凶猛,这足以代表此崩盘式下杀不是熊市,熊市测试正在进行中,而熊市测试也会被否定掉。

重点2与重点4:
整个绿色价构乃熊市测试之结果,此架构为大架构,结果故属大结果也因此属于重要之测试结果,熊市于2016年如我预警,很强烈地被否决掉了。否定熊市的同时,还出现了三足确立之现象,重量级隐形之强手高量支撑买入,这意味着热钱、大户和大型基金等趁众散户对大市熊观之时大举默默入货,重新启动全新的牛市(新一波的超级大牛市诞生);牛市由这区域的增量(散户出、热钱入)而有了强“脚”。有了这三足鼎立(见图表首三个绿圈),再加上否定熊市的量价结构之确立(国际热钱高量并大举入市,锁入低价并抱持满仓的股票),因而2018年、2019年的未来几年,新兴市场如马来西亚等将会有超级大牛市。

重点3:
此红量乃热钱对大势的信心,爆量支撑买入股票,趁大众散户和其他无知的大户排队出场之时,聪明的隐形热钱大量偷偷入市。这才有2017年的大破1701-1727之阻力

重点5:《新牛市之确立》:
突破1701-1727阻力就是告诉你,1701-1727以下都是花了许多时间、砸了何许多的金钱、花了九牛二虎之力等买入且入市的,高举入货附带信心否定了熊市的,这隐喻了世界包括马来西亚未来几年是不会有任何熊市的,反而会出现超级大牛市,不然大费周章干啥?后知后觉的大型基金会等重点6入场,愚昧无知的马鹿野郎之辈就只能继续愚昧无知下去吧。

重点6与重点7:
国际金融市场由于有太多马鹿看错走势而有所动力往上飙,亚洲、新兴市场如马国将全力暴涨,未来几年狂飙不止,而且不停地刷下历史新高。黄色曲线乃回测确立大牛市之曲线,这区域会有很多后知后觉的大型基金、资金和热钱大量买入、它们会竞相买入股票、证券,而当然,此时坏消息面会继续出现,马鹿野郎们还是会高喊熊市、小心的旗帜。我的实地考察结果也证实,绝大多数散户(大分比,绝对的多数)都看淡未来、看淡市场,不过这是很好的现象,没雄赳赳的马鹿,哪来的老虎饱口福?

额外备注:
年终前还会有推出很多数据扶持技术面之论点。