Latest Forum Topics / Genting Sing Last:0.865 +0.03 | Post Reply |
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artng25
Senior |
25-Jan-2011 11:57
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It will be prudent to bear in mind that there seems to be a flow money leaving this region for somewhere else | ||||
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epliew
Supreme |
25-Jan-2011 11:54
Yells: "no worries be happy !" |
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wow u so smart ya..... which school are u from ?
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ic1990
Senior |
25-Jan-2011 11:52
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this wilmar really lao sai like mad....past 2 weeks consolidate consolidate everyday close -1 or 0 or +1...then suddenly yesterday and today diarrhea...shit...when i cut loss i shud have immediatly switch position...then now +600 like KNN..now only +20 lol |
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epliew
Supreme |
25-Jan-2011 11:51
Yells: "no worries be happy !" |
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yes, paid up.... so nothing to worry lah.
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icetomato
Elite |
25-Jan-2011 11:49
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Wah Noble. Epliew you still holding any? |
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eastcivic
Elite |
25-Jan-2011 11:48
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i can't really remember my chart.... but i think it should be around the 4.80 region..... :D
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ic1990
Senior |
25-Jan-2011 11:47
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maybe u shud restrict the value of your speculation to maybe 10% of total net liquid assets. Then once u lose that account money, make sure u save money and use 10% of your savings again to fund lor...if u want to play...my CFD account is funded with 2k...once I lose all this money...which i already lost 800 due to wilmar long...I wont fund it until I save up 10k then can fund it with 1k more.... the rest of your $ can either stash in defensive counter like first reit...singtel...st engg...sia engg...
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artng25
Senior |
25-Jan-2011 11:46
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Thought you bought at 0.40+
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epliew
Supreme |
25-Jan-2011 11:44
Yells: "no worries be happy !" |
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dunno what is BT tp to sell ? what is yours ?
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bladez87
Master |
25-Jan-2011 11:41
Yells: "I AM PAPER TRADING AFTER LOSING 5k!" |
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it was yours. if i had bought sunpower, i would not have lost this much. and would probably stay in the market. but now... i dont dare le. i really dont dare. 8k is a lot. i started off with 4k loss,pulled back to 2k. then drop to 5, 6 and now 7.x going 8. instead of recovering my losses, i doubled it.
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eastcivic
Elite |
25-Jan-2011 11:36
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vickers did a buy call for k-boat...... Keppel Land: BUY S$4.57; Bloomberg: KPLD SP Ramping up overseas residential; Price Target : 12-month S$ 5.09 (Prev S$ 4.96) By: LOCK Mun Yee +65 6398 7972 · FY10 bottomline boosted by one-offs and revals, core earnings slightly below street estimates · Residential to remain key near term earnings driver · Maintain Buy with TP $5.09 Core earnings lifted by fund management and property investment activities. Kepland reported a 273% jump in net profit to $1046m despite a 14% dip in revenue to $792m due to a $789.7m of restructuring gains from sale of MBFC1 and fair value gains from completed and uncompleted properties. Excluding this, the bottomline would have been slightly below street estimates at $274.2m, +9.6m yoy due to timing of profit recognition. Core earnings growth was strongest from the property investment and fund management units due to higher dividends from Kreit and increased acquisition fees from new purchases. The group has proposed a total dividend of 18cts /share comprising 9cts final and 9cts special. Singapore made up a smaller 60% of earnings (vs 69% yr ago) on strong contributions from China. Ramping up overseas activities. Residential remained the largest contributor to the bottomline in FY10, generated from sales of 5,250 homes, of which 4,600 were overseas, largely from China. The group should continue to roll out a strong pipeline of launches overseas and will continue to time its projects in Spore – Marina Bay Suites, Reflections at Keppel Bay and Lakefront Residences, to market. It is scheduled to sell 6,464 units in 2011, including new developments such as 8 Park Avenue and Seasons Park in Shenyang, and will market another 11,930 units in 2012. In Spore, the group would time its launches to market. Leasing activities remain robust with 80% of OFC and 66% of MBFC2 precommitted, with rental rates still showing upward momentum. More capital deployment expected, maintain buy. We lowered FY11 and FY12 earnings to push out residential sales, largely in Spore. The group remains on the look out for new opportunities in Singapore and overseas, which could act as a catalyst for future share price performance. The current balance sheet is strong with a net gearing of 0.2x. Assuming a targeted gearing of 0.5-0.6x, the group would have additional debt headroom of $1.2-1.6b. Maintain Buy on Kepland. We have tweaked Kepland’s RNAV up slightly to $5.66. Our target price is correspondingly raised to $5.09, pegged at a 10% discount to RNAV. |
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artng25
Senior |
25-Jan-2011 11:35
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what about your 'Sunpower' ??
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ic1990
Senior |
25-Jan-2011 11:33
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thanks fools gold. looks like 5.37 is the floor for today. looking for wilmar to fall further tomorrow :D | ||||
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iPunter
Supreme |
25-Jan-2011 11:32
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Frankly, I can not tell to hold or to sell ... I can only tell you unreservedly, "do not play shares" ...
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cannotfind
Elite |
25-Jan-2011 11:32
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can short gen?
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bladez87
Master |
25-Jan-2011 11:30
Yells: "I AM PAPER TRADING AFTER LOSING 5k!" |
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sell or hold?
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fools_gold
Senior |
25-Jan-2011 11:29
Yells: "nihil timendum est." |
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ic1990
Senior |
25-Jan-2011 11:25
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the trend is your friend...
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iPunter
Supreme |
25-Jan-2011 11:24
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Okay, fair enough... But let's hope those you are still holding is not in a downtrend, since, in the real world, widespread positive news and proclaimations may or may not be proven by the stock market...
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cannotfind
Elite |
25-Jan-2011 11:20
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why cny it is going down? | ||||
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