Friday, May 30, 2008

Gamuda (Is it Cheap to buy?????)

Today KLSE market had a good show. The Gamuda (leader of contruction sector) down 53 cent to RM2.45. Is it a bottom line for this share?
A lot of people ask me this question but i never say yes. In my experience, the index link counter if there is a top volume and on the same time registered lower for the day. the behind story usually bring super surprise to everyone.
My View is avoid the counter now. Immediately until the new has been announced only make decision.
It can be brought a super bad news. Careful!!!!!!!!!!!!!!!!!!!!!!!!!! It also may brings another heavy impact to the index. So, if the indicator is correct, June 2008 has a big adjustment on index link counter.
Good night.
write on 30/5/2008
10.00pm

Wednesday, May 28, 2008

Rich or Poor control by Bank

Why the share market brought a lot of people became poor? Because the investment into share market is not determined by how much your can gain in certain period. The winner always knew to maintain the gain before the market turn into crisis. Every time if your can escape from the crisis. You investment has been success half and second half is your strategy of investment.
Starting from 27 July 2007 until today, the world share market fluctuation heavily. I believed the analyst now very busy on studying the support level. Is that so important?In my point of view, that is wasting time. Because the lower index registered only god will know. Human being like us should concentrate on how many funds we can accumulate in this period and plans for step buying.A lot of people say that this crisis difference from year 1997. In my view, there is not difference. Because it similar starting from “credit crunch” and also concern the money. The essential hazard is gritty/hungry on funds/money.In year 1997, currencies from ASEAN country impact on depreciation of value. Final result bring all corporate overnight must carry the heavy loan. Now, sub-prime housing mortgage also brings the corporate must carry the heavy non-performing loan. Ultimate result for both is Finance Companies must registered higher bad debt.The trillion dollars will eliminate in this crisis. In USA and Euro finance market, the intelligence people well know the packaging the finance product and sell it few times. It likes a music chair game. Whoever is stand up without chair to sit, he/she will be forfeited by market.Finance people carry a task and pressure to have faster turnover and higher profit because their bonus is depend on how much you can help company achieved a higher turnover.
Hence, the beautiful packaging was imposed on bad product/poison. They also resell the product to various spot markets and derivative market. They commented in the free trading market control is evil/ghosts. The world central bank now inject the funds into the market also is try to influence the market. Would it make stabilise the market?
In my view, it is impossible. Because it only helps rich people collect the funds and run. The world central should go back to basic and inject the funds to buy more food for poor people and well establish education environment only can help world stabilise. Rich people creative the dirty game. Now market help to eliminate the dirty game by crisis. World central bank should do is inject the funds to fulfil the needs of people is essential to avoid the conflict and war.
Write by Bk low

Tuesday, May 27, 2008

Attitude/behaviour of Investment of shares

In the shares market, a lot of people use a difference method to buy or sell shares. In my life of experience, they can category as: -

a) Prudent type
b) Aggressive type
c) Moderate type
d) Optimistic type
e) Pessimistic type
f) Flexible type

The difference type of investment attitude brings a difference result to them. If you want me to category myself, I admitted I am “flexible type”. In my point of view, any type of attitude of investment does not bring any bad effect. But if you want to be a good investor, every type of people should be cope with the sentiment of market instead of against it.

The unpredictable movement of market brings heavy impact to any type of attitude. Example, if your are aggressive type and buying shares during shares market move at side way. It can double up your lose because usually aggressive type investor likes to average the stock at every level of price. In his/her mind, the shares will come back at anytime. Finally, he/she’s saving fully utilised at this period of time. While market going down further, he/she will lose the best opportunity of buying lower price to average.

In the market you may hard to seen any “flexibility type” of investment attitude. Because this type of people usually has own talent to read and understand the movement of shares.

The above does not mean that I want to introduce myself is better than others people. In fact, I am classified myself is a fresh fish in the market. I am still learning although I was trading in the market more than 20 years.

Flexible type investor is not easy survived in the market. Usually you will blame by people. Especially your are pointed the particular share price will registered lower at certain period of time.

At last, I could advise that “Any people who invest in the market must well know the basic theory of market. Because the basic theory of market will guide you better direction. The important step is you must not try to control the market price direction by your own power. It will bring a hazard and bad dream in your life forever”

Dated 27/5/200

Monday, May 26, 2008

Market turn bad

As usual, market registered negative on index after today closed. This does not bring any afraid but if your are invest into 2 or 3 line shares. Its bring a very bad impact on your investment profolio.

If the shares market face a heavy fluatuation, this is not so worry. The market price reduce amount by way of very slow. It brings you worry and no direction.

Usually, if i see the side way move. I recommend sale. If your agree the market now run at side way very quitely. Please do it sale as soon as possible.

The adjustment will be soon and bring a very bad return.

I am not aware the market index can support at which level. But usually the data will inform me.
If the good signal data appearing in the market.

i wll give you a signal.

Thanks

write at 6.30pm 26/5/08

Sunday, May 25, 2008

KNM

Today 26/5/08 is last day trade for KNM which cum right of right issue of 1 for 4 at RM4.00.

The move of KNM is important after the ex date. If sustain at RM7 above, it may attract a lot of people purchase the right issue.

But, pls do not forget the sentiment market very bad.

I predict TDEX (0132) MRCB , lioncorp, Lsteel coming down in the morning stage. So, agressive buying in is not at this period of time.

June is a bad month for shares. most of the fund goto Euro championship. Careful!!!!!!!!

Tuesday, May 20, 2008

KLSE - 21/5/08

I am forecast 2morow market continue adjustment athough the future market rebound in the evening.

Composite index may touch 1253 again but it should not a strong support level. Hence, who holding the index counter should be careful.

By the way, some specials news stock may move for individually but the gain minimise. Take profit on trading day is a good strategy to prevent the further bad news impact to the market.

Careful !!!!!!!!!!!!!!!!!

Monday, May 19, 2008

AISB share at KLSE

As an investor, a lot of people like to purchase more than ability. The individual ability does not write in mind. So, while your are noted, that is too late.

The shares price can move how far also depend on it ability. If it over the ability limit, it also be stopped or coming down.

Tomorrow, AISB will reflected the actual limit of ability. 74.5 cents per share is it limit for this period of time. But whether the 65 is it support or not, it brings unknown.

As a trader, usually this is a risk but risk always attached some super gain. I usually may decide after the first half hour of its run. The volume and price may bring more clear picture how it move on the day.

Thursday, May 15, 2008

AISB

Today, this counter move to 74.5 cents, but will it be continue. I believe there is a counter can give you some gain.

Market overall performance is steady. But it has not indicate market turn bull run. As usual, still advice ignore the index link stock until the good issue reflected in the economic base.

Good strategy is out of the market for temporary. I hope the turning signal come back soon.


15/5/08 at 2pm

Monday, May 12, 2008

12/5/08- Share Market

Today, after reading newspaper. Another fears coming. Because our PM deliver the good news to Government Servant. Its brings another impact on inflation.

Market trading on steel stock. As an investor, please do not forget the stock price has been reflect the actual value. The tax relief does not given the steel manufacturer any advantages.
Actually, at present the price of steel in the market trading in black market although government control it. Hence, it should not briong any good effect to steel company.

Therefore, advice to sell steel stock realise the profit in hand.

HWGB break 30 cents, as i predict on friday i believed the stock is up trend.

10.15am 12/5/08

Sunday, May 11, 2008

Financial Crisis - August 2007

Why the share market brought a lot of people became poor? Because the investment into share market is not determined by how much your can gain in certain period. The winner always knew to maintain the gain before the market turn into crisis.
Every time if your can escape from the crisis. You investment has been sustain. Second step is how to planning your strategy of investment in the coming period.
Starting from 27 July 2007 until today, the world share market fluctuation heavily. I believed the analyst now very busy on studying the support level. Is that so important?
In my point of view, that is wasting time. Because the lower index registered only "God" will know. Human being like us should concentrate on how many funds we can accumulate in this period and plans for step buying.
A lot of people say that this crisis difference from year 1997. In my view, there is not difference. Because it similar starting from “credit crunch” and also concern the money. The essential hazard is gritty/hungry on funds/money.
In year 1997, currencies from ASEAN country impact on depreciation of value. Final result bring all corporate overnight must carry the heavy loan. Now, sub-prime housing mortgage also brings the Finance Institution must carry the heavy non-performing loan. Ultimate result for both is Finance Companies must registered higher bad debt.The trillion dollars will eliminate in this crisis.
In USA and Euro finance market, the intelligence people well know the well packaging the finance product and sell it for few times. It likes a music chair game. Whoever is stand up without chair to sit, he/she will be forfeited by market.Finance people carry a task and pressure to have faster turnover and higher profit because their bonus is depend on how much you can help finance company achieved a higher turnover. Hence, the beautiful packaging was imposed on bad product/poison. They also resell the product to various spot markets and derivative market. To identify thier atittude is correct, they further claimed on authority: -" In the free trading market, control is evil/ghosts."
The above activities brings the world central bank must inject the funds into the market to help them. They also pull FED to reduce the rate to feed them.Would it bring any stabilise the market? In my view, it is impossible.
Because it only helps rich people collect the funds and run. The world central should go back to basic and inject the funds to buy more food for poor people and well establish education on finance environment maybe could help world stabilise. Today, rich people creative the dirty game. But free market help us to eliminate the dirty game by crisis. World central bank should continue inject the funds to feed the basic needs of people(food and water) instead of support the need(money) of rich man. This basic support to the ground is to avoid the conflict and war. Finally, the crisis will be automatic eliminate by fairness and peace of living.
There is dangerous if FED or central bank continues support gritty people only, or only care of certain people bonus. We can forsee the inflation should not easy to control, eventually all of us died together.
Please, please FED and central bank think twice before the decision make. Thanks
Write by Bkeong on 11/5/2008.



PN4 and PN17 Listed in Malaysia Share Market(KLSE)

In Malaysia’s shares market, it consist of company has been classified as PN4 and PN17. Some has been suspended and some still can active trading in the market. Why we have double system?

While if referring the develop market. It is impossible and very rare you can found this type of bad company because they have follow one rule and one regulation only. If they found that problem company, immediately those counter will be suspended for trading until full investigation report presented.

I personally support every mature capital market should have one rule only to watch out the performance of the company. It should stop any speculation. It stop waste the funds. The funs can use it for investing into another counter.

PN4 and PN17 companies in Malaysia shares market waste a lot of capital resources. For example: -

A company which can not presented the annual account for financial year ended. Authority has been given the date to suspend or dis-listing. If the company appeal for it, the authority always allow them and not choice must postpone the date for disqualify. These procedures indirectly encourage speculation trading in this period.

Based on the above circumstances, if authority enforce the guide rule said that whichever company against any act, it should be immediately suspend until the issue concluded. It may bring more fair and transparency.

Recently, the 2 company in Malaysia market brings a lot of investors lose the money. First case is preparing the false annual report(7000) and another one is can not presented the annual account.(Megan)

Authority never stop the media and analyst discussed the above 2 company, Hence, the Malaysia media today highlighted this company still good but tomorrow reporting the case maybe very bad. Furthermore analyst also preparing the individual report to identify the “good buy” and “good sell” price. The uncertain issue already spoilt the fairness of trading.

As an authority, if they random checking one or two analyst has write a report regarding the problem company. I believed the BURSA investment data with them could found something related for unusual trading. If authority enforce a rule suspend immediately, I believed it automatic ban this unfair treatment.

As a small investor, we always wish authority provide a fair investment ground for everyone. Every investor gains more and rich indirect help our country gain more. We should provide a better investment field, it also help ignoring external financial crisis heavily impact on our capital market. World market become unreasonable bullish in this 5 years. It financial crisis may anytime reach us. More preparing in advance to across the crisis is a priority job. More prepare in cleaning the rubbish is essential job and we must do it in any second and anytime. Good investment field is creating by authority and given a good example to the world. We should set a good example, presenting it to world investor. Malaysia market does not have any rubbish.

“Watch out and Careful.” I am share with every good investor.

Thank you

Write on 17 July 2007




Saturday, May 10, 2008

Is it China be an economic giant in the world?


In my opinion, USA and Euro still a leader in the coming 20 years, the main reason is because western people always created some new thing to meet the people needs in coming future. Hence, the new thing/product and new idea bring new economic base changing rapidly. In this decade, mostly contributed by Japan, USA and Euro country. The creative thinking leads the whole world follows the step. Especially when you refer to product like Internet services and mobile phone. I think you are surprise and unbelievable. So, based on present technical skill and social environment in the western country, this century unambiguous USA and Euro still playing an important role in the economic environment.Due to the above, I 100% disagree people who commented that China and India are giant of economic and a superstar in the coming century.To be a giant, China still has a long way to go. The reasons are: -
a) China product must produce a bulk only can exchange a good from EURO, USA or Japan. Example: - LV & Toyota product can sell above USD$10,000 per unit. But China has to sell a lorry of products only can breakeven the cost of one unit of LV bag or Toyota. There is not efficiency and effective economic has been applied.
b) China has an internal problem, if continuos their people enjoy the luxury thing and more demand on free thinking. The communise system may easily eliminated. So, foresee the big changes required before stepping into develop country. Is it the existing government allowable this changes become true?
c) Hong Kong and Macao become a burden to China. Because when the Shanghai and Beijing has own a status like them, it may immediately spoilt the status of these 2 countries. At present, China depend the Hong Kong bring the good relationship with others and Macao provide the way for people spending money and enjoying the life. If others country has a direct dealing with China and ignore Hong Kong and Macao. The good economic environment’s base and relationship spoilt, it may bring economic crisis in the Hong Kong and Macao.
d) China owns a high country reserve but if equivalent with the number of population, there is helpless. Furthermore if the financial crisis happen in China. Is it the high reserve is a good defences weapon or not also depend by authority how to manipulate it? It can be a burden because the big reserve funds make your decision confuse and over confident to view the actual situation.
e) GDP 8% or higher trade surplus does not reflect the actual situation because earning per person still below the level. So, how many years or times of 8% must achieve again and how long the 8% can maintain and continue. If one day the GDP registered lower and trade deficit registered, what is the consequences? One strong and established economic entity usually may face few critical challenges in their history only become matured and steady. Hence, I concluded that China and India still have a long way to go to become an economic giant in the world.
f) The whole world retail eyeing on China because there is a biggest cake in the world. It does not means that you population may enjoy the food. Because the rapid economic environment mislead you spending money on luxury thing and unequally distribution of assets and resources in the faster way to another group of people. No one will warn them because wolf will not inform the victim by a word “I already target on you.” Economic is distribution of assets and resources game. Positive economic data is shown that you are playing the faster distribution of resources game and Negative economic data is shown that you do not have any resources for distribution. Like Africa, the economic data is negative does not means they do not have any good resources and also Iraq registered a negative economic due to war now does not means that oil and gas does not export from them.
g) Easy maintain the high turnover by McDonald, Coca-Cola and KFC in the China. These bring a misleading data for local business identified the cost of effectiveness. Is it China brand product already sharing the major proportion of market sales in the country or world?
h) The law and financial system must update accordingly to meet the economic base changes. Did China has do it and prepare to do it? This very important to assist the local people to maintain their effort from the economic growth, otherwise everything as a dream. If starting from now the changes, how far and how long China required doing it?
i) China demanding the resources and material like hungry wolf. But providing the resources and material country one-day may felt that it is unfair because the price increased in their own country. Recently, oil and gas price increase brought the whole world country must suffer together with China. Did other country owe the obligation to feed the population in the China and others must suffer with them? This is not necessary and objection may voice finally become obstacle to China continue improved better.
Of course base on my minor opinion as above does not stop China one-day maybe achieve as an economic giant in the world. In my view, deeply study the culture and history of China may help them know more about current situation.
In addition, there is necessary for China care more about neighbour economic situation. It may also help china obtain better way of analysis on it rapid growing economic road. My little opinion is "if we are still continue mislead by beautiful economic data does not help anyone enjoy the biggest cake in the world."
At last, now my basic economic knowledge has been changed. It gave me the new idea like: -
"Economic is not means that everyone must have a food and clothe."
"Economic must enough cash in hand."
"Economic must has a banker, politic and authority support."
"Economic no longer equal to basic trading."
"Demand and Supply theory already spoilt by people who have a power/wealth in hand."
"Demand and Supply theory means merger and control."
"Currency rate is meaningless due to controlling the exchange system."
"Price up and down determined by economic reporters."
“Price up and down forced you to follow.”
"Interest rate like a weapon"
The history data in the financial report become a professional use it as a weapon to warn and control the free market. It brings market create an Economic King. So, can create an index table ask people to follow the step.Analysis of economic data tell you stop providing basic need to ordinary people.
Economic may also bring a number of diseases, like financial crisis, currency crisis and inflation crisis. The good show is compulsory create a "Giant economic country" for easy to attract more funds join into the party.
Finally create a new super economy theory.

Write by BK Low at 20 July 2007.

Posted by kacaubusy at 2:24 AM

Prediction movement on share market on Monday

As your are aware, the Down Jone market perform badly on last week closing. As an investors, other issues like commodities market up trend also bring inflation fears. This issue happen bring a negative impact to next week share market performance.
By the way,In Malaysia market it should not have any heavy adjustment, its due to oil and oil palm may help to support the sentiment.
Malaysia Goverment on Friday also announced some new rule on steel trading. It make some new issue for speculating. It will not bring market up trend but at least can sustain at 1270 to 1288 points.
Today until end of June 2008, market may not bring any surprise to investors.
Of course some superstar may give you a gain. But it is not easy to identify it.
I hereby advised that if your are day trader, you bullet(money) should save it now. until oneday the market has a up rally signal only aggressively buy in.

However, it is not easy to control your needs. As an investors, three basic market element play very important role. That is attitude of " Buying, Selling and Wait"
If you well playing on this 3 rule, you may be a good trader.

Write on 1.30pm 10/5/08

Friday, May 9, 2008

Be a General in the share market



In the shares market, you must treat yourself as a general fighting at war ground. Sometime you have a lot of soldier. Sometime you left one or two soldier.

On 5/5/08 (Monday), Keuro Bhd lose 8 cents and closed at 47 cent each. Tuesday it hit another low level at 40.5 but finally closed at 46 cents each.

On the same day (Monday), I was advised my friend bought at 46 cent. But following day sentiment of market not good brings us worry. Hence, he sold the shares at morning at 44 cents.

Today 7/5/08, on the first shift the shares hit 43.5 cents but also touch 52 cents. My friend felt regretted because the due date is on tomorrow. Actually he can make some money on this counter. WHY he made such decision?

If you convert the above trading activity to war story.

Beginning, a General received a message from radar. The message said in front is clear stage and also provided a lot of foods and weapons for you to collect. But, when general lead small team close to the said stage. The stage is surrounding by enemy flags. It seems like a trap.

Normally, General may sent a spy to check or wait. But recently he was lost few times in the fight. Thus, he decided quickly going back to home. In order run fast to avoid the trap, he decided left some weapon on the stage to reduce the weight.

Finally result is “Other army team manage to pick the weapons on the stage.”

The above story tell your, every decision you made does not match your imagination/assuming results. Sometime you are right sometime your are wrong. So, What is the right decision in the share market?

I trust history and present data. The data on the trading record like soldier movement on the ground. Try to convert data as your soldier and assuming you are a General. Maybe can help you understanding the shares trading game.

Of course it is not easy, practice is very important. On my observation, every single data move is full of meaning.

Everyday, the top 20 volume counter movement can guide you a lot of basic theory of trading. Are you learn it and understand it?

WELLI

WELLI on monday may hit 265 but overall still weak. So , suggest sold at 265 to reduce lose.

HWGB seem like moving up but the important level is 290. IF the volume increased and hit 290, it will contribute at least 15% profit.

Market recover litter but predict DJ may heavy adjustment.


9/5/08 at 5.41pm

Welli

These counter not easy to deal. It can be hit as low as 18cents but also can up 8 to 9 cents per day.
However, today i predict it will be hit lower than yesterday price. careful


9.45am 9/5/08

Wednesday, May 7, 2008

Today Shares Market

I pedicted wrong on Tebrau closing. But MRCB is correct. The overall performance of the market not attractive because it only selected counter give you some profit. But it is minimum plus most of the counter can not sustain at High price.

After analysis, tomorrow Tebrau, jaks, equine and MRCB continue fall. Please ignore those company shares related to GLC in these 2 months.

Market seem like looking another support level before bull run. So, if any up move actually provide you a good opportunity to release your stock.

Hope everyone good luck.

Tommorow i will temporary stop write anything in my block because i am busy to do my personal matter.

Thanks

7/5/08 at 5.39

Today Market

Today Malaysia shares market hit 11point above. It seem like from bottom recover. I never do anything in the market but predict today MRCB may fall to 1.65 close. Terbau close at 72 cents.

Actually, i won not trust market have any good shares or bad shares. Maybe i can said that "In my view, market only have a shares can contribute me a small profit is a good share."

Hence, i wll view on particular counter which can provide me a profit. Other than that i am not interested.

Yesterday meet a pretty girl at Mama shop. I am wondering and predict he run away from home ,while i sa her carry some much things . After asked her, she told me just back home town. Life is like that, sometime you won't ask never know. The fact actually is difference story.

In the shares market, please open your eye, close your ears and trust the data on the screen. People can cheat you by month, but history data on the screen would not cheat you.

Tuesday, May 6, 2008

Tommorrow

If you ask me, tommorrow which shares can give you some profit. i think i should divert this message to GOD. I really do not know.

This few days, my moral is bad. I also lost my power of view and accurate prediction.I try to monitor the sentiment back. But, hard to be.

Of course, during the low tide period. I like to ignore everything. i must looking a place to calm down and find my mistake.

I admitted this few day i was make some wrong decision. But it can not stop me step ahead.

Sad Day 6/5/08. 6.15pm

Boring

Today, look at the movement of shares market. Feel bore and tire, because those shares only contributing few cents for you to earn.

However, this does not confirmed that the same shares will be continue move on next day. Hence, you stock at tommorrow may face heavy adjustmeny.

Why? Why? Why?

It indicated shares market do not have any good momentum.

6/5/2008 at 6.05pm

Shares

Speculating in share market

In the materialistic society, everyone likes “speculating”. It equals to you had pay little but return are bulks. It was help you can accumulate your wealth growing up without hardworking.

People feel bore and tire, if you insist people wait in long period for their investment in the limited lifetime. Hence, sometime speculating is necessary.

Speculating activities never ending in the shares market. Thus, it would not surprise why still have a lot of fund manager made the wrong investment decision, although they have been well training on risk management before step in to share market.

“Where is higher or bottom?” Every investor everyday also asks, wish and hope could buy in low price. On the other hand, always assume that holding shares can be sold at the high range. After selling, wish the said share would not touch another higher price.

Fund manager and share market writer advised everyone do not speculating in share market. But in my opinion, investment of shares 100% is speculating. Of course, these theory may bring a lot of people penalise me. Especially those people are hate on gambling and classified share market is investing. I indicated dealings/activities in shares market is speculating indirect pointing them was gambling. These people would not happy my comment and denied the share market is a place of speculating. But blame me does not change the actual situation in share market.

I am an ordinary human, I do not have any power to change the essential/basic of share market. I also do not like to change it.

I highlighted share market is a speculating place, because while your are buying the shares, your investment attitude has brought

a) You use a short cut way to be a shareholder. Founder of company used more than 10 years to build up a business activities in the company. You only spend about few seconds or minutes already registered as shareholder.
b) You never hardworking in this company and no contributing any effort in the year. Now you only registered as a shareholder, but every year enjoy the same rights like other.
c) You enjoying a lot of assets in the company by little money. If you use same funds to purchase the said assets, it is impossible or not sufficient.
d) You can ignore your experience and education. If yourself need to manage one company, at least your must spend several years to learn some skill.

The above illustrating activities of trading shares direct remain you. Buying shares actually ignore a lot of hard way to become a boss.

Professional or fund manager always remain you do not apply speculate strategy method for investment of shares. But they are learns from research knowledge actually covered by speculating education. If there are never speculate, they will not advise you: -

1) If drop buy in.
2) If high sold off.
3) Ignored bad stock, buy in good stock.

The above action indirect guide you use speculate strategy to handle your share in hand.

On the other hand, if you think share market do not has any speculating issue, you should use all your saving consistently buy in all shares and should ignore: -
1) Working experience since your are born
2) Any education in your life.
Because share market provided you enough funds has a peaceful and enjoying lifetime forever.

But I aware that if your are investors in shares market, your are not consistently buying, you must have some education and need to hardworking in your life. Hence, your are actually admitted share market consist a lot of speculating issue.

I am not claim the funds manger or investors are wrong but does like them always insist they are investment and not doing speculate. It could bring a wrong message to ordinary people and guide them use the wrong method to handle the share investment.

If any people or funds manager claims that the investment of shares does not have any speculate issue. Please ask him the following question.

“Why he is wasting time and money to deliver his kids to school?”
If he claims that share market not speculate issue. He could actually ignore the education period for his kid and immediately give the said money to kid for investment of shares.

Hence, my conclusion is while your are first stepping into share market. Actually you are start involving in the speculate activities. Always remember game has its rule and share market also has its own rule. Hence, be a good investors must “well know meaning of Speculating”.

Friday, May 2, 2008

Liqua2534

The stock has been classified as PN17. As thus the stock at KLSE market become difficult trade.


As recommended, pls ignore this stock. Any doubtful, pls contack 019-3318319. (Mr Teen).


He is my adviser and brings one day earn daily RM1,000.