Monday, March 8, 2010

Close Suntec 20 lot

Clear 20 lot of SuntecReit at 1.29 making minimal profit. Overall loss plus brokerage come to about $485

Wednesday, February 10, 2010

30 lot - open SuntecReit

Went in SUntecReit on 4 Feb 2010 at 30 lot 1.28.

Dindnt managed to exit for 5 days.

On 9 Feb2010 - q to sell at cut loss 1.26(10 lot)

With estimated transaction cost at -$486 loss.

To break even, need to sell the remaining 20 lot at 1.31 at least.

Monday, February 1, 2010

Cosco - 01022010

Enter 20L@1.23 & exit at 1.25 tdy, after looking at the huge selling q. Decide not to hold. Profit abt $200.

Thursday, January 21, 2010

Midas -20100121~ Cleared by T+4

Exited MIDAS yesterday @ 1.09.

Today MIDAS drop to 1.04, luckily i have cleared my position.

gain abt $110. I am so grateful.

Tuesday, January 19, 2010

Midas -20100119 ~ Stuck with an open position

Maybe rash... now stuck with Midas at 1.08 50lots. Hope can clear at 1.09 by T+4. Its getting on my nerve. Anyway today froming a bearish harami, but vol is low, so maybe still got chance.

cosco - 20100119 - Looking good a morning Doji



Cosco likely to test 1.40 level in the next 2 days.



Friday, January 15, 2010

Midas - may test new high next week - TP 1.22



Midas close well today at 1.07. This week high of 1.10 and support at 1.06.
Based on chart, the close today indicated a positive hammer. Going fwd, next week will be interesting for MIDAS. It depend if it can convincingly breakout of 1.10.

Suspect monday will open at 1.07/1.08, may range down to 1.04 before gaining upward momentum later part of the week.

Thursday, January 14, 2010

Week 2 Jan 2010 -

Cosco - 11 Jan 10
  • Enter 50lot@1.34
  • Exit @1.36 contra within a day(w.a.d)
  • Profit ~ 520

Swiber - 12 Jan10
  • Enter at 50lot@1.17
  • Exit at 1.19 w.a.d
  • Profit ~ 580

Midas - 14Jan10
  • Enter 50lot@1.08
  • T.P >1.1
  • contra due 19/1/2010

Sunday, January 10, 2010

Week2Year2010 - Lookout Stock Analysis

Midas Holding
  • On 8/Jan closed at 1.01
  • 5 days of white candles.
  • Resistance at 1.02 but support is good.
  • Entry price target at < 0.99
  • TP :1.12
Cosco
  • On 8/Jan closed at 1.31
  • Strong buying supported.
  • From EDGE, the suport is at 1.23, Resistance at 1.44
  • Likely to test 1.35 soon
  • Waiting to collect at 1.28, but not able to execute last friday.
  • TP: 1.51
Swiber
  • On 8/Jan closed at 1.18
  • Friday push the price +7ct
  • likely to test 1.23
  • TP : 1.23
( just a personal opinion, not an inducement for others to follow.)

Portfolio - Q1 2010

Stock Name QTY Purchased Cap outlay CAA :080110 Worth
Percentage(+/-) P/L
EZION HLDG 10 0.78 $7,870.20 0.81 8050 0.03 3.21 $179.80
GUOCOLEISURE 20 0.51 $10,291.80 0.72 14400 0.21 41.18 $4,108.20
SATS 5 3.14 $15,841.30 2.67 13350 -0.47 -14.97 -$2,491.30
SMRT(*) 10 1.68 $16,951.20 1.93 19300 0.25 14.88 $2,348.80
TAT HONG(*) 5 1.09 $5,499.05 1.06 5300 -0.03 -2.75 -$199.05
TIONGWOON(*) 20 0.64 $12,915.20 0.66 13100 0.02 2.34 $184.80


CapSpent $69,368.75


Total $4,131.25

A new year - 2010

Hi,

I've successful tick of one of my 2010 resolution this year by creating a blog on my investment portfolio. Yahoo.. so happy. Firstly the objective of the blog is to record my investment so that can be used as a study of pattern and lesson learn from past year. It also helps me to keep track of my portfolios.

Looking back, I have started to invest in the market since 2003. I was just casual investor whom held 1 or 2 counters for a long term play back then. In 2006-07 make alot of mistakes buying S-counters. Some have cut loss and some still in the red and so I decided to writeoff them.

2008 was a bad year. Seen my portfolio shrank to 20% of it real outlays. Late 2008 make abig mistake by cutting loss large loss on NOL due to rumour. I managed to recover the 3K loss only by Apr09, in counter like straitsasia & cosco.

Only early last year, I gotten abit serious of investing after reading few great books( Rich Dad, Poor Dad ~ Robet Kiyosaki & The age of turbulence by Alan greenspan). A small but profitable return of 6% was recorded for 2009. However even though profited in revenue pocketted in, but overall holding (include paperloss) still shrank by 35.4%

This year, I have set a target of >10% return of total investment by end 2010. So far, I have not made any txn this year, as I am still doing ICT this 2 week of 2010.

I will try to update at least portfolio twice a year. C ya!

Your humble investor,
ridz :)

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