Q1 - Q2 2020 As CTA Expected! July: Summer Break (Bullish Q2) For Another Distribution When IHSG Rally (Weak Economy, Foreign Sell, Candle signals)
Peluang Bullish IHSG di 2021 by analisa teknikal fundamental & makro ekonomi PT. BNI Sekuritas di harian Investor Daily 29 Juli 2020.
#MDKA & GOLD Short TERM VIEW.
By technical analysis: #MDKA menunjukkan kondisi bullish, dominan buy power, dengan demand area 1.600-1.700 & 1.350-1.400, supply area di 1.900-1.950, di dukung foreign net buy Rp 58 miliar (22-28 Juli), PER 40.22x. Gold sejak awal 2020 di prediksi berada di $1.950 di akhir tahun ini (saat ini high $1.980/troy ons), sebelumnya di akhir 2019 nyaris mencapai target $1.500 (closing Des 2019 di $1.540) bisa di lihat di blog CTA. Trend short term masih up selama di atas $1.800-1.850 jelang FOMC hari ini & data tenaga kerja AS Jumat ini.
Strategy: BUY 1.620-1.700 target 1.850/1.900 (Add Buy if break 1.955 with high volume) stop below 1.450/1.550. Semoga happy cuan & sukses selalu guys 🙏.
#INCO vs NICKEL Short TERM VIEW.
By technical analysis: #INCO menunjukkan kondisi bullish, dominan buy power, dengan demand area 3.310/3.200 & 2.850/2.950, supply area di 3.550/3.600, di dukung foreign net buy Rp 18 miliar (22-28 Juli), PER 18x. Nickel masih bullish selama di atas 13.072, kondisi daily netral namun swing trend in overbought akan menahan laju kenaikan nickel di pekan mendatang. Resist di 13992/14508 untuk extend bullish jika berhasil break. Support di 13070 jika break menuju support 12427/12195.
Strategy: BUY 3.200-3.300 target 3.450/3.550 (Add Buy if break 3.590 with high volume) stop below 2.800/3.000 (sell if breakout ↘️ 2.670). Semoga happy cuan & sukses selalu guys 🙏.
#MDKA & GOLD Short TERM VIEW.
By technical analysis: #MDKA menunjukkan kondisi bullish, dominan buy power, dengan demand area 1.600-1.700 & 1.350-1.400, supply area di 1.900-1.950, di dukung foreign net buy Rp 58 miliar (22-28 Juli), PER 40.22x. Gold sejak awal 2020 di prediksi berada di $1.950 di akhir tahun ini (saat ini high $1.980/troy ons), sebelumnya di akhir 2019 nyaris mencapai target $1.500 (closing Des 2019 di $1.540) bisa di lihat di blog CTA. Trend short term masih up selama di atas $1.800-1.850 jelang FOMC hari ini & data tenaga kerja AS Jumat ini.
Strategy: BUY 1.620-1.700 target 1.850/1.900 (Add Buy if break 1.955 with high volume) stop below 1.450/1.550. Semoga happy cuan & sukses selalu guys 🙏.
#INCO vs NICKEL Short TERM VIEW.
By technical analysis: #INCO menunjukkan kondisi bullish, dominan buy power, dengan demand area 3.310/3.200 & 2.850/2.950, supply area di 3.550/3.600, di dukung foreign net buy Rp 18 miliar (22-28 Juli), PER 18x. Nickel masih bullish selama di atas 13.072, kondisi daily netral namun swing trend in overbought akan menahan laju kenaikan nickel di pekan mendatang. Resist di 13992/14508 untuk extend bullish jika berhasil break. Support di 13070 jika break menuju support 12427/12195.
Strategy: BUY 3.200-3.300 target 3.450/3.550 (Add Buy if break 3.590 with high volume) stop below 2.800/3.000 (sell if breakout ↘️ 2.670). Semoga happy cuan & sukses selalu guys 🙏.
#KLBF Short TERM VIEW
By technical analysis: #KLBF menunjukkan kondisi bullish, dominan buy power, pola bullish channel, dengan demand area 1.500-1.550 & 1.4000-1.450, supply area di 1.600-1.640 & 1.800-1.850, di dukung foreign net sell Rp 390 miliar (20-24 Juli), PER 27.54x.
Strategy: SPECULATIVE BUY di atas 1.570-1.600 target 1.690 (Add Buy if break 1.695 with high volume) target 1.850/1.920 stop below 1.400. Semoga happy cuan & sukses selalu guys 🙏.
#KAEF Short TERM VIEW.
By technical analysis: #KAEF menunjukkan kondisi bullish, dominan buy power, dengan demand area 2.600-2.750 & 2.200/2.300, supply area di 2.800/2.900 & 3.400/3.500, di dukung foreign net sell Rp 2.66 miliar (20-24 Juli), PER 144.21x.
Strategy: SPECULATIVE BUY di atas 2.800 target 3.000/3.300 (Add Buy if break 3.330 with high volume) target 3.660/3.800 stop below 2.740/2.480. Semoga happy cuan & sukses selalu guys 🙏.
WEEK AHEAD 27 - 31 JULI.
IHSG pekan lalu mencatat kenaikan tipis 0.07% sesuai prediksi CTASaham (see Week Ahead 20 - 24 Juli), berkat kenaikan saham di sektor finance, Infrastruktur, Trade & Mining. Penguatan rupiah vs USD (+1.22 di 14.604), di bayangi oleh foreign net sell Rp 973 miliar. IHSG masih konsolidasi dari signal bearish divergence, weaker buy power, berada di support line 5.074 & 5.016/4.980. Resist berada di 5.17/5.243.
Pekan ini, IHSG masih konsolidasi dari sejumlah sentimen positif dari perubahan komposisi di indeks LQ45 IDX30 KOMPAS 100 dll, musim laporan keuangan Q2 emiten, 4 emiten bagi dividen (AMAG FISH GHON POWR) hingga sentimen dari harapan vaksin covid19 akan segera dibuat dalam 3 bulan mendatang. Untuk faktor eksternal pasar alan mengamati perkembangan di Laut China Selatan, earning report heavy weight di AS (Amazon Apple & Google) hingga perkembangan trend kenaikan harga emas minyak cpo. Detail bisa disaksikan di CNBC Indonesia 27 Juli jam 13.30 WIB.
NEW INDEX LQ45
#BBTN by CTASaham
#BBTN Short TERM VIEW.
By technical analysis: #BBTN menunjukkan kondisi bullish, dalam pola Rising Wedge, dominan sell power meski weaker, dengan demand area 1.180-1.200 & supply area di 1.300-1.400. di dukung foreign net sell Rp 1.1 miliar (15-21 Juli), PER 7.57x.
Strategy: TRADING BUY target 1.365 (Add Buy if break with high volume)/1.490 stop below 1.220/1.160. Semoga happy cuan & sukses selalu guys 🙏.
#LPPF by CTASaham
#LPPF by CTASaham
#LPPF Short TERM VIEW.
By technical analysis: #LPPF menunjukkan kondisi bullish, dalam pola bearish channel, dominan buy power, dengan demand area 1.100-1.200 & supply area di 1.600-1.700an di dukung foreign net buy Rp 25 miliar miliar (15-21 Juli), PER -11.27x.
Strategy: TRADING BUY target 1.600-1.700 (Add Buy if break 1.780 with high volume)/stop below 1.380/1.280. Semoga happy cuan & sukses selalu guys 🙏.
By technical analysis: #LPPF menunjukkan kondisi bullish, dalam pola bearish channel, dominan buy power, dengan demand area 1.100-1.200 & supply area di 1.600-1.700an di dukung foreign net buy Rp 25 miliar miliar (15-21 Juli), PER -11.27x.
Strategy: TRADING BUY target 1.600-1.700 (Add Buy if break 1.780 with high volume)/stop below 1.380/1.280. Semoga happy cuan & sukses selalu guys 🙏.
TOP REQUEST: #INDF SHORT TERM VIEW.
By technical analysis: #INDFmenunjukkan kondisi netral, dalam symmetrical triangle minor, weak buy power di chart 60 menit, konsolidasi jangka pendek, terjebak dalam demand area 5.800/6.200 & supply area di 6.800. di dukung foreign net sell Rp 52 miliar (14-20 Juli), menjelang Cum date dividen pada 23 Juli Rp 278/lembar saham, ex date 24 Juli. Strategy: WAIT to BUY 6.400-6.500 target 6.750/6.800 (Add Buy if break with high volume) stop below 6.20/5.800. Semoga happy cuan & sukses selalu guys 🙏.
WEEK AHEAD IHSG & SAHAM 20-24 JULI!
IHSG menguat 0.96% di pekan ini, dari sentimen penurunan suku bunga BI sebesar 25 bsp menjadi 4%, kenaikan saham Wall Street dari awal musim lapkeu Q2, sentimen dana talangan ke sejumlah sektor, meski dibayangi pandemi covid19, foreign net sell Rp 1.13 triliun (TLKM BBRI BMRI BBNI SMRA BSDE INDF) pekan ini. Pekan depan pasar akan mengamati efek penurunan suku bunga BI & data trade balance Indonesia, 8 emiten bagi dividen (INDF ICBP LSIP INDS IPCM KEJU DUIT), watch lapkeu Q1 di Wall Street (Microsoft Tesla).
Pekan depan, IHSG masih berpeluang menguat terbatas dari mixnya sentimen dalam & luar negeri. IHSG memiliki resist di 5.148/6.264, support di 5.022/4.964. Sektor yang bisa beepeluang menguat: FINANCE AGRI BASIC INDUSTRY (break new high pekan ini), MISCELLANOUS INDUSTRY CONSUMER, NEUTRAL MINING INFRASFRUCTURE, CHEAP PROPERTY TRADE. Pick the blue chip & outperformer (See the next CTA stock picks: 5-6 saham pekan ini). Pekan ini (13-17 Juli) CTA cetak happy cuan #AGRO #DOID #INDY #HMSP (BUY 1.675 TP chart 1.890 = +12.8%) #WOWS (67-96 = +43%) #WIIM (210-260 = +23%).
#BASICINDUSTRY
By technical analysis menunjukkan kondisi overbought & bearish divergence daily chart,
meski masih swing bullish selama di atas demand area 780-790. Sementara supply area
berada di 825 & 900. BUY on demand area & BUY for SWING trading.
STOCK PICKS: #BRPT: 🔄 range resist 1.310-1.385 support area 1.190-1.120 #TPIA; 🔄range resist 7.425/7.900 support area 6.525/5.025. #INKP: ↗️ range resist 8.350/9.550 support area 5.400/6.500. #TKIM: ↗️ range resist 7.425/9.100 support area 6.000/5.100. #CPIN: ↗️range resist 6.600/7.400, support area 5.875/5.200. #JPFA: 🔄range Resist 1.250/1.345 support 1.075/1.000. #SMGR 🔄 range resist 9.850/10.400 support area 9.325/&.750. #INTP 🔄 range resist 12.425/13.400 support area 11.400/10.500. Semoga happy cuan & sukses selalu guys 🙏.
#AGRICULTURE SHORT TERM VIEW.
By technical analysis: #AGRICULTURE menunjukkan kondisi extend bullish setelah breakout
level 1.091, meski dalam kondisi Overbought & bearish divegencedaily, tipikal wave motive v,
dominan BUY power m, breakout pola ascending triangle good for med term view. berada di
atas demand area 1.090-1.120 & strong area di 1.040-1.050. sementara supply area di
1.250-1.300. BUY di area demand area (peluang shooting star candle)
For SHORT TERM; BUY for SWING.
STOCK PICKS: #AALI closed di atas 9.000 TP 9.950/10.450, support di 8.40/7.925 #BWPT selama diatas support 87/80 next BO 101/107. #LSIP range breakout 920-1080-1120 support 850/750 #SIMP selama diatas 310 menuju 328/358 next breakout support 268/280.
TOP REQUEST: #BRIS SHORT TERM VIEW.
. By technical analysis: #BRISmenunjukkan kondisi overbought, tipikal wave motive v, dominan buy power
di daily, mencapai target gann 500-520 area, peluang bentuk pola V-shaped di long term chart, terjebak
dalam demand area 396-420 & supply area di 490-520 & 600, di dukung penciutan foreign net sell menjadi
Rp 960 juta (8-14 Juli), di bayangi isu merger bank BUMN syariaj di 2021 & laporan keuangan terakhir (Q1)
cetak kenaikan laba bersih sebesar 150%. Sebelumnya CTASaham book profit +45% pekan lalu (haka bo 312/336 TP 454 &
(+45%) Buy BO 476 TP 505 = +6% (lihat artikel tentang bank blue chip vs small caps 8 Juli).
.
Strategy: BUY 455-465 target 515/545 (Add Buy if break with high volume) stop below 440.
Sell di bawah 440 target 390/420 (buy on weakness) area stop diatas 460. Untuk swing masih
buy di atas 476-490 target 600-630. Semoga happy cuan & sukses selalu guys 🙏.
TOP REQUEST: #MYOR SHORT TERM VIEW.
By technical analysis: #MYOR menunjukkan kondisi Distribusi selama below 2.380, tipikal wave
corrective c declined, dominan sell power di daily, peluang bentuk pola V-shaped di long term
chart, terjebak dalam demand area di 2.100-2.150 & supply area di 2.250-2.330 & di atas 2.500
, di dukung foreign net sell menjadi Rp 32 miliar (8-14 Juli), di bayangi pembagian dividen
(tanggal penbagian dividen Rp 30/ lenbar saham di 30 Juli 2020), kenaikan laba bersih &
perkiraan pemulihan kinerja ekspor.
Strategy: BUY 2.050-2.100 target 2.280 (Add Buy if break with high volume)/ 2.380 stop below
1.960. Sell di bawah 1.960 target 1.860/1.750 (buy on weakness) area stop diatas 2.100. Untuk
swing masih AKUMULASI BUY (cicil beli) target 2.300-2.500. Semoga happy cuan & sukses
selalu guys 🙏.
WEEK AHEAD 13 - 17 JULI.
IHSG mengalami kenaikan pekan lalu naik 1.16% dengan foreign net sell Rp 126 miliar,
di dukung kenaikan saham perbankan & basic industry. Pekan ini pasar akan mengamati
keputusan suku bunga Bank Indonesia pada 16-17 Juli (Di prediksi cut 25 bsp), data Trade
Balance Indonesia pada pekan ini. Kondisi ini dapat menduking Buy on rumor Sell on News!
Sebelumnya CTASaham rilis prediksi & strategy ssham perbankan untuk rebound pekan lalu
(Edisi 8-10 Juli), dimana kenaikan saham bank big cap (#BBCA #BBRI #BMRI #BBTN #BBNI), bisa di lampaui oleh saham lapis kedua (#BRIS haka BO 476 13 Juli pekan sebelumnya +45%; #BNGA haka BUY BO 770-830 TP 900 10 Juli, #BJBR
8-10 Juli, #PNBN haka BUY 13 Juli). Today seperti prediksi CTASaham sejak 10 Juli pagi:
DOID & INDY haka BO 165 & 775-795 ↗️👍 now DOID 202 INDY 900. Sektor yang perlu
di cermati pekan ini: Bank Propety Konstruksi Basic Industry & Mining. Semoga happy cuan
& sukses trading guys 🙏.
#HMSP 13 Juli - 17 Juli.
By technical analysis: HMSP masih dominan sell power di daily weekly chart, peluang bentuk pola Head & Shoulder, below 2 supply area below 1.700-1.735 & 1.800-1.845, si dukung foreign net sell Rp 41.8 miliar (5-10 Juli), isu pandemi covid19.
Strategy: Speculative Buy target 1.735 (Add Buy if break with high volume) stop below 1.600. Sell di bawah 1.590 target 1.390-1.490 (buy on weakness) area stop diatas 1.690. Semoga happy cuan & sukses selalu guys.
#TLKM 13 Juli - 17 Juli. By technical analysis: TLKM masih konsolidasi dominan buy power di daily, sell power weekly chart, peluang bentuk pola Head & Shoulder, terjebak dalam demand area 2.970-3.030 & supply area di 3.150-3.200, dukung foreign net sell Rp 293 miliar (5-10 Juli), di bayangi isu dibukanya Netflix vs isu gagal bayar PT Tiphone (TELE). Strategy: Akumulasi BUY 3.030-3.120 target 3.150/3.200 (Add Buy if break with high volume) stop below 2.970. Sell di bawah 2.960 target 2.650-2.800 (buy on weakness) area stop diatas 3.100. Semoga happy cuan & sukses selalu guys 🙏.
Wait for the ERA OF 5G!
7 benefit, terutama peluang pundi 💰emiten di pasar saham seperti saham Telekomunkasi (TLKM EXCL ISAT FREN TBIG TOWR), trading (ERAA TELE), Heath Care (CARE HEAL MIKA SRAJ SILO). https://www.phonearena.com/news/5G-will-change-the-world_id125858
View IHSG & Saham 10 Juli
Prospek Saham Bank: Blue Chips vs Lapis Kedua.
BBCA: 28.575 - 30.500.
BBRI: 2.980 - 3.140.
BMRI: 4.870 - 5.450.
BBNI: 4.490 - 4.780.
BBTN: 1.185 - 1.295.
BRIS: 428 - 476
BBHI: 150 - 195
BJBR: 815 - 885
BJTM: 525 - 575.
Nantikan the next rotasi saham big caps to rally soon.
Semoga happy cuan & sukses trading investasi selalu guys
Fokus & Rekomendasi Saham 6 Juli 2020.
GOOD NEWS & TECHNICAL BREAKOUT IN POULTRY DUET MAUT #INKP#TKIM ↗️🏧🎯.
SUMMER BREAK FOR IHSG IN Q3?
BPS Laporkan Inflasi Juni Cuma 0,18%
Melihat prospek saham-saham top gainers di semester I 2020
*Rekap Laba (-Rugi) Emiten 1Q20 vs 1Q19*
(01.07.2020)
*BANK & FINANCE*
• BBRI Rp8.16t vs Rp8.16t
• BMRI Rp7.91t vs Rp7.23t
• BBCA Rp6.58t vs Rp6.06t
• BBNI Rp4.25t vs Rp4.07t
• BDMN Rp1.24t vs Rp933m
• BNGA Rp1.05t vs Rp944m
• NISP Rp791m vs Rp765m
• BTPN Rp752m vs Rp507m
• PNBN Rp684m vs Rp802m
• MEGA Rp669m vs Rp484m
• BNII Rp538m vs Rp415m
• ADMF Rp520m vs Rp462m
• BBTN Rp457m vs Rp723m
• BJTM Rp439m vs Rp405m
• BJBR Rp417m vs Rp419m
• PNLF Rp408m vs Rp463m
• BTPS Rp402m vs Rp288m
• BFIN Rp328m vs Rp337m
• TURI Rp125m vs Rp160m
• CFIN Rp93.2m vs Rp79.6m
• BRIS Rp75.1m vs Rp30.0m
• BBKP Rp53.6m vs Rp54.7m
• PNIN Rp40.8m vs Rp423m
• MCOR Rp33.2m vs Rp11.4m
• PNBS Rp5.34m vs Rp5.15m
• BABP Rp3.89m vs Rp3.08m
• BNLI Rp1.74m vs Rp377m
• BBHI Rp488jt vs Rp9.92m
• ARTO -Rp25.4m vs -Rp6.03m
• BHIT -Rp809m vs Rp77.9m
*TELCO, TECH & MEDIA*
• TLKM Rp5.86t vs Rp6.22t
• EXCL Rp1.52t vs Rp57.2m¹
• MNCN Rp312m vs Rp548m²
• SCMA Rp311m vs Rp399m
• TBIG Rp228m vs Rp218m
• PTSN $3.11jt vs $166rb
• MSIN Rp59.5m vs Rp73.8m
• MLPT Rp33.1m vs Rp19.5m
• GHON Rp16.6m vs Rp14.6m
• CENT Rp12.1m vs Rp8.66m
• KREN Rp10.7m vs Rp116m
• BALI Rp8.92m vs Rp11.9m
• ASGR Rp2.33m vs Rp25.6m
• FILM -Rp8.99m vs Rp15.7m
• EMTK -Rp157m vs -Rp72.2m
• ISAT -Rp606m vs -Rp292m
• FREN -Rp1.78t vs -Rp425m
*CONSUMER & PHARMACY*
• HMSP Rp3.32t vs Rp3.28t
• GGRM Rp2.45t vs Rp2.35t
• ICBP Rp1.98t vs Rp1.34t
• UNVR Rp1.86t vs Rp1.75t
• INDF Rp1.40t vs Rp1.35t
• MYOR Rp931m vs Rp466m³
• KLBF Rp669m vs Rp595m
• ULTJ Rp436m vs Rp299m
• TSPC Rp284m vs Rp203m
• SIDO Rp231m vs Rp209m
• MLBI Rp140m vs Rp239m
• ROTI Rp77.8m vs Rp64.8m
• KINO Rp57.8m vs Rp306m
• DVLA Rp56.5m vs Rp83.2m• CLEO Rp35.4m vs Rp25.3m • KAEF Rp26.2m vs Rp20.6m • ADES Rp21.2m vs Rp17.4m • HOKI Rp14.7m vs Rp25.5m • WIIM Rp14.3m vs Rp5.27m • TCID Rp7.79m vs Rp71.5m • PYFA Rp4.37m vs Rp1.88m • INAF -Rp21.4m vs -Rp21.8m *RETAIL* • AMRT Rp350m vs Rp202m • ACES Rp246m vs Rp236m • ERAA Rp103m vs Rp47.4m • DNET Rp49.6m vs Rp51.2m • MIDI Rp42.0m vs Rp27.9m • DUCK Rp30.7m vs Rp48.9m • RANC Rp22.9m vs Rp11.9m • CSAP Rp21.6m vs Rp20.0m • RALS Rp13.3m vs Rp77.5m • MAPI Rp8.08m vs Rp138m • PZZA Rp6.04m vs Rp40.2m • FAST Rp5.41m vs Rp50.3m • MAPB -Rp15.4m vs Rp24.9m • HERO -Rp43.5m vs -Rp3.52m • LPPF -Rp93.9m vs Rp142m • MPPA -Rp100m vs -Rp113m • MLPL -Rp665m vs -Rp31.6m *PROPERTY & RELATED* • LPCK Rp793m vs Rp151m • BSDE Rp259m vs Rp618m • JRPT Rp207m vs Rp224m • CTRA Rp177m vs Rp283m • DUTI Rp131m vs Rp239m • DILD Rp84.4m vs Rp48.4m • PWON Rp66.8m vs Rp721m • SMRA Rp37.0m vs Rp42.2m • PPRO Rp26.4m vs Rp53.2m • MMLP Rp25.2m vs Rp34.3m • SMDM -Rp1.16m vs Rp14.1m • PJAA -Rp10.4m vs Rp10.1m • SSIA -Rp17.4m vs -Rp10.9m • MDLN -Rp159m vs Rp318m • BEST -Rp226m vs Rp95.4m • APLN -Rp448m vs Rp163m • KIJA -Rp754m vs Rp76.6m • LPKR -Rp2.11t vs Rp50.0m *CONSTRUCTION* • WSBP Rp104m vs Rp286m • WIKA Rp99.2m vs Rp286m • WEGE Rp81.6m vs Rp77.5m • WTON Rp72.7m vs Rp70.8m • TOTL Rp60.9m vs Rp67.3m • WSKT Rp42.7m vs Rp721m • NRCA Rp28.0m vs Rp29.3m • ADHI Rp14.5m vs Rp75.5m • PPRE Rp14.0m vs Rp92.1m • PTPP Rp13.3m vs Rp171m • IDPR -Rp53.7m vs Rp2.12m • ACST -Rp124m vs -Rp90.7m
*INFRASTRUCTURE RELATED*
• PGAS $47.8jt vs $65.1jt
• JSMR Rp588m vs Rp585m
• SMGR Rp446m vs Rp268m
• INTP Rp400m vs Rp397m
• AKRA Rp228m vs Rp201m
• CMNP Rp181m vs Rp217m
• BUKK Rp128m vs Rp188m
• SMCB Rp68.4m vs -Rp123m
• IPCM Rp32.3m vs Rp25.8m
• IPCC Rp20.4m vs Rp49.1m
• SMBR -Rp64.2m vs Rp4.13m
• BNBR -Rp279m vs Rp36.8m
*AUTO & HEAVY EQUIPMENT*
• ASII Rp4.81t vs Rp5.21t
• UNTR Rp1.82t vs Rp3.05t
• AUTO Rp115m vs Rp159m
• IMAS -Rp164m vs Rp631m
*MANUFACTURING*
• INKP $179jt vs $73.1jt
• TKIM $156jt vs $47.9jt
• KRAS $74.1jt vs -$62.3jt
• SRIL $28.2jt vs $28.0jt
• ARNA Rp65.7m vs Rp55.7m
• PBID Rp61.5m vs Rp63.6m
• ESSA $1.03jt vs $4.80jt
• WIIM Rp14.3m vs Rp5.27m
• JECC Rp7.37m vs Rp16.8m
• BRPT -$2.09jt vs $5.62jt
• KBLI -Rp13.6m vs Rp115m
• NIKL -$10.1jt vs $2.24jt
• TPIA -$17.8jt vs $17.3jt
• FASW -Rp324m vs Rp420m
• GJTL -Rp404m vs Rp169m
*TRADE & SERVICES*
• BULL $19.4jt vs $3.51jt
• MIKA Rp199m vs Rp183m
• EPMT Rp176m vs Rp132m
• HEAL Rp71.8m vs Rp56.4m
• MPMX Rp66.1m vs Rp107m
• PRDA Rp34.8m vs Rp47.9m
• SMDR $1.86jt vs $258rb
• IMJS Rp24.0m vs Rp57.1m
• TCPI Rp22.1m vs Rp73.4m
• BIRD Rp13.7m vs Rp88.7m
• SOCI $971rb vs $6.17jt
• BLTA $571rb vs $598rb
• TAXI -Rp31.9m vs -Rp42.2m
• MBSS -$2.09jt vs $1.50jt
• GMFI -$31.3jt vs $3.02jt
• GIAA -$120jt vs $20.5jt
*OIL & MINING RELATED*
• ADRO $98.2jt vs $119jt
• PTBA Rp903m vs Rp1.14t
• BYAN $35.5jt vs $84.2jt
• INCO $28.9jt vs -$20.2jt
• ITMG $15.4jt vs $39.7jt
• MDKA $14.9jt vs $20.3jt
• ENRG $12.7jt vs $7.54jt
• BIPI $9.55jt vs $7.85jt
• PTRO $4.21jt vs $3.09jt
• PSAB $1.33jt vs $3.23jt
• DEWA $688rb vs $266rb
• BRMS $165rb vs $86.6rb
• DKFT -Rp163m vs Rp27.6m
• ANTM -Rp282m vs Rp176m
• INDY -$21.0jt vs $11.7jt
• DOID -$22.7jt vs $1.36jt
• BUMI -$35.1jt vs $48.4jt
*AGRICULTURE & POULTRY*
• CPIN Rp922m vs Rp811m
• AALI Rp371m vs Rp37.4m
• JPFA Rp344m vs Rp311m
• TBLA Rp101m vs Rp203m
• LSIP Rp81.0m vs Rp38.6m
• SIPD Rp29.1m vs Rp13.2m
• BISI Rp24.3m vs Rp75.2m
• MAIN Rp14.1m vs Rp91.3m
• SIMP -Rp51.9m vs -Rp31.3m
• BWPT -Rp143m vs -Rp254m
• SMAR -Rp1.41t vs Rp479m
¹ Ada penjualan menara Rp1.62t;
² Ada rugi selisih kurs Rp244m
³ Ada laba selisih kurs Rp605m;
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