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Author Topic: COMPOSITE and CI FUTURES  (Read 318015 times)
Jayrash
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« Reply #3690 on: December 30, 2008, 08:17:01 AM »

Still holding my position...long at 877....(Dec contract)
Last closing price on friday(26th Dec) is 874...
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Jayrash
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« Reply #3691 on: December 30, 2008, 08:54:58 AM »

KLFI(Dec) opening this morning is 874...
My position now is Long at 877....
My stop loss at 864....
Happy trading for everyone...
wondering why this forum is very quiet nowadays...
hopefully everyone can make it more movevable....same like trading lah...not nice if volume is low....
 afro
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bizfun
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« Reply #3692 on: December 30, 2008, 10:51:40 AM »

It is because a lot of traders is waiting for stock buy signals. Once it triggered, it will boom up. Just wait and watch.
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Jayrash
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« Reply #3693 on: December 30, 2008, 03:55:42 PM »

Oh..like dat ah...ok..good...waiting for all of you to give some comments here....
any good ideas or tips to share about futures...
i still hold my position for Dec contract at 877(long)
and maintain my stop loss at 864...
tomorrow is last day for trading Dec...
hope it will be a positive result 4 me... question
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Jayrash
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« Reply #3694 on: January 02, 2009, 08:50:05 AM »

Hi everyone,
Happy New Year! Hope all of us...trader will have a good time in 2009... cheesy
For my part i close my position for last month with 2.5% profit..
Hope i can make more or atleast maintain that....
Good luck for all of you..and if anyone interested to trade futures(especially FKLI) and you need more information...you can ask me...
take care & bubye! afro
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pensnh
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« Reply #3695 on: January 03, 2009, 12:11:59 AM »

Don't know who accidentally sold 2-3 lots at 810 (March's contract) on 31/Dec ... question question
He/she must be cursing a lot then. The one queuing at 810 and bought it will surely have a big laugh.
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Maxforce
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« Reply #3696 on: January 03, 2009, 09:40:13 AM »

Where got accident one? Either its professionals doing some stuff or newbies thinking Mar will go down.
Either case, far month normally we dont touch.
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theng
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« Reply #3697 on: January 03, 2009, 10:32:56 AM »

Where got accident one? Either its professionals doing some stuff 
Yep agree, for me was planned, they planned every move can find from intraday chart.
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pensnh
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« Reply #3698 on: January 03, 2009, 04:00:13 PM »

When the previous sold was at 870, why wanted to sell at 810?
Logically it did not make sense as there was no urgency to sell at 810 on 31/Dec.
« Last Edit: January 03, 2009, 04:06:50 PM by pensnh » Logged
pensnh
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« Reply #3699 on: January 03, 2009, 04:11:48 PM »

I will ask my broker firm about below .... long waited.

------------------------------------------------------------------------------------
Coming Soon! - Electronic Trading for KLCI & Crude Palm Oil

Look forward to trading Malaysian flagship products like the Kuala Lumpur Composite Index (KLCI) futures and Crude Palm Oil electronically! Take the chance to learn more about KLCI or CPO. As a member of Bursa Malaysia, the newly established Phillip Futures Sdn Bhd is set to provide an integrated and comprehensive range of quality services to our clients.

For further enquiries, please contact Daniel Low or Jolene Toh at (65) 6535 1155 or email to clientsrelation@phillip.com.sg or call the Marketing Desk at (65) 6538 0500.
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Maxforce
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« Reply #3700 on: January 03, 2009, 09:39:03 PM »

Was there another lot done at the same time for another month's contract?
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wilson
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« Reply #3701 on: January 03, 2009, 11:06:24 PM »

My opinion is KLCI & FKLI R still uptrend. Better Buy on dip rather than short


Hi, anyone do intraday trading, then can chat using MSN messenger.
« Last Edit: January 03, 2009, 11:09:45 PM by wilson » Logged
theng
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« Reply #3702 on: January 03, 2009, 11:18:26 PM »

Was there another lot done at the same time for another month's contract?
Another mth contract was there the same or not not that important, now we may be we will not know why or what is it for, but I think later the picture will be clear. let look back to 2008 Aug contract(spot) at 1/08/2008 3.35pm moving range from low of 1147 to as high as 1200, at that time I m sure none of us know what had
happen, but the picture was clear till 26/09/08 to 30/10/08, then i know why. from there I look back to 18/07/08 and 24/07/08 found it form a nice trend(form a 17+-degree of angle).      
« Last Edit: January 03, 2009, 11:24:00 PM by theng » Logged

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pensnh
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« Reply #3703 on: January 04, 2009, 12:27:48 AM »

Max,
No similar lot done for other contract months.

Theng,
If it is spot month and next month then I understand it will affect charting but this was March's contract month.
Do you mean that the bought/sold parties could be the same gang of people with certain intention behind?
If it was not for charting purpose but for higher profit, then for sure the seller was the victim ... or it was an
undertable deal through futures (eg corruption & etc).
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Maxforce
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« Reply #3704 on: January 04, 2009, 01:17:25 AM »

Well then, probably done by newbies.
You know, whenever we introduce futures to newbies, they always seemed to know where the direction of the market is going to be in few months' time. Ask them to play spotmonth then rollover if necessary - since they are almost certain to say they want to play long term, most of them will still ask, why not play far month contract directly? Oh well...
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"Ren fa di, di fa tian, tian fa tao, tao fa zi ran"
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