AS in previous missive these two telecom services .. axiata and telekom we are still holding.. the other two we are still holding are ammb and mbb.. these are all for investment folio.. but our knm is for trading,, from the look of knm it it does not seem nice.. time will time
since there are alot of head in our office .. some heads like trading and some heads like investing.. we have to compromise somehow to please the team... if trading fails us then no more trading .. that for sure we will make..
our ADVISOR will say nothing since she only intersted in profit/loss only ..
coming back to telekom and axiata.. we are still holding them .. we are not so nervous.. all TA are all ok..
So what are the differnt between trading and investing ... in own defination the different between the two are
TIME
our chiteria must fullfill these two aspect
ONE ... FA must be OK .. we will never choose company unknown to us .. even if she bankrupt she will bail by goverment
Two... TA will full fill its cyclic exit.. pattern ok.. and its momentum just set in
in conclusion we are still watching and monitoring the two's to see any weakness in its TA
for ammb and mbb we will write later on