By : Tokan
The Malaysian stock market on Wednesday ended the two-day losing streak in which it had fallen just over 1 point. Now at a fresh record closing high, the Kuala Lumpur Composite Index finished just above the 1,590-point plateau, and now traders are expecting mild consolidation at the opening of trade on Thursday.
The global forecast for the Asian markets is mixed, with European debt concerns continuing to weigh on investors - who also are likely to be cautious ahead of U.S. employment data at the end of the week. Commodities may provide some support - especially gold - although financials and steel companies figure to weigh. The European markets finished firmly lower and the U.S. bourses were slightly higher - and the Asian markets are expected to split the difference.
The KLCI finished modestly higher on Wednesday following gains from the financial shares, industrial issues and plantation stocks.
For the day, the index climbed 9.49 points or 0.60 percent to finish at the daily high of 1,591.34 after falling as low as 1,580.46. Volume was 1.11 billion shares worth 2.15 billion ringgit. There were 453 gainers and 287 decliners, with 342 stocks finishing unchanged.
Among the actives, Axiata, Compugates, United Plantation, Petronas Dagangan, MSM Malaysia, PPB Group, Maybank, CIMB Group and Petronas Chemicals all finished higher, while Sime Darby was unchanged and UMW, Gamuda and Time Engineering all ended lower.
In economic news, the Malaysian central bank will on Thursday conclude its monetary policy meeting and then announce its decision on interest rates. The bank is widely expected to hike rates by 25 basis points, from 3.00 percent to 3.25 percent.
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Rintangan Pada 1600 Mata Pada Pasaran Malaysia:
Pasaran saham Malaysia pada hari Rabu mengakhiri coretan dua hari yang tewas di mana ia telah jatuh lebih 1 mata. Kini di rekod baru tutup tinggi, Indeks Komposit Kuala Lumpur selesai betul-betul di atas dataran tinggi 1590 mata, dan kini peniaga menjangkakan penyatuan ringan pada pembukaan perdagangan pada hari Khamis.
Ramalan global bagi pasaran Asia bercampur-campur, dengan kebimbangan hutang Eropah yang terus berat kepada pelabur - yang juga mungkin akan berhati-hati menjelang data pekerjaan Amerika Syarikat (AS) pada hujung minggu. Komoditi boleh memberi sedikit sokongan - terutama emas - walaupun syarikat-syarikat kewangan dan keluli angka berat. Pasaran Eropah selesai tegas yang lebih rendah dan bursa AS adalah lebih tinggi sedikit dan pasaran Asia dijangka memecahkan perbezaan.
KLCI selesai sederhana tinggi pada hari Rabu keuntungan berikut dari saham-saham kewangan, isu-isu industri dan saham perladangan.
Untuk hari itu, indeks naik 9,49 mata atau 0,60 peratus selesai pada paras tertinggi harian 1,591.34 selepas jatuh serendah 1,580.46. Jumlah dagangan 1,11 bilion saham bernilai 2,15 bilion ringgit. Terdapat 453 kaunter untung dan 287 rugi, dengan 342 saham penamat tidak berubah.
Antara saham aktif, Axiata, Compugates, United Plantation, Petronas Dagangan, MSM Malaysia, PPB Group, Maybank, CIMB Group dan Petronas Chemicals semua selesai lebih tinggi, manakala Sime Darby tidak berubah dan Kejuruteraan UMW, Gamuda dan Masa semua berakhir lebih rendah.
Dalam berita ekonomi, bank pusat Malaysia pada hari Khamis akan membuat kesimpulan mesyuarat dasar monetari dan kemudian mengumumkan keputusan tentang kadar faedah. Bank itu dijangka kenaikan kadar oleh 25 mata asas daripada 3.00 peratus kepada 3.25 peratus.
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