Fundamental Market US
Knp US market best?
90% retailers (EPF pun
dikira retailers kt US.. hehe)
10% institutions (Blackrock,
Vanguard, etc)
How to choose the good
stock?
1.
P/E price/earning
ratio – kesanggupan pelabur utk membayar utk dapatkan saham itu
Kdg2
higher x better, kdg2 lower better.
Contoh:
Company
untung RM1000 setahun, pelabur sanggup byr RM1000, so P/E ratio = 1
Company
untung RM1000 setahun, pelabur sanggup byr RM2000, so P/E ratio = 2
PE
ratio tinggi tapi x sustainable = tak bagus
PE
ratio tinggi tapi sustainable = bagus
PE
ratio rendah tapi sustainable = bagus
PE
ratio rendah tapi x sustainable = sampah
2.
Compare
dgn PEER
Contoh:
Nike VS Under Armour
a)
Adakah
figure dia justify
Contoh:
Topglove pernah PE ratio 100, tapi
x sustainable (sbb covid je dia tinggi). X justify
Jftech skrg PE ratio 177, tapi
sustainable – so justify
3.
Efficiency
ratio
a)
Return on
Equity
-how effective company manage duit
pelabur. Lagi tinggi lagi bagus
b)
Return on
Asset
- how effective company manage asset. Lagi
tinggi lagi bagus
Kena compare dgn previous years. Adakah company makin perform.
4.
Liquidity
ratio (kecairan dia. Contoh Cash in hand) – Lagi tinggi lagi bagus
a)
Quick
ratio
-
Cash
bahagi Current Liability
-
Amount
duit yg ada dibahagi dgn hutang jangka pendek.
Contoh duit ada RM5k, hutang
belakang rumah RM5k = ratio 1
b)
Current
ratio
-
Cash +
inventory bahagi Current Liability
5.
Profitability
ratio – Lagi tinggi lagi bagus
a)
Gross
margin
-Reasonable 20-25%
b)
Net profit
margin
-Reasonable 10-15%
Tak jauh beza
6.
Earning
ratio (lagi tinggi lagi bagus)
EPS =
Earning per Share (earning tu untung dia)
Example
Case A
YUM!
PE =
35
Price
= 105USD
McDonald
PE =
35
Price
= 210USD
So,
apa beza dua2 ni? McD earning lagi tinggi.
PE =
price/earning
So,
senang decide sbb x variable.
Example
Case B
Comcast
PE = 50
Price
= USD100
So,
EPS - 2
Netflix
PE = 100
Price
= USD200
So,
EPS – 2
So,
mcm mane comcast nk naikkan Price saham dia?
-dia
kena naikkan earning dia, dia kena naikan revenue dia.
-cara
nya dia kena datang dgn idea baru etc
-contoh
comcast nak buat Infinitv
7.
Kat mana
nk baca semua2 ni?
-
Investing.com
Najib minat Tech &
consumer dkt US Market
OPTION
Call option A – Strike
price USD100
Katakan nk jual rumah
RM1juta, so, jual contract pre-agree RM1000.
Lepas kan rumah tu
harga jatuh jadi 900k, so contract tu x bernilai.
Kalau rumah tu naik
RM1.1juta, so contract tu ada value.
Put Option B – Strike
Price USD100
Katakan pegang saham
apple. Harga semasa 90USD, so put option jadi bernilai.
Option ada expiry
date. Lagi dekat expired, lagi x bernilai.
Normally 2-3 months
contract.
Strategi Mid to Long
term
Guna Malaysiastock.biz
Stock Quote >
Sector
US market. – Guna
Finviz.com -> Maps
Notes: Jika Makin besar kotak diatas, makin besar P/E dia




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