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It’s almost double bottom, with better earnings, time to accumulate, dividend not so important, price appreciation better, if got dividend, it’s a bonus lah.........
GaryLoh, DecMoon.... look at div pattern announcements , it is twice a year Jun n Nov. So if Yr end got div will be known around Nov. So guys crossed your fingers n hope for the best......... hahaha
kf Siow.. prepared bullet for this coming 10th & year end dividend announcement.
my last grab price was 2.9, left 2 batch $$ to accumulate. lack of bullet, need work hard.. haha
After the 1998 financial crisis, banks in Malaysia already learn a lesson, they are more prudent in giving out loans, maybe except a few which expose to the oil and gas sector one.
all bank sector sure will hit more impairment loss (whether is consumer or corporate) and low net interest margin but not to worry as bank sector have keep minimum Tier 1 & 2 capital ratio require by Bank Negara that have sufficient cash liquidity