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AITKEN SPENCE HOTEL HOLDINGS PLC
ANILANA HOTELS AND PROPERTIES PLC
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BLUE DIAMONDS JEWELLERY WORLDWIDE PLC
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CARGO BOAT DEVELOPMENT COMPANY PLC
CEYLON GRAIN ELEVATORS PLC Hot
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COMMERCIAL CREDIT AND FINANCE PLC
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DIALOG AXIATA PLC
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E
F
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HAYLEYS FABRIC PLC
HVA FOODS PLC
J
JANASHAKTHI INSURANCE COMPANY PLC
JOHN KEELLS HOLDINGS PLC Hot
JOHN KEELLS HOTELS PLC
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LANKEM CEYLON PLC
LAUGFS GAS PLC
LUCKY LANKA MILK PROCESSING COMPANY PLC
M
N
NATION LANKA FINANCE PLC
NESTLE LANKA PLC
O
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PEOPLE'S LEASING & FINANCE PLC
PIRAMAL GLASS CEYLON PLC
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RICHARD PIERIS AND COMPANY PLC
RICHARD PIERIS EXPORTS PLC Hot
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@stocksira wrote:SLStock - I invested long term 6-12 months but felt bit scarey after Bullrun's story. I also had SAMP 10,000 shares at Rs 175 but after seeing their performance and Gold exposure, 25% of total domestic lending, existed around 172 at a loss but now feel I did the right thing. I am worried why CFIN is not holding its position after doing fairly well in last quarter.
Wothiness - Thanks !!
Last edited by slstock on Mon Nov 18, 2013 7:42 pm; edited 2 times in total
NEST may be a worry.CFIN no worry.It was stable at 180 and had a slow run to 190 with good volumes.Now pushed down below 180 without a reason.190 will be achieved again.No worries.@stocksira wrote:SLStock - I invested long term 6-12 months but felt bit scarey after Bullrun's story. I also had SAMP 10,000 shares at Rs 175 but after seeing their performance and Gold exposure, 25% of total domestic lending, existed around 172 at a loss but now feel I did the right thing. I am worried why CFIN is not holding its position after doing fairly well in last quarter.
Wothiness - Thanks !!
You could have kept this with you as it was @ 175.00 level.@stocksira wrote:SLStock - I invested long term 6-12 months but felt bit scarey after Bullrun's story. I also had SAMP 10,000 shares at Rs 175 but after seeing their performance and Gold exposure, 25% of total domestic lending, existed around 172 at a loss but now feel I did the right thing. I am worried why CFIN is not holding its position after doing fairly well in last quarter.
Wothiness - Thanks !!
I bought 10 @ 1,850.10 today, just to monitor the moments, are u saying its better to hold it? I can hold it and am not on credit either@Jana1 wrote:You have good counters in my opinion.. Don't worry about what happened to others... He lost his money because fo wrong time investment. In your case its very less likely to loose but very high chance get profit.. I heard sum stories about NEST... Better hold it....TJL also can push up if the mkt moves up...
Mate,@Gaja wrote:I bought 10 @ 1,850.10 today, just to monitor the moments, are u saying its better to hold it? I can hold it and am not on credit either@Jana1 wrote:You have good counters in my opinion.. Don't worry about what happened to others... He lost his money because fo wrong time investment. In your case its very less likely to loose but very high chance get profit.. I heard sum stories about NEST... Better hold it....TJL also can push up if the mkt moves up...
Friend u PF is fine, make sure u r not going on credit
Don't trust the price.SAMP,LFIN,HEYL,RCL,DIPD,VONE all are at low prices and well maintained.Turnaround will begin with few crossings when needed.@Leon wrote:You could have kept this with you as it was @ 175.00 level.@stocksira wrote:SLStock - I invested long term 6-12 months but felt bit scarey after Bullrun's story. I also had SAMP 10,000 shares at Rs 175 but after seeing their performance and Gold exposure, 25% of total domestic lending, existed around 172 at a loss but now feel I did the right thing. I am worried why CFIN is not holding its position after doing fairly well in last quarter.
Wothiness - Thanks !!
Yes yes holding this is not an matter for me.@Jana1 wrote:Mate,@Gaja wrote:I bought 10 @ 1,850.10 today, just to monitor the moments, are u saying its better to hold it? I can hold it and am not on credit either@Jana1 wrote:You have good counters in my opinion.. Don't worry about what happened to others... He lost his money because fo wrong time investment. In your case its very less likely to loose but very high chance get profit.. I heard sum stories about NEST... Better hold it....TJL also can push up if the mkt moves up...
Friend u PF is fine, make sure u r not going on credit
I dont hold any shares with that counter... My broker told guys are talking to push further up to 3000. He said me to buy TJL for 50% of my portfolio when it was 10.5 level... there could be a possibility on that overvalued counter and easy way to push ASI... That is highly over valued counter for me.. But some people are looking its future dividend pay...10@1850 is nothing.. Holding it wouldn't be a big matter for u, I gues...
Panic sellers had pull it down,I'm collecting,hope to take 40-50% profit in 1yr@Rapaport wrote:Good stock picks, nothing much to worry.
Adding 10,000 SAMP to that portfolio would only make it look better!!!
Cheers!
NEST finally made it....@Gaja wrote:Some big turnover in the NEST in the morning
Target a price to get exit with NEST. No more good counter..It may go above 2500 level. Rumors say 3000....@stocksira wrote:
Last edited by Sstar on Thu Sep 04, 2014 7:35 am; edited 2 times in total
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