World Indices

Commodities

screening-2010-Oct-8 and Weekly statistics - 2010-Oct-04 to 2010-Oct-08

Catching Falling Knife
ARMSTRONG INDUSTRIAL CORP LTD
BROADWAY INDUSTRIAL GROUP LTD
Z-OBEE HOLDINGS LIMITED      
FEDERAL INT(2000) LTD        
WILMAR INTERNATIONAL LIMITED 
TIGER AIRWAYS HOLDINGS LIMITED
CACHE LOGISTICS TRUST        
YANLORD LAND GROUP LIMITED   
SYNEAR FOOD HOLDINGS LIMITED 
Finding a new lease of life
N.A.
Close price within 2% of MA200
AEI CORPORATION LTD          
ASCOTT RESIDENCE TRUST       
ASIASONS CAPITAL LIMITED     
BRC ASIA LIMITED             
COMFORTDELGRO CORPORATION LTD
DAPAI INTL HLDG CO. LTD.     
HG METAL MANUFACTURING LTD   
HYFLUX LTD                   
K1 VENTURES LIMITED          
KTL GLOBAL LIMITED           
L.C.DEVELOPMENT LTD          
OCEANUS GROUP LIMITED        
RENEWABLE ENERGY ASIA GRP LTD
ROTARY ENGINEERING LIMITED   
SINO CONSTRUCTION LIMITED    
SINOMEM TECHNOLOGY LIMITED   
SMB UNITED LIMITED           
SMRT CORPORATION LTD         
SOUND GLOBAL LTD.            
UNITED OVERSEAS BANK LTD     
UNITED SSE 50 CHINA ETF      
VAN DER HORST ENERGY LIMITED 
Top 20 weekly % Losers
ETIKA INTERNATIONAL HLDGS LTD  1.01 0.5 -50.5% SGD -.51
CHASEN HOLDINGS LIMITED        0.385 0.335 -12.99% SGD -.05
DMX TECHNOLOGIES GROUP LTD     0.45 0.415 -7.78% SGD -.035
HENGYANG PETROCHEM LOG LIMITED 0.65 0.6 -7.69% SGD -.05
WEPCO LIMITED                  0.4 0.37 -7.5% SGD -.03
TRANSIT-MIXED CONCRETE LTD     0.41 0.38 -7.32% SGD -.03
BENG KUANG MARINE LIMITED      0.23 0.215 -6.52% SGD -.015
OLAM INTERNATIONAL LIMITED     3.31 3.13 -5.44% SGD -.18
GENTING HONG KONG LIMITED      0.46 0.435 -5.43% USD -.025
SOUND GLOBAL LTD.              0.87 0.83 -4.6% SGD -.04
YANLORD LAND GROUP LIMITED     1.75 1.67 -4.57% SGD -.08
CORTINA HOLDINGS LIMITED       0.45 0.43 -4.44% SGD -.02
COSMOSTEEL HOLDINGS LIMITED    0.235 0.225 -4.26% SGD -.01
CITY DEVELOPMENTS LTD NCCPS    1.19 1.14 -4.2% SGD -.05
TELECHOICE INTERNATIONAL LTD   0.24 0.23 -4.17% SGD -.01
UNITED ENVIROTECH LTD          0.485 0.465 -4.12% SGD -.02
WEE HUR HOLDINGS LTD W121027   0.245 0.235 -4.08% SGD -.01
TIGER AIRWAYS HOLDINGS LIMITED 2.04 1.96 -3.92% SGD -.08
ISDN HOLDINGS LIMITED          0.26 0.25 -3.85% SGD -.01
CITY DEVELOPMENTS LIMITED      12.88 12.4 -3.73% SGD -.48
Top 20 weekly % Gainers
CHINA MERCHANTS PROP DEVTCOLTD 8.78 18 105.01% HKD 9.22
LORENZO INTERNATIONAL LIMITED  0.13 0.25 92.31% SGD .12
SUNVIC CHEMICAL HOLDINGS LTD   0.405 0.47 16.05% SGD .065
COMBINE WILL INTL HLDGS LTD    0.25 0.29 16% SGD .04
IDT HOLDINGS (SINGAPORE) LTD   0.465 0.53 13.98% SGD .065
HLN TECHNOLOGIES LIMITED       0.325 0.37 13.85% SGD .045
LUYE PHARMA GROUP LTD.         1.1 1.25 13.64% SGD .15
YONGNAM HOLDINGS LIMITED       0.265 0.3 13.21% SGD .035
AFP PROPERTIES LIMITED         0.575 0.645 12.17% SGD .07
TAI SIN ELECTRIC LIMITED       0.215 0.24 11.63% SGD .025
PEC LTD.                       1.06 1.18 11.32% SGD .12
TRANSPAC INDUSTRIAL W120511    0.81 0.9 11.11% SGD .09
VALUETRONICS HOLDINGS LIMITED  0.225 0.25 11.11% SGD .025
CREATIVE TECHNOLOGY LTD        3.99 4.41 10.53% SGD .42
HISAKA HOLDINGS LTD.           0.34 0.375 10.29% SGD .035
STAMFORD TYRES CORPORATIONLTD  0.295 0.325 10.17% SGD .03
EU YAN SANG INTERNATIONAL LTD  0.79 0.87 10.13% SGD .08
SINO GRANDNESS FOOD IND GP LTD 0.37 0.405 9.46% SGD .035
AVI-TECH ELECTRONICS LIMITED   0.215 0.235 9.3% SGD .02
OSIM INTERNATIONAL LTD         1.01 1.1 8.91% SGD .09
Top 20 weekly losers
ETIKA INTERNATIONAL HLDGS LTD  1.01 0.5 -50.5% SGD -.51
CITY DEVELOPMENTS LIMITED      12.88 12.4 -3.73% SGD -.48
VENTURE CORPORATION LIMITED    9.73 9.51 -2.26% SGD -.22
FRASER AND NEAVE, LIMITED      6.48 6.26 -3.4% SGD -.22
OLAM INTERNATIONAL LIMITED     3.31 3.13 -5.44% SGD -.18
SINGAPORE TECH ENGINEERING LTD 3.4 3.3 -2.94% SGD -.1
BRITISH & MALAYAN TRUSTEES LTD 6.3 6.2 -1.59% SGD -.1
SINGTEL                        3.19 3.09 -3.13% SGD -.1
GREAT EASTERN HLDGS LTD        15.62 15.52 -.64% SGD -.1
SINGTEL 10                     3.18 3.09 -2.83% SGD -.09
SINGTEL 100                    3.17 3.09 -2.52% SGD -.08
YANLORD LAND GROUP LIMITED     1.75 1.67 -4.57% SGD -.08
TIGER AIRWAYS HOLDINGS LIMITED 2.04 1.96 -3.92% SGD -.08
ASCENDAS REAL ESTATE INV TRUST 2.17 2.11 -2.76% SGD -.06
HSU FU CHI INTERNATIONAL LTD   3.15 3.1 -1.59% SGD -.05
CHASEN HOLDINGS LIMITED        0.385 0.335 -12.99% SGD -.05
HENGYANG PETROCHEM LOG LIMITED 0.65 0.6 -7.69% SGD -.05
CITY DEVELOPMENTS LTD NCCPS    1.19 1.14 -4.2% SGD -.05
CDL HOSPITALITY TRUSTS         2.14 2.1 -1.87% SGD -.04
SOUND GLOBAL LTD.              0.87 0.83 -4.6% SGD -.04
Top 20 Weekly Gainer
CHINA MERCHANTS PROP DEVTCOLTD 8.78 18 105.01% HKD 9.22
SPDR GOLD SHARES               128.47 130.42 1.52% USD 1.95
JARDINE MATHESON HLDGS LTD     45.8 47.4 3.49% USD 1.6
STX PAN OCEAN CO., LTD.        13.82 14.82 7.24% SGD 1
SHANGRI-LA ASIA LIMITED        16.8 17.5 4.17% HKD .7
JARDINE CYCLE & CARRIAGE LTD   39.1 39.6 1.28% SGD .5
DAIRY FARM INT'L HOLDINGS LTD  7.45 7.9 6.04% USD .45
LYXOR CHINA H 10               16.04 16.47 2.68% USD .43
CREATIVE TECHNOLOGY LTD        3.99 4.41 10.53% SGD .42
ASIA PACIFIC BREWERIES LTD     17.5 17.92 2.4% SGD .42
SINGAPORE EXCHANGE LIMITED     9.03 9.44 4.54% SGD .41
SEMBCORP MARINE LTD            3.95 4.28 8.35% SGD .33
THAI PRIME FUND LTD            8.5 8.82 3.76% USD .32
KEPPEL CORPORATION LIMITED     9.11 9.41 3.29% SGD .3
HONGKONG LAND HOLDINGS LIMITED 6.33 6.57 3.79% USD .24
SEMBCORP INDUSTRIES LTD        4.42 4.63 4.75% SGD .21
DBS GROUP HOLDINGS LTD         14.22 14.42 1.41% SGD .2
LYXOR KOREA 10                 4.58 4.75 3.71% USD .17
CIMB FTSE ASEAN40 100          9.9 10.06 1.62% USD .16
LUYE PHARMA GROUP LTD.         1.1 1.25 13.64% SGD .15
Top 20 weekly top volume
Stock Name Total Value Volume
GENTING SINGAPORE PLC          SGD  1,486,493,764 726,770,000
GENTING HONG KONG LIMITED      USD  170,450,705 372,404,000
YONGNAM HOLDINGS LIMITED       SGD  87,557,010 283,938,000
JES INTERNATIONAL HOLDINGS LTD SGD  79,659,680 216,258,000
MDR LIMITED                    SGD  1,031,365 194,830,000
GOLDEN AGRI-RESOURCES LTD      SGD  97,441,400 167,924,000
OVERSEAS UNION ENTERPRISE LTD  SGD  452,738,610 160,264,000
NOBLE GROUP LIMITED            SGD  305,064,100 154,809,000
GMG GLOBAL LTD                 SGD  44,041,220 152,542,000
CONTEL CORPORATION LIMITED     SGD  3,151,985 130,770,000
SINO GRANDNESS FOOD IND GP LTD SGD  53,647,320 130,156,000
COSCO CORPORATION (S) LTD      SGD  238,051,100 127,803,000
BIO-TREAT TECHNOLOGY LIMITED   SGD  10,722,790 117,424,000
BENG KUANG MARINE LIMITED      SGD  25,905,885 115,491,000
CHINA NEW TOWN DEVT CO LIMITED SGD  18,473,960 111,284,000
GUANGZHAO IND FOREST BIOGRPLTD SGD  16,514,935 108,018,000
SINGTEL                        SGD  329,851,030 105,742,000
LORENZO INTERNATIONAL LIMITED  SGD  25,520,320 105,621,000
NEPTUNE ORIENT LINES LIMITED   SGD  211,671,360 102,152,000
RENEWABLE ENERGY ASIA GRP LTD  SGD  25,311,235 97,878,000
Top 20 weekly top value
Stock Name Total Value Volume
GENTING SINGAPORE PLC          SGD  1,486,493,764 726,770,000
OVERSEAS UNION ENTERPRISE LTD  SGD  452,738,610 160,264,000
DBS GROUP HOLDINGS LTD         SGD  401,711,603 27,778,000
KEPPEL CORPORATION LIMITED     SGD  374,631,610 39,837,000
OVERSEA-CHINESE BANKING CORP   SGD  341,947,240 37,783,000
SINGTEL                        SGD  329,851,030 105,742,000
WILMAR INTERNATIONAL LIMITED   SGD  319,824,924 53,428,000
NOBLE GROUP LIMITED            SGD  305,064,100 154,809,000
UNITED OVERSEAS BANK LTD       SGD  297,011,750 15,826,000
SINGAPORE EXCHANGE LIMITED     SGD  248,925,236 26,680,000
CAPITALAND LIMITED             SGD  248,687,252 59,487,000
COSCO CORPORATION (S) LTD      SGD  238,051,100 127,803,000
SEMBCORP MARINE LTD            SGD  232,044,890 55,282,000
NEPTUNE ORIENT LINES LIMITED   SGD  211,671,360 102,152,000
GENTING HONG KONG LIMITED      USD  170,450,705 372,404,000
OLAM INTERNATIONAL LIMITED     SGD  122,345,380 38,182,000
YANGZIJIANG SHIPBLDG HLDGS LTD SGD  109,689,715 60,396,000
GOLDEN AGRI-RESOURCES LTD      SGD  97,441,400 167,924,000
YANLORD LAND GROUP LIMITED     SGD  93,537,310 54,283,000
SINGAPORE AIRLINES LTD         SGD  91,039,900 5,556,000

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