2012年5月31日星期四

BURSA MALAYSIA TRADE STATISTICS 31 MAY 2012






BURSA MALAYSIA TRADE STATISTICS

31 MAY 2012  





                                Participation     Bought       Sold          Net
                                %                     RM           RM            RM     

Local Institutions     37.1                  1000.7     1151.9      -151.2

Local Retail            11.3                   294.8       358.6         -63.8
Foreign                   51.6                1604.9      1389.9       215.0
                           100.0                2900.4       2900.4           0.0

Friday, 1 June 2012 COASTAL – Stock Pick

Friday, 1 June 2012 COASTAL – Stock Pick



COASTAL ( 5071 : 1.76 ) : Targeting 2.00/Stop loss 1.62

Description

Resistance : 2.00

Support : 1.69

RSI of 29
RSI is oversold

STOCHASTIC
It is oversold

Comment
The current oversold situation, points to an overdue technical rebound

Trading Strategy
Buy. Stop loss is at 1.62

Disclaimer
This report is provided for information purposes only. It is not a complete analysis of every material fact respecting any company, industry, security or investment. Opinions expressed are subject to change without
notice.

Friday, 1 June 2012 L and G – Stock Pick

Friday, 1 June 2012 L&G – Stock Pick



L&G ( 3174 : 0.33 ) : Targeting 0.39/Stop loss 0.31

Description

Resistance : 0.39 0.44

Support : 0.31

RSI of 57
RSI is on the rise

STOCHASTIC
It is recovering

Comment
The upside trend breakout is targeting 0.39

Trading Strategy
Buy. Stop loss is at 0.31


Disclaimer
This report is provided for information purposes only. It is not a complete analysis of every material fact respecting any company, industry, security or investment. Opinions expressed are subject to change without
notice.

Friday, 1 June 2012 YINSON – Stock Pick

Friday, 1 June 2012 YINSON – Stock Pick



YINSON ( 7293 : 2.01 ) : Targeting 2.20/Stop loss 1.90

Description

Resistance : 2.20

Support : 1.90

RSI of 75
RSI is overbought

STOCHASTIC
It is overbought

Comment
The current run up is targeting 2.20

Trading Strategy
Buy. Stop loss is at 1.90


Disclaimer
This report is provided for information purposes only. It is not a complete analysis of every material fact respecting any company, industry, security or investment. Opinions expressed are subject to change without
notice.

Friday, 1 June 2012 TM – Stock Pick

Friday, 1 June 2012 TM – Stock Pick



TM ( 4863 : 5.39 ) : Targeting 5.70/Stop loss 5.30

Description

Resistance : 5.70

Support : 5.30

RSI of 54
RSI is on the rise

STOCHASTIC
It is recovering

Comment
The current uptrend is targeting 5.70

Trading Strategy
Buy. Stop loss is at 5.30

Disclaimer
This report is provided for information purposes only. It is not a complete analysis of every material fact respecting any company, industry, security or investment. Opinions expressed are subject to change without
notice.

STOCKS GO NOWHERE AFTER WAVE OF BAD NEWS: Here's What You Need To Know



The first 24-hours of the economic Super Bowl are nearly done.
First the scoreboard:
Dow: 12,393, -26.41, -0.21%

S&P 500: 1,310,
-2.99, -0.23%

NASDAQ: 2,827, -10.02, -0.35%

And now the top stories:


  • Today marked the start of an avalanche of economic data out of the U.S.. First we had the Challenger Job-Cut report that saw layoffs surging 66 percent in May to 61,887. A large chunk of the layoffs reflect HP's job cuts. This was followed by the ADP employment report at 8:15 a.m. with private payrolls rising 133K for May, missing expectations, with April numbers revised down to 113K.  

  • Meanwhile, initial jobless claims jumped to 383K in the May 26 week, up 10,000 from last week which was revised up to 373,000. Initial claims widely missed expectations of 370K new claims. 

  • U.S. GDP however came just in line with expectations, with the economy growing 1.9 percent in the first quarter. The economic expansion in the first quarter was revised down by 30 basis points and motor vehicle sales were behind much of the uptick in GDP.

  • Then at 9:45 a.m. another disappointing data point, this time it was Chicago PMI. Growth in the manufacturing industry in the region surrounding Chicago grew at a slower than expected pace, with the business barometer index falling to 52.7, missing expectations of 56.1.

  • Markets did however rally this afternoon on reports that the IMF was considering backstopping Spain, even if the country and EU leaders couldn't backstop Bankia. But the IMF later downplayed the headlines, and the discussions were reported to be part of "internal contingency plans". Just the fact that the IMF was discussing a loan to Spain however suggested that it sees a failure to secure funding for Bankia as a significant risk. 

  • Investor concerns over Europe, low inflation in the U.S., and concern over slowing growth has seen U.S. treasury yields fall. The yield on the 10-year -- what people are willing to accept to lend to the US government for 10 years -- eased to 1.53760 percent. 

  • Talbots' stock is up nearly 88 percent on news that it will be acquired by Sycamore in a deal valued at $369 million. Shareholders will receive $2.75 per share, below an earlier offer of $3.05.

  • Facebook's stock has been getting pummeled but made a comeback today, closing up 5 percent. GMI Ratings however gave Facebook a 'D' rating for corporate governance.

  • And day 2 of the economic Superbowl kicks off early tomorrow morning with PMI data being released around the world and there's the massive employment report in the U.S..





L

10 Things You Need To Know Before The Opening Bell



Anne Hathaway
Larry Busacca/Getty Images
Good morning. Here's what you need to know.


  • Markets sold off in overnight trading in Asia, with Japan's Nikkei declining 1.1 percent. Shares in Europe are marginally higher and U.S. futures point to a positive open.

  • U.S. economic announcements kick off at 8:15 a.m. with the ADP jobs report. Economists forecast payrolls expanded by 150,000 in May, an increase from April's 119,000 gain. The second GDP reading and initial jobless claims hit at 8:30 a.m.  Expectations are for economic expansion to be revised 30 basis points lower in the first quarter to 1.9 percent growth. Initial claims are projected at 370,000. 


  • India's economic expansion slowed to 5.3 percent during the first three months of 2012, well below expectations for 6.1 percent growth and the smallest increase since 2008.

  • Consumer confidence in the United Kingdom increased slightly in May, up two points to -29. The survey out of GfK NOP showed the first increase in four months, although the index remains in negative territory for 18 months now.

  • Germany's unemployment rate declined to 6.7 percent in May, better than expectations for no change. However the total number of people unemployed was flat; economists had forecast 7,000 fewer Germans without jobs.

  • Euro-area inflation declined in April to an annualized increase of 2.4 percent, 10 basis points below forecasts. Part of the decline was attributed to declines in crude prices. 


  • Ireland will vote today on whether to adopt the fiscal compact, part of a new EU treaty, which would impose automatic sanctions on countries that failed to cut debts and deficits if public debt remains above 60 percent.











31 May 2012 Kuala Lumpur Closing Stock Prices


31 May 2012      Kuala Lumpur Closing Stock Prices
  
 
          Close   Prior     Change   % Change 
  AMMB     6.21    6.22      -0.01      -0.16 
  BAT     54.44   54.40      +0.04      +0.07 
  C&C      2.74    2.75      -0.01      -0.36 
  Genting 10.00    9.99      +0.01      +0.10 
  GenM     3.69    3.84      -0.15      -3.91 
  IGB      2.71    2.70      +0.01      +0.37 
  L&G      0.34    0.31      +0.03      +8.06 
  MayBank  8.75    8.70      +0.05      +0.57 
  MAS      1.13    1.16      -0.03      -2.59 
  PetGas  17.20   17.54      -0.34      -1.94 
  PbBank  13.76   13.70      +0.06      +0.44 
  RHB      7.43    7.40      +0.03      +0.41 
  Sime     9.68    9.64      +0.04      +0.41 
  Telekom  5.39    5.37      +0.02      +0.37 
  Tenaga   6.67    6.52      +0.15      +2.30 
  TopGlove 4.47    4.37      +0.10      +2.29 
  UMW      7.99    8.03      -0.04      -0.50 
  YTL      1.84    1.89      -0.05      -2.65 

Kuala Lumpur Most Actives


31 May 2012    Kuala Lumpur Most Actives
 
               Volume     Close       Change     % Change 
 
  SKPetro    55,659,100     2.210       +0.040        +1.84 
  PetChem    38,711,200     6.700       +0.010        +0.15 
  Bursa      35,464,900     5.910       -0.160        -2.64 
  Maxis      30,294,000     6.190       -0.010        -0.16 
  Armada     29,036,400     4.000       +0.010        +0.25 
  NICORP     28,831,700     0.360       +0.005        +1.41 
  Flonic     20,484,200     0.095       -0.005        -5.00 
  AGlobal    18,964,400     0.130         unch         unch 
  Axiata     17,374,600     5.370       +0.040        +0.75 
  CIMB       16,544,700     7.500       +0.010        +0.13 
  DiGi       16,463,600     4.000       +0.020        +0.50 
  YTL        16,149,800     1.840       -0.050        -2.65 
  UEMLand    14,439,700     2.010       +0.010        +0.50 
  YTLPowr    14,429,800     1.660         unch         unch 
  MayBank    14,278,500     8.750       +0.050        +0.57 
  Tenaga     14,182,200     6.670       +0.150        +2.30 
  Mtronic    13,773,200     0.130         unch         unch 
  Telekom    11,936,300     5.390       +0.020        +0.37 
  JCY        11,398,300     1.440       +0.010        +0.70 
  Sime       11,247,600     9.680       +0.040        +0.41 
  Scomnet    10,261,100     0.165       -0.005        -2.94 
  Tiger      10,115,600     0.140       +0.005        +3.70 
  L&G         9,426,200     0.335       +0.025        +8.06 
  Permaju     8,522,100     0.790       -0.030        -3.66 
  Compugt     8,490,300     0.085         unch         unch 
  PetGas      8,171,800    17.200       -0.340        -1.94 
  RHB         8,169,800     7.430       +0.030        +0.41 
  ASuprem     8,149,200     0.180       -0.010        -5.26 
  GenM        8,092,700     3.690       -0.150        -3.91 
  IOI         7,601,400     5.250       +0.020        +0.38 
  Perisai     6,675,900     0.865       -0.020        -2.26 
  Genting     6,575,900    10.000       +0.010        +0.10 
  Gamuda      6,370,000     3.390       -0.020        -0.59 
  OSK         6,030,600     1.530       +0.010        +0.66 
  AFG         5,873,500     4.100       +0.050        +1.23 
  Scan        5,547,300     0.125       +0.035       +38.89 
  IJM         5,526,000     5.190       -0.010        -0.19 
  UMW         5,473,300     7.990       -0.040        -0.50 
  MPay        5,252,300     0.170       -0.010        -5.56 
  AMedia      5,120,500     0.365       +0.010        +2.82 
  Extol       4,912,500     0.120       -0.010        -7.69 
  CME         4,882,000     0.075         unch         unch 
  Media       4,640,400     2.270       -0.040        -1.73 
  Hubline     4,607,100     0.070         unch         unch 
  BjCorp      4,415,300     0.805       +0.030        +3.87 
  DSCSol      4,360,000     0.170       -0.005        -2.86 
  Cybert      4,356,200     1.320       -0.010        -0.75 
  Time N      4,164,900     0.340       -0.005        -1.45 
  Mulpha      4,036,800     0.405       -0.010        -2.41 
  AirAsia     4,003,600     3.520       +0.010        +0.28 

2012年5月30日星期三

Thursday, 31 May 2012 PUNCAK – Stock Pick

Thursday, 31 May 2012 PUNCAK – Stock Pick



PUNCAK ( 6807 : 1.33 ) : Targeting 1.57/Stop loss 1.26

Description

Resistance : 1.57

Support : 1.30

RSI of 52
RSI is on the rise

STOCHASTIC
It is oversold

Comment
The consolidation breakout is targeting 1.57

Trading Strategy
Buy. Stop loss is at 1.26

Disclaimer
This report is provided for information purposes only. It is not a complete analysis of every material fact respecting any company, industry, security or investment. Opinions expressed are subject to change without
notice.

Thursday, 31 May 2012 MAS – Stock Pick

Thursday, 31 May 2012 MAS – Stock Pick




MAS ( 3786 : 1.16 ) : Targeting 1.30/Stop loss 1.08

Description

Resistance : 1.30 1.40

Support : 1.13

RSI of 53
RSI is on the rise

STOCHASTIC
It is overbought

Comment
The current run up is targeting 1.30-1.40

Trading Strategy
Buy. Stop loss is at 1.08

Disclaimer
This report is provided for information purposes only. It is not a complete analysis of every material fact respecting any company, industry, security or investment. Opinions expressed are subject to change without
notice.

Thursday, 31 May 2012 GENM – Stock Pick

Thursday, 31 May 2012 GENM – Stock Pick





GENM ( 4715 : 3.84 ) : Take profit

Description

Resistance : 3.85

Support : 3.76

RSI of 58
RSI is on the rise

STOCHASTIC
It is overbought

Comment
On the buy of 18/5/2012, we are recommending to take profit as technicals are now approaching
overbought.

Trading Strategy
Take profit

Disclaimer
This report is provided for information purposes only. It is not a complete analysis of every material fact respecting any company, industry, security or investment. Opinions expressed are subject to change without
notice.


丰隆银行(HLBANK) 擬增持成都银行 长期利好





对於丰隆银行(HLBANK,5819,主板金融股)有意在未来增持成都银行股权,分析员看好有利於其长期增长。
丰隆银行董事经理兼首席执行员拿督谢依雯昨日在投资大马峰会上表示,该公司探討通过首次公开发售(IPO),增持其中国子公司--成都银行的股权。
成都银行计划在上海证券交易所上市,通过首次公开募股(IPO)发行8亿股股票,筹集的资金將用於提高资本適足率
肯南嘉投行分析员表示,在成都银行上市后,丰隆银行仍会保持其20%股权。根据中国银监会规定,单一外资银行的持股率必须低於20%,任何的股权增持可能需要银监会批准。有鑑於此,分析员认为,丰隆银行不可能在现阶段增持。
看好成都银行前景
分析员相信以丰隆银行的財务能力,拥有介於20亿-44亿令吉的额外资金,有能力进一步投资成都银行。
分析员看好成都银行前景。目前成都银行为丰隆银行的税前盈利带来10-12%的贡献比重。成都银行已提交在上海证券交易所A股市场上市申请,但未知上市时间表,因可能需一年或两年时间取得批准。
成都银行是位於中国四川省的一家小型城市商业银行。分析员相信成都银行將为丰隆银行带来长期的成长。因为成都位於四川中心,而四川是中国西南的重地,自2000年实施「西部大开发」政策以来受到越来越多的关注。四川的营运成本低,以及拥有庞大的人口。
分析员维持丰隆银行「与大市同步」的投资评级,目標价格为10.90令吉


f

马新泰领头打造东盟交易所连结





大马交易所(BURSA,1818,主板金融股)预计6月至8月分別跟新加坡与泰国交易所启动东盟交易连结(Asean Trading Link),打造东盟交易所连结。
大马交易所首席执行员拿督达祖汀阿丹今日在出席《投资大马峰会》一项针对东盟经济共同体(AEC)的《单一市场,多重效益》座谈上说,由於泰国交易所需时更改交易平臺以確保跨国连结系统通畅,遂不能与马新交易所一同在6月杪启动交易连结。
东盟交易所將先从6成员国各选30家蓝筹股,筹集180家『东盟之星』的上市企业作区域內外投资项目。达祖汀指出,在完成交易连结后,下一步是商量如何推广与营销『东盟之星』资產类。
达祖汀指出,东盟现有的投资经销网络庞大,共有超过240家证券行、2万5000名抽佣经纪,加上3600家上市企业作为投资对象,显示东盟交易所连结活动万事俱备。「我们应学习欧盟的无国界市场理念。」
但他补充,各成员国交易所处於不同发展阶段,较落后国家需要时间建立市场监督完整性或企业治理等基础,导致区域交易连结难在短期內成事。
因此,他以一列火车形容东盟股市连结的落实理念。「让我们(马泰新)先启动它,再让其它陆续准备好的成员国搭上顺风车。」
他表示,在尊重成员国的核心市场管辖权及创造增效前提下,马泰新连结交易所平臺將设法辅助其它成员国做好准备。
东盟连结汰弱留强
他补充,马泰新交易所分別占亚太平洋MSCI除日本指数不到5%比重,连结后可提升至15%以上,扩大影响力与话语权。
无论如何,参与座谈的世界交易所联盟前任秘书长托马斯(Thomas)则借鉴欧元区单一货幣的教训,建议东盟股市连结宜汰弱留强,只筛选较稳健的区域股市参与。
他看好东盟股市连结的创举,「就算是近年兴起的「金砖四国」之间的交易所投资连结也无多大进展,至今只办到透过盟国交易所进行期货合约而已。」


f

IOI集团(IOICORP) 第3季净利跌16%






除了產业投资业务外,IOI集团(IOICORP,1961,主板种植股)整体营运净利挫跌,2012財政年第三季(截至3月31日)净利按年挫跌16%,至5亿5195万令吉,去年同期为6亿5671万令吉。
此外,IOI集团第三季营业额亦按年减少17.5%,至35亿7928万令吉,去年同期为43亿4025万令吉。该集团首9个月净利按年缩减17.2%,至13亿8772万令吉,去年同期为16亿7507万令吉;营业额则按年微增0.5%,至118亿9276万令吉,去年同期为118亿3000万令吉。
种植业扶持今年表现
IOI集团表示,儘管全球经济成长近期出现放缓讯號,促使本財政年商业营运面临挑战,但该公司相信在种植业务强劲表现下,仍能够扶持公司今年交出令人满意成绩,该公司希望种植业务因为原棕油价格反弹下能够有出色表现。
在產业投资业务方面,该公司对大马產业市场展望保持正面,並认为新加坡的中价市场仍保持弹性,儘管高档市场被经济环境不稳所影响。
至於能源製造业务则持续面挑战,但却仍有油脂化学以及食物工业对特种油脂等需求扶持。


f

首季净利涨53% 马电讯 ( TM ) 续拓展宽频市场



隨著马电讯(TM,4863,主板贸服股)2012財政年首季净利和营业额分別按年涨53.5%和11%,该集团將继续拓展宽频业务以支撑成长,因为其他的通讯业务都將面对不同的挑战。
马电讯2012財政年首季(1月至3月)净赚2亿5063万令吉,比上个財政年同期的1亿6331万令吉高出53.5%。而扣除利息、税项、折旧及摊销前盈利(EBITDA)按年涨7.1%,至7.83亿令吉。其首季营业额也从21亿4800万令吉按年成长11%,至23亿8400万令吉。
马电讯发文告表示,旗下主要產品皆取得正面成长,包括互联网和多媒体、数据、语音,以及其他电讯相关服务。
马电讯首席执行员兼董事经理拿督斯里詹占再拉尼,在文告中指出,今年首季的互联网营业额升至5.63亿令吉,涨幅为24.3%。这是因为Streamyx和Unifi的客户群增加11.4%。因此,该集团的宽频客户亦从去年同期的177万人,增加至197万人,过去2週甚至已突破200万人。
他指出,「Unifi的表现超越管理层的预期,在覆盖率方面,马电讯已渗入120万户家庭,涵盖78个交接区域。另外,马电讯的客户达到31万5745人,按季增加33.5%或7万9244人,按年则超过25万人。」
展望將来,马电讯將凭藉Streamyx和Unifi,专注於巩固本身在宽频市场的地位。马电讯也遵循公私联营(PPP)协议,为其他服务供应商提供平等的商机。截至目前,马电讯已和25家產业发展商签署高速宽频(HSBB)协议,在新房屋发展地区安装高速宽频网络基础建设。
对於市场前景,马电讯认为大马通讯市场依然会面对激烈的竞爭,但宽频市场的规模预计会扩大至60亿令吉。根据国际数据机构(IDC),我国今年电讯市场的规模料从280亿令吉,扩大至291亿令吉。

f

看好星展(DBS)洽購14.2%‧安聯金融(AFG) 貸款成長料保12%



安聯金融(AFG,2488,主板金融組)首席執行員孫曉華正面看待星展銀行(DBS)洽購安聯金融14.2%的股權的計劃,惟相信該計劃仍待監管當局的批准。
安聯金融早前接獲大股東Duxton投資的通知,指星展銀行獲國家銀行批准,洽購Duxton投資在Vertical Theme的49%股權。
孫曉華表示,目前仍無法預見上述計劃的協力作用,必須待實質發展後才能掌握方向。
另外,儘管國行負責任貸款來勢洶洶,他看好安聯金融今年的貸款成長保持去年12%的動力,甚至超越該水平。
他認為,國行的政策旨在確保銀行謹慎貸款。
雖然外圍動盪,他相信,大馬市況穩定,消費者需求仍將支撐整體業務。
詢及安聯金融會否收購其他資產,他表示,公司業務以國內為導向,所以無意收購任何資產。


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受當地政策管制‧亞通(AXIATA) 海外迎挑戰



亞通(AXIATA,6888,主板貿服組)董事經理兼首席執行員拿督斯里惹瑪魯丁指出,進軍海外市場的最大挑戰,首推當地政府的管制及政策的改變。
他表示,亞通進軍的其中一個海外市場,當地政府最近向它取回較早時發出的通訊頻譜,使當地的業務受到干擾。反觀東盟市場的管制,目前還算不太壞。
亞通目前在東盟以外尚有3、4項海外業務。
談到該公司進軍海外的策略與經驗時,他指出,當該公司與馬電訊業務進行分折之後的1、2個月內,該公司就100%地改變公司的經營策略,而首要任務就是先行鞏固及加強內部業務後,才計劃進行併購擴大業務。
他指出,作為一家以海外市場為主的通訊集團,該公司的管理層及職員可說是多元性,即其中70%為當地人擔任、20%來自該公司,以及其餘的10%則綜合其他任何國家的專才或員工
他強調,亞通是奉行集體領導及管理的政策,沒有個人英雄主義。


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歐債對海外業務影響微‧楊忠禮機構(YTL) 加強國內投資



楊忠禮機構(YTL,4677,主板貿服組)相信歐債危機對海外業務影響不大,不會對整體業務帶來重大打擊,主要是海外資產多為受政府監管資產。
該公司董事經理丹斯里楊肅斌指出,雖然海外業務現貢獻集團85%營收,但鑒於多數業務都是受到政府監管,相信歐債危機不會對此帶來重大影響。
“我們現正不斷加強大馬投資,而本地的洋灰產業酒店產業投資信託業務表現都非常良好。”
持140億現金
與此同時,他說,集團現手握140億令吉現金可供併購和內部成長用途,而隨著經濟呈現疲態,市場逐漸浮現許多良好資產脫售消息,而集團現處於更好的競逐地位。
“我們經常都有目標,但現在我們開始看到一些交易流浮現。”
詢及獨立發電站(IPP)計劃,楊肅斌認為,國內IPP電力售價為區域最低,電費也未出現顯著上調,但民眾卻普遍對IPP概念不熟悉,好在隨著制度的透明化,民眾開始對IPP概念有所瞭解,而集團相信國家能源會作出最明智的選擇。
“我們新加坡IPP在沒有購電協議的情況下仍能良好運作,因此為何不讓IPP轉型成為商業發電站?”


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摩根大通(JPMorgan)卖资产填数 专家轰愚蠢



因对冲交易策略失误而蒙受最少20亿美元(63亿令吉)损失的摩根大通,为保持银行的业绩及盈利,估计卖走了250亿美元(790亿令吉)账面有赚的公司债及其他资产“填数”。
专家认为,这是继对冲交易策略失误后,摩通犯下的第二个“愚蠢”决定。
摩通总裁戴蒙透露,摩通出售了公司债及其他资产,合共赚了10亿美元(31.58亿令吉),以抵偿20亿美元的对冲交易损失,但未交代摩通变卖资产的规模。
路透社引述分析指出,根据摩通以往公开的财务纪录,出售公司债只能获得4%的盈利,换言之,若要达到10亿美元的盈利,摩通需要出售的资产达250亿美元。
美国证交会顾问特纳认为,摩通犯下两个“愚蠢”决定,其一是对自己有份参与的对冲交易的风险也不甚了解,其二是为了填数而出售无法由其他资产替代的高息公司债券。
另一方面,日本当局对一宗内幕交易的调查周二牵涉到摩根大通。
这家倒霉的银行被查出在2010年泄露有关日本板硝子供股计划的保密信息。
了解调查情况的三位人士说,当局已经确定,摩根大通一位销售人员向东京的Asuka资产管理公司泄露了是次供股的信息。


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母公司出價RM3.60 私有化大馬楊協成 (YHS)




楊協成(馬)(YHS,4642,主要板消費)新加坡大股東決定在完成特定資本削減及回退后,將前者以每股3.60令吉現金私有化。
 配合上述重大宣佈,該公司已從29日(週二)開始暫停交易,並在31日(週四)早上9時正復牌。
 新加坡楊協成將進行特定資本削減,及回退總值2億1357萬令吉給股東,相等于每股3.60令吉。
 每股3.60令吉的出價,即是楊協成(馬)28日停牌前的閉市價3.16令吉的44仙或13.92%溢價。
 截至今日,新加坡楊協成持有楊協成(馬)61.15%股權或9337萬股;后者的股本為1億5270萬令吉,約有1億5270萬股,每股面值1令吉。
 由于資本回退的股量還多過股本,該公司將另外發行6187萬紅股,以有充足數量供資本回退。
 在完成上述計劃后,新加坡楊協成將持有楊協成(馬)百分百股權,並無意保留其上市


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再傳涉內線交易 摩根大通(JPMorgan)遭日監會調查





道瓊通訊社報導,摩根大通集團(JPMorgan)疑涉及一宗內線交易,目前已遭日本監管單位調查。
 日本證券交易監察委員會(SESC,簡稱日監會)昨天建議對一間資產管理公司開罰,該公司涉嫌在日本板硝子(Nippon Sheet Glass)發行新股之前,非法取得訊息,然后作空日本板硝子股票。摩根大通正是這起交易的承銷商。
 道瓊通訊社引述匿名消息指出,涉嫌洩露內線消息的人,就是摩根大通一名銷售主管。
 美國摩根大通先前衍生性商品交易驚爆虧損20億美元(約63億令吉),尚未從震撼中平復,現在又傳惡訊。
 根據道瓊通訊社,雖然日監會並未指明涉嫌洩密者是誰,但摩根大通正是這宗股票交易的主要承銷商,而且交易一共也只有兩家業者承銷。
 另一家承銷商—大和證券集團(Daiwa Securities)已表明與調查無涉。
 摩根大通日本分公司今天發表措辭聲明稿表示,正接受監管單位調查,但指公司未得到當局任何指示說摩根大通涉案,不管是公司整體或任何部門。
 該公司也未在聲明中提到可能有個人涉案,但表示“我們非常嚴肅看待此事,並將持續採取行動,提升公司內部控管”,及公司正全力配合當局調查。


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全球第3常用貨幣 人民幣超越日圓





環球銀行金融電信協會(SWIFT)29日表示,人民幣已取代日圓成為全球第3常用的進出口貨幣。
 隨著北京當局在全球推動貿易結算使用人民幣,做為人民幣國際化計劃的一環,愈來愈多進出口商使用人民幣計價的短期貸款來交易。
 但人民幣要趕上美元地位,差距仍大。根據SWIFT資料,美元占信用狀總額84%,歐元占7%,日圓為1.9%。
 SWIFT協助大部分的電子金融交易,實際上,所有主要銀行和金融機構都使用該系統寄送金融數據和訊息。
 另外,根據新京報報導,全球三大經濟體之中中國和日本將“甩掉”美元,展開直接交易。
 央行昨日宣布,6月1日起銀行間外匯市場,人民幣對日圓可直接交易。
 據了解,此前人民幣對日圓匯率中間價是根據當日人民幣對美元匯率中間價以及美元對日圓匯率套算形成。
 在展開直接交易后將根據直接交易做市商報價形成,就是中國外匯交易中心每天在外匯市場開盤前向做市商詢價,並做市商報價平均,得到當日人民幣對日圓匯率中間價。


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