Technical Buy For Axiata Group Bhd
Technical Buy For Axiata Group Bhd
Yesterday, Axiata Group Berhad (AXIATA) closed at RM2.43, gaining 1.25% while holding firmly above its critical 5-day and 13-day Simple Moving Average (SMA) levels.
昨天,Axiata Group Berhad(AXIATA)收於RM2.43,上漲1.25%,並牢牢地保持在其關鍵的5天和13天簡單移動平均線(SMA)水平之上。
The convergence of these short-term SMAs suggests a potential shift in trend, with the green candlestick following a dodgy pattern suggesting a bullish reversal. The stock's intraday high at the 50-day SMA further reinforces its upward momentum.
這些短期SMA的匯聚表明可能出現趨勢轉變,綠色蠟燭圖形在令人懷疑的模式之後表明看好反轉。股票在50天SMA的日內高點進一步加強了其上行動能。
According to market analysts, the stochastic oscillator and Relative Strength Index (RSI) indicators have reinforced the probability of further price gain.
根據市場分析師的說法,隨機震盪器和相對強弱指數(RSI)指標進一步加強了未來股價上漲的可能性。
Looking forward, a break above the immediate resistance of RM2.45, which aligns with 50-day SMA, could push the stock to close the previous gap at RM2.49 and potentially rally towards its 200-day SMA at RM2.61. On the downside, key support levels are at RM2.39 (13-day SMA) and RM2.34, providing a cushion against further declines.
展望未來,突破RM2.45的即時支撐位(與50天SMA一致)可能推動股價收在RM2.49的前一缺口,並有可能朝向其RM2.61的200天SMA大幅上漲。在下行方面,關鍵支撐位分別爲RM2.39(13天SMA)和RM2.34,提供抵禦進一步下跌的支撐。
Kenanga Research recommends making an entry at RM2.43 with a take-profit target of RM2.60, offering a potential upside of about 7.0%. To manage risk, analysts suggest setting a stop-loss at RM2.33, limiting potential losses to approximately 4.1%.
Kenanga Research建議以RM2.43進場,以RM2.60作爲獲利目標,提供約7.0%的潛在上漲空間。爲管理風險,分析師建議設定止損位於RM2.33,將潛在損失限制在約4.1%左右。
譯文內容由第三人軟體翻譯。