Technical analysis is the forecasting of market prices by means of analysis of data generated by the process of trading. Technical analysis relies on the assumption that markets discount everything except information generated by market action, ergo, all you need is data generated by market action. Let's join and discuss the technical analysis in depth on particular stock with the traders all over the world.

Sunday, 30 October 2011

Stock to Monitor


Counter Remark
Benalec any price below 1.27
Rsawit any price below 1.31
BORNOIL any price below 0.41
NTPM bought at 0.495
MPCORP 0.33 with volume
MAA bought at 0.455
MCLEAN 0.18 with volume
MEGB bought at 1.09
LIONDIV 0.405 with volume
KPSCB 0.29 with volume
KRETAM bought at 2.05
JTIASA 5.47 with volume
JTINTER any price below 6.45
ICAP 2.02 with volume
ILB 0.74
INTEGRA 1.22
ITRONIC monitor
HAIO 1.96
HARTA
HELP 1.69

Thursday, 27 October 2011

Stock to watch (SM collecting the share)


Counter Acc Start Last Update Floating Share Stock traded SM warehouse% SM ave price Entry price
Yee Lee 22/10/2010 25/10/2011 47.26 77.56 32.82 0.970 1.11 with volume
YOCB 25/12/2009 25/10/2011 37.33 47.47 25.43 0.645 0.7 with volume
XDL 19/08/2011 27/10/2011 20 30.56 30.56 0.300 0.33 with volume
VASTALX 26/03/2010 25/10/2011 134.75 283.45 42.07 0.105 0.09 with volume
Teoseng 01/01/2010 27/10/2011 34.05 47.31 27.79 0.470 0.55 with volume
Tiger   27/10/2011 147.34 899.6 81.20 0.130 0.15 with volume
Trinity 07/01/2011 25/10/2011 2860 2583.95 18.07 0.080 0.085 with volume
Sinotop 03/09/2010 27/10/2011 424.32 941.63 44.38 0.115 0.13 with volume
SLP 04/02/2011 27/10/2011 18.01 28.901 32.09 0.355 0.4 with volume
JAKS 01/10/2010 27/10/2011 248.02 555.63 44.81 0.645 0.72 with volume
IRCB 03/09/2010 30/09/2011 321.68 1274.8 79.26 0.215 0.205 with volume
HARVEST 07/05/2010 07/10/2011 137.37 209.73 30.54 0.135 0.18 with volume
REDTONE 04/06/2010 23/09/2011 207.28 265.15 25.58 0.200 0.21 with volume
RUBEREX 03/09/2010 27/10/2011 92.65 62.02 13.39 0.720 0.75 with volume
POLY 01/02/2009 27/10/2011 29.86 10.628 7.12 0.345 0.4 with volume
PRDUREN 01/06/2010 27/10/2011 21.65 110.04 67.60 0.875 0.9 with volume

Wednesday, 26 October 2011

Stock to watch (SM collecting the share)


Counter Acc Start Last Update Floating Share Stock traded SM warehouse% SM ave price Entry price
Yee Lee 22/10/2010 25/10/2011 47.26 77.56 32.82 0.970 1.11 with volume
YOCB 25/12/2009 25/10/2011 37.33 47.47 25.43 0.645 0.7 with volume
XDL 19/08/2011 25/10/2011 20 29.58 29.58 0.300 0.35 with volume
VASTALX 26/03/2010 25/10/2011 134.75 283.45 42.07 0.105 0.09 with volume
Teoseng 01/01/2010 25/10/2011 34.05 46.94 27.57 0.470 0.55 with volume
Tiger   25/10/2011 147.34 868.8 78.42 0.130 0.15 with volume
Trinity 07/01/2011 25/10/2011 2860 2578.6 18.03 0.080 0.085 with volume
Sinotop 03/09/2010 25/10/2011 424.32 939 44.26 0.115 0.13 with volume
SLP 04/02/2011 25/10/2011 18.01 28.82 32.00 0.355 0.4 with volume

Tuesday, 25 October 2011

如何发现庄家建仓完毕

股价涨不涨,关键看庄家炒不炒。庄家什么时候最有炒作激情?庄家在廉价筹码吃了一肚子时最有激情。因此,散户跟庄炒股若能准确判断庄家的持仓情况,盯牢一只建仓完毕的庄股,在其即将拉升时介入,必将收获一份财富增值裂变的惊喜 。这里面的关键是如何发现庄家已建仓完毕。
  一般具备了下述特征之一就可初步判断庄家筹码锁定,建仓已进入尾声:
  其一,放很小的量就能拉出长阳或封死涨停。相中新股的庄家进场吸货,经过一段时间收集,如果庄家用很少的资金就能轻松地拉出涨停,那就说明庄家筹码收集工作已近尾声,具备了控盘能力,可以随心所欲地控制盘面。  
  其二,K线 走势我行我素,不理会大盘而走出独立行情。有的股票,大盘涨它不涨,大盘跌它不跌。这种情况通常表明大部分筹码已落入庄家囊中:当大势向下,有浮筹砸盘, 庄家便把筹码托住,封死下跌空间,以防廉价筹码被人抢了去;大势向上或企稳,有游资抢盘,但庄家由于种种原因此时仍不想发动行情,于是便有凶狠的砸盘出 现,封住股价的上涨空间,不让短线热钱打乱炒作计划。股票的K线形态就横向盘整,或沿均线小幅震荡盘升。   
  其三,K线走势起伏不定,而分时走势图剧烈震荡,成交量极度萎缩。庄家到了收集末期,为了洗掉短线获利盘,消磨散户持股信心,便用少量筹码做图。从日K线 上看,股价起伏不定,一会儿到了浪尖,一会儿到了谷底,但股价总是冲不破箱顶也跌不破箱底。而当日分时走势图上更是大幅震荡。委买、委卖之间价格差距也非 常大,有时相差几分,有时相差几毛,给人一种莫名其妙、飘忽不定的感觉。成交量也极不规则,有时几分钟才成交一笔,有时十几分钟才成交一笔,分时走势图画 出横线或竖线,形成矩形,成交量也极度萎缩。上档抛压极轻,下档支撑有力,浮动筹码极少。  
   其四,遇利空打击股价不跌反涨,或当天虽有小幅无量回调但第二天便收出大阳,股价迅速恢复到原来的价位。突发性利空袭来,庄家措手不及,散户筹码可以抛 了就跑,而庄家却只能兜着。于是盘面可以看到利空袭来当日,开盘后抛盘很多而接盘更多,不久抛盘减少,股价企稳。由于害怕散户捡到便宜筹码,第二日股价又 被庄家早早地拉升到原位。

Monday, 24 October 2011

KNM 21.7% Average-RM1.98
JAKS 42.1% Average-RM0.64

Sunday, 23 October 2011

如何计算主力持仓成本

1、最简单的办法
找到最近三十个交易日的最低价。然后往前找成交量最大,换手率大于10,下影线最长,十字形态的K线,然后取其前一日和后一日的均价,基本和近期主力成本接近
2、利用obv指标判断
当一个股票股价经过大幅的下跌之后,0值在0-20的区域内明显止跌回稳,并出现超过一个月以上,近似水平的横向移动时,表明市场正处于一段漫长的盘整 期,大部分投资者没有耐心而纷纷离场,然而此时往往预示着做空的能量已慢慢减少,逢低吸纳的资金已逐渐增强,大行情随时都有可能发生。
当0值能够有效向上爬升时,则表明主力收集阶段已经完成,投资者可根据该收集阶段的股价来计算主力吸货阶段的成本价,计算方法:吸货区域的(最高价+最低价)的平均价
跟踪庄家是否进出货,有效的方法是学会使用OBV指标。
OBV指标又称为能量潮,也叫成交量净额指标。
其计算公式为:当日OBV=前一日OBV+今日成交量。
注:如果当日收盘价高于前日收盘价取正值,反之取负值,平盘取零。
1、在证券市场中,价格、成交量、时间、空间是进行技术分析的四大要素,由此我们应该清楚OBV指标作为成交量的指标,它不能单独使用,必须与价格曲线同时使用才能发挥作用。
2、OBV指标方向的选择反映了市场主流资金对持仓兴趣增减的变化。OBV指标的曲线方向通常有三个:向上、向下、水平。N字和V字是最常见的形态。
3、当股价上涨,OBV指标同步向上,反映在大盘或个股的信号就是一个价涨量增的看涨信号,表明市场的持仓兴趣在增加。反之,股价上涨,OBV指标同步呈 向下或水平状态,实际上就是一个上涨动能不足的表象,表明市场的持仓兴趣没有多大变化,这样,大盘或个股的向上趋势都将难以维持。
4、当股价下跌,OBV指标同步向下,反映在大盘或个股的信号就是一个下跌动能增加的信号。市场做空动能的释放必然会带来股票价格大幅下行,这种情况发生时,投资者应该首先想到的是设立好止损位和离场观望。在这种情况下,回避风险成为第一要点。
5、当股价变动,OBV指标呈水平状态,这种情形在OBV指标的表现中最常见到。OBV指标呈水平状态,首先表现为目前市场的持仓兴趣变化不大,其次表现 为目前的大盘或个股为调整状态,投资者最好的市场行为是不要参与调整。当股价下跌,OBV指标呈水平状态是股价下跌不需要成交量配合的一个最好的表象。这 种股价缩量下跌的时间的延长,必将带来投资者的全线套牢。
举例:综艺股份(600770)。综艺股份是2000年网络股的龙头股票,从周线的K线形态看,2000年2月25日在创出64.27元的历史高点后,股 价开始回落,其间OBV指标同步向下,周线下的OBV指标留下了长长的向下的斜线,这是典型的庄股出货的走势,其后便是漫长的股价回落。这样的技术图形, 在后来的银广夏、世纪中天、徐工科技都有同样的翻版。
3、用换手率计算主力成本
换手率的计算公式为:换手率=成交量/流通盘×100%。我们要计算的是庄家开始建仓到开始拉升时的这段时间的换手率,怎样确认庄家开始建仓呢?周K线图 的参考价值最大,周K线的均线系统由空头转为多头排列,证明有庄家介入,所以周MACD指标金叉可认为是庄家开始建仓的标志,这是计算换手率的起点。
一般而言,中线庄家建仓时间大约在40-60天,即8-12周,取其平均值为10周,则从周K线图上,10周均价线我们可客观认为是主力的成本区这种算法 有一定的误差,但不会偏差10%。作为一个庄家,其操盘的个股升幅最少在50%%以上,多数为100%。一般而言,一个股票从一波行情的最低点到最高点的 升幅若为100%,则庄家的正常利润是40%,我们把主力的成本算出以后,然后在这价位上乘以150%,即为庄家的最低目标位。
庄家做庄,正如做其他生意,需从"销售收入"中减去成本,才能获取利润。投资者不妨帮庄家算算帐,目前价位庄家有无获利空间,若目前价位庄家获利菲薄, 甚至市价尚低于成本,该股前景光明;若目前价位庄家已有丰厚的帐面利润,庄家操心的是如何将钱放进口袋,亦即是伺机脱逃的问题,此时指望其再攻城夺寨、勇 创新高显然不现实,不宜将"钱"图寄托在这样的逃兵身上。
庄家的成本,可从几个方面推断:
1、进仓成本。庄家资金量大,进场时必然会耗去一定升幅,有人看见股价从底刚涨了10%,便担心升幅已大,不敢再买。其实,升20%、甚至50%有可能为 庄家在吸筹,关键要看在各价位区间成交量的多寡。低位成交稀少,庄家吸筹不充分,即使已有一定的涨幅亦不足惧。全柴动力从走势看,3-4月为庄家的吸筹 期,股价最低从3月1日的8.28元涨至4月23日的11.40元,最大涨幅38%,庄家在9元以下能吸到的筹码微无其微:9元以下总成交仅几百万股。将 吸货期每天的平均成交价与成交量相乘,然后再平均,发现庄家的平均买价在10元左右。知己知彼,持有该股的就不会在5月中旬的短线回调中抛在最低价了。北 海新力(0582)7月中旬急跌后有资金进场吸纳迹象,7月16日-8月13日市价低于10元,共成交约500万股,相对该股5700万流通盘来说,吸筹 不充分,目前市价在11元附近,尚处于主力吸筹成本区。总的说来,进仓时耗去的升幅越大,后市升幅越可观。亿安科技去年8月随大盘见底后成交温和放大,可 断定9-10月份为吸货期,两个月内成交约4600万股,实现了充分换手,同期股价从6元左右升至9元附近,仅吸货期便耗去50%的空间,庄家为何如此不 惜血本?精明的庄家早已知道手中的"货"经过"重组",重新"包装"、"粉刷"之后会卖出更高的价钱,因而进货时极为慷慨。
2、利息成本。庄家资金多数为拆借资金,通常是要付出利息成本的。若某个庄股运作的时间越长,利息成本越可观,越需向上拓展空间。我们来看看最"贵"的啤 酒--重庆啤酒(600132)是如何买到如此高价的,从走势看庄家从98年初即开始介入,8-9月份一度将股价从10元附近拉升至15左右,之后便长期 陷入沉寂,今年5月重出江湖,神勇异常。投资者可仔细寻找前期有一定表现后便长期默默无闻的个股,这些在利息方面付出了"血本"的个股一旦重新启动都有可 观涨幅。
3、拉升成本。正如庄家无法买到最低价,同样亦无法卖到最高价,通常有一大截涨幅是为人作嫁:船小好调头的跟风盘跑得比庄家还快。有的庄家拉升时高举高打,成本往往很高,短期会有大涨幅;有的喜欢细水长流,稳扎稳打,成本较低,为日后的派发腾出空间。
投资者可观察手中的货色,若比庄家进价的还便宜,不妨多放一段时间,股市的"通风性"良好,多放些时间并不会长霉,等到春风吹拂往往老树亦能发出新芽

 要跟庄,就必须摸清庄家的“底细”,最重要的莫过于庄家的控盘程度即持仓量以及庄家的成本,我们只有通过K线图以及成交量来作分析和研判,据笔者认真分析和研究认为:用换手率来计算是一种最有效最直接的方法。
换手率的计算公式为:换手率=成交量/流通盘×100%。我们要计算的是庄家开始建仓到开始拉升时的这段时间的换手率,怎样确认庄家开始建仓呢?周K 线图的参考价值最大,周K线的均线系统由空头转为多头排列,证明有庄家介入,所以周MACD指标金叉可认为是庄家开始建仓的标志,这是计算换手率的起点。
在我们的市场中,大多数都是中线庄家,其控盘度大约在40%~60%之间,这种持仓量活跃程度较好,即庄家的相对控盘,超过60%的持仓量时,即达到 绝对控盘的阶段,这种股,大多是长线庄家所为,因为在一只股票中有20%的筹码属绝对的长线投资者,这批人等于为庄家锁仓,当然控盘度是越高越好,因为个 股的升幅与持仓量大体成正比的关系。据传0048康达尔的控盘程度达到90%,所以才会有十几倍的涨幅。一般而言,股价在上涨时,庄家所占的成交量比率大 约是30%左右,而在股价下跌时庄家所占的比率大约是20%左右。但股价上涨时放量,下跌时缩量,我们初步假设放量/缩量=2/1,这样我们可得出一个推 论:前题假设为若上涨时换手200%,则下跌时的换手则应是100%,这段时间总换手率为300%,则可得出庄家在这段时间内的持仓 量=200%×30%-100%×20%=40%,即庄家在换手率达到300%时,其持仓量才达到40%,即每换手100%时其持仓量为 40%/300%×100%=13.3%,当然这里有一定的误差,所以我们把从MACD指标金叉的那一周开始,到你所计算的那一周为止,把所有各周的成交 量加起来再除以流通盘,可得出这段时间的换手率,然后再把这个换手率×13.3%得出的数字即为庄家的控盘度,所以一个中线庄家的换手率应在 300%~450%之间,只有足够的换手,庄家才能吸足筹码。至于成本,可采用在所计算的那段时间内的最低价加上最高价,然后除以2,即为庄家的成本区, 虽然简单,但相当实用,误差不超过10%,我们把庄家的成本和持仓量计算出了以后,庄家的第一目标为成本×(50%+1),即若庄家成本为10元,则其最 低目标即第一目标为15元,这样我们就可在操作上做到有的放矢。

怎样才能从K线图和成交量中巧算庄家的持仓量和成本呢?用换手率来计算应当是准确的。
  周线图的参考意义最大。
  参看个股的周K线图,周均线参数可设定为5、10、20,当周K线图的均线系统 呈多头排列时,就可以证明该股有庄家介入。只有在庄家大量资金介入时,个股的成交量才会在低位持续放大,这是庄家建仓的特征。正因为筹码的供不应求,使股 价逐步上升,才使周K线的均线系统呈多头排列,我们也就可初步认定找到了庄家。
  无论是短线、中线还是长线庄家,其控盘程度最少都应在20%以上,只有控盘达到 20%的股票才做得起来。如果控盘在20%-40%之间,股性最活,但浮筹较多,上涨空间较小,拉升难度较高;如果控盘量在40%-60%之间,这只股票 的活跃程度更好,空间更大,这个程度就达到了相对控盘;若超过60%的控盘量,则活跃程度较差,但空间巨大,这就是绝对控盘,大黑马大多产生在这种控盘 区。
投资者要跟庄时,最好跟持仓量超过50%的庄。当然持仓量越大越好,因为升幅与持仓量大体呈正比的关系。
  一般而言,股价在上升时庄家占的成交量为30%左右,而在下跌时为20%,而上 涨时放量,下跌时缩量,我们可初步假设放量:缩量=2:1,则在一段时间内,庄家持仓量为(2×30%)-(1×20%)=60%-20%=40%,即在 上升时换手率为100%,以及下跌时换手率亦为100%时,庄家的控筹程度初算结果。但这样计算过于复杂,我们可粗略计算,在这段换手总率为200%的时 间内,庄家可能持筹40%,则当换手总率为100%时可吸纳的筹码应为(40%)/(200%)×100%=20%。

一般而言,当换手总率达到200%时,庄家会加快吸筹,拉高建仓,因为低价筹码已没有了,这是短线介入的良机,而当换手总率达到300%时,庄家基本都已吸足筹码,接下来庄家是急速拉升或强行洗盘,应从盘口去把握主力的意图和动向,切忌盲目冒进而被动地从短线变为中线。

在平时的看盘中,我们可跟踪分析那些在低位换手率超过300%的个股,然后综合其日K线、成交量以及结合一些技术指标来把握介入的最佳时机,必有厚报。
  计算庄家的成本
一般而言,中线庄家建仓时间大约在40-60天,即8-12周,取其平均值为10周,则从周K线图上,10周均价线我们可客观认为是主力的成本区这种算法有一定的误差,但不会偏差10%。
作为一个庄家,其操盘的个股升幅最少在50%%以上,多数为100%。一般而言,一 个股票从一波行情的最低点到最高点的升幅若为100%,则庄家的正常利润是40%,我们把主力的成本算出以后,然后在这价位上乘以150%,即为庄家的最 低目标位,不管道路是多么曲折,股价迟早都会到达这个价位,国为庄家若非迫不得已,绝不会亏损离场,庄家资金大,进出两难,有时,你也抛也抛不出去呢?这 是庄家永远的心痛。
  这就是所应算出来的庄家的底细,看清了庄家的底牌,就可以做到在操作上有的放矢,不再惧怕庄家的软硬兼施,看清了股价的涨跌,不过是庄家跟我们玩的心理游戏而已。

Sunday, 16 October 2011

Stock to watch (SM collecting the share)


BJCORP 1.06
F&N 16.7
FUTUTEC 0.52
ASUPREM 0.18
bahvest 0.47
BERTAM 0.58
BHIC
BOILERM

Saturday, 15 October 2011

KLCI Index counter

No Stocks Adjusted Mkt Cap (RMm) Weightage (%) Investiblity Weight
1 Malayan Banking 48,271.90 9.99 75%
2 Public Bank 46,480.10 9.62 100%
3 CIMB Group Holdings 46,101.80 9.54 75%
4 Sime Darby 40,756.30 8.43 75%
5 Axiata Group 31,479.30 6.51 75%
6 Genting Bhd 30,311.20 6.27 75%
7 IOI Corp 26,632.70 5.51 75%
8 Tenaga Nasional 24,962.80 5.17 75%
9 Petronas Chemicals Group 17,112.00 3.54 30%
10 DiGi.Com 16,607.40 3.44 75%
11 AMMB Holdings 14,445.50 2.99 75%
12 Maxis Bhd 12,172.50 2.52 30%
13 MISC Bhd 12,016.50 2.49 40%
14 Kuala Lumpur Kepong 11,489.30 2.38 50%
15 Telekom Malaysia 10,463.90 2.17 75%
16 Genting Malaysia 10,335.40 2.14 50%
17 PPB Group 10,313.80 2.13 50%
18 Petronas Gas 9,023.00 1.87 40%
19 PLUS Expressways 9,000.0 1.85 40%
20 Gamuda 7,626.10 1.58 100%
21 Hong Leong Bank 7,508.70 1.55 40%
22 YTL Corp 7,398.80 1.53 50%
23 British American Tobacco 6,578.60 1.36 50%
24 YTL Power International 6,441.10 1.33 40%
25 UMW Holdings 6,232.30 1.29 75%
26 Petronas Dagangan 4,667.20 0.97 30%
27 RHB Capital 3,975.30 0.82 20%
28 Hong Leong Financial Group 3,606.80 0.75 30%
29 MMC Corp 3,459.20 0.72 40%
30 Malaysia Marine Heavy Engineering 3,412.80 0.71 30%

Nickel vs KLCI

Perhaps you may questioning, Why compare nickel price with KLCI? Is there any relationship between nickel and KLCI? Well, before I explain further, we have to know what is nickel. Nickel is one of the rare earth metal which we can represent by symbol Ni (sound familiar right ^^this is normally our secondary school chemical teacher taught us).  What is the Ni function? It is used as catalyst in many chemical process, vital material in producing stainless steel.  Having say that, food industry, construction industry and automotive industry very much depend on the Ni.  What happen to nickel price if those 3 industries are gearing up? For sure its price will climb up since the supply is less than demand.  Nickel price is the best indicator which we can use to "measure" economy.  Nickel price normally leading stock market index by one quarter.Why? Company financial report is announced by quarterly basic. If we use financial report to judge the economy, we're actually lagging behind. 
Another indicator which we can use to judge economy is BDI.  The chart itself is very much self explanatory. BDI is an index to measure import and export activity.  BDI higher mean the shipping demand increase and vice versa.
Base on Nickel and BDI indicator, we can accurately predict future economy trend.

Wednesday, 12 October 2011

FKLI Intraday Chart

http://www.barchart.com/detailedquote/futures/KLV11

KLCI

Testing resistance at 1453!

Monday, 10 October 2011

Greek talks with debt inspectors nearly concluded

ATHENS, Greece (AP) -- Greece's talks with its international debt inspectors were essentially concluded Monday afternoon, although some technical details remained and were expected to be wrapped up by Tuesday, the finance minister said.
Debt inspectors from the International Monetary Fund, the European Central Bank and the European Commission have been negotiating with the Greek government for 12 days after suspending their review of Greek reforms in early September amid talk of delayed implementation of reforms and missed targets.
The inspectors, known collectively as the troika, are to recommend whether Greece has done enough to qualify for an euro8 billion ($10.8 billion) installment of its international bailout loans that will prevent it from defaulting on its debts. Athens has said it has enough funds to see it through mid-November.
"After a long series of talks and discussions with representatives of the troika, we have successfully completed the scheduled meetings and the mission will be completed by tomorrow," Finance Minister Evangelos Venizelos said in a parliamentary committee session.
"Some technical issues remain to be worked out," Venizelos said. "If it is necessary for me to handle (the issue) personally in order to give political, final solutions that will be done, but I don't consider that is particularly likely."
Greece has been struggling to emerge from a vicious financial crisis that has left it dependent on rescue loans from other eurozone countries and the IMF since May 2010. The funds are disbursed quarterly after international debt inspectors review the government's reforms and whether it is sticking to the pledges it made to receive the bailout.
Once the troika recommends whether Greece should receive the next batch of bailout loans, the decision must be signed off on by the IMF and the eurozone countries. By mid-November, Greece will run out of money to pay salaries and pensions.
Greece has been struggling through a third year of a recession, and has been slow to implement several key reforms, including privatizations. The troika suspended its review in early September, returning to Athens only after the government pledged extra austerity measures to ensure it meets its deficit reduction targets. They have included extra property taxes and implementation of a plan to suspend about 30,000 civil servants on partial pay.
The measures have sparked a renewed round of strikes and protests. Public transport workers walked off the job in Athens Monday, snarling traffic across the capital, while municipal workers have also been on strike, leaving garbage uncollected on many streets. Air traffic controllers have been staging work-to-rule protests, leading to long delays for flights from Athens' international airport. A nationwide general strike is set for Oct. 19.
Prime Minister George Papandreou spoke with EU President Herman van Rompuy by phone on Monday to discuss the Greek financial crisis, the premier's office said, adding that the two agreed to meet in Brussels soon, possibly some time later this week.

FBMKLCI Trend

KLCI is moving in the blue channel.  Resistance at 1415 and support at 1330.