
Entry level, 30 lots.
Ocean liners guzzle oils so didn't want to take too big a bet.
Moreover NOL at this price is no bargain, at least at this point I don't see any impetus unlike say Cosco at 1.82 with catalysts of getting rig contracts(cyclical and  IN now)  and it did.
More for a bit of fun, la. 
neutral ( Date: 06-Apr-2011 16:03) Posted:
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After the massive rights issue.......profit never seems to look good again.  But why 1.75 ??
Isolator ( Date: 06-Apr-2011 22:45) Posted:
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break $2 with convincing vol ..this laggard will chiong..
gd luck..
Already profit.... but 1.75 to come....
how many lots u bot at 1.97
chris168 ( Date: 04-Apr-2011 22:22) Posted:
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no. of blue chips rested only couple of days ... then proceed their march onwards ...
this one hit 2.01 very recently ...  
 
as firm as usual ..... 
with CD nearing ......  
 
I have never been constructive all this while even till now.... Dont understand why people want to bother about my post... lol...
at last, i see something meaningful n constructive frm u.. haha..
Isolator ( Date: 05-Apr-2011 15:04) Posted:
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NOL: Operating results for Period 2 are out. MS maintains Overweight with TP$2.90, NOL remains as top pick and defensive near-term investment. Freight rates still fall but within expectations due to seasonal trends and excess capacity…
NOL is likely to be still profitable but margins are sharply lower, est to have fallen to 3-4% from 7% in 4Q10. Contributing factors are, a 5% decrease in freight rates from 4Q10 and bunker fuel prices rising 20%...
Notes that +12% yoy volumes were mainly attributed to strong volumes on Intra-Asia and Asia-Europe routes but was offset by 1% yoy rate decrease resulting in a 12% rev improvement overall in Period 2.
NOL is likely to be still profitable but margins are sharply lower, est to have fallen to 3-4% from 7% in 4Q10. Contributing factors are, a 5% decrease in freight rates from 4Q10 and bunker fuel prices rising 20%...
Notes that +12% yoy volumes were mainly attributed to strong volumes on Intra-Asia and Asia-Europe routes but was offset by 1% yoy rate decrease resulting in a 12% rev improvement overall in Period 2.
Never listen to anyone.... Trade at your own risk.... Gd luck!

Only MFT dare to predict and GOD can see the future.....
though im not a master like isolator, my screen also say  buy and hold  if can afford to hold for very long.. hahaha.. so guys, please do not follow blindly coz ultimately, its your money.. anything happens to ur money, its ur fault and not others.. so, u must always understand  UR OWN  objective and time frame of going into shares... enjoy trading! hehe..
My screen say so.... Sell and short....
isolator...where you see again?????? Currently, i only see a very nice downtrend but tomorrow may break the downtrend as stochastic signal buy and MACD tredning up...
Isolator ( Date: 04-Apr-2011 17:35) Posted:
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Vested 1.97 ..... in turbulent oil .....
1.75? no la ... although never say never ....
NOL was at 1.7+ range when STI was 2700? but oil was cheaper then ....
 
1.99 excellent!!..
congrats to those who r in it..
ozone2002 ( Date: 29-Mar-2011 14:49) Posted:
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Trap us maybe? XD soon, it will fly to 2.15 soon before XD
Blastoff ( Date: 04-Apr-2011 20:59) Posted:
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Why do you suggest shorting when XD round the corner????
limkt009 ( Date: 04-Apr-2011 20:39) Posted:
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NOL OPERATING PERFORMANCE FOR PERIOD 2, 2011   
http://info.sgx.com/webcoranncatth.nsf/VwAttachments/Att_BB393179F7407D664825786800281562/$file/NOL_Operating_Performance_for_P2_2011.pdf?openelement