IDX
ADRO Trade Setup – Bullish BiasADRO is showing early bullish signs, including a structural break (CoC) on the Daily Timeframe, a retracement into supply, and support from a daily base zone. The planned entry at 1810 offers a favorable risk–reward profile, with stops safely below structure and targets aligned just under the next supply zone.
Technical Context
1. Change of Character (CoC) → On the daily timeframe, price broke the previous high at 1880, signaling a potential shift in market structure toward bullish momentum.
2. Retracement to Supply Zone → Price has pulled back into the September monthly supply zone, offering a possible area of reaction.
3. Previous Base Zone (Daily) → Current price action is also sitting on a daily base zone, reinforcing confluence for a potential bullish continuation.
Trade Plan
Entry 1810
Stop Loss 1580
Target 2600
Risk (pts) 230
Reward (pts) 790
R:R Ratio 3.4x
BWPT - POWER PLAYIDX:BWPT - POWER PLAY
(+)
Low risk entry point on a pivot level.
Volume dries up.
Price has been above the MA 50 for over 10 weeks, with values exceeding 150 and 200
Price is within 25% of its 52-week high.
Price is over 25% of its 52-week low.
The 200-day MA has been trending upwards for over a month.
The RS Rating is above 70 (93).
The price shoot up by 147% and paused only for 18%, indicating a strong uptrend
EPS Growth:
a. Quarterly QoQ: +50.04%.
b. Quarterly YoY: +42.82%.
c. TTM YoY: +40.10%.
d. Annual YoY: +47.25%.
INDF - VCP (13W 10/3 3T)IDX:INDF - VCP
+)
1. Low risk entry point on a pivot level.
2. Volume dries up.
3. Price has been above the MA 50 > 150 > 200
4. Price is within 25% of its 52-week high.
5. Price is over 25% of its 52-week low.
6. The 200-day MA has been trending upwards for over a month.
7. The RS Rating is above 70 (71).
EPS Growth:
a. Quarterly QoQ: -
b. Quarterly YoY: +11.20%.
c. TTM YoY: +32.14%.
d. Annual YoY: +6.07%.
(-)
1. There is no significant breakout with substantial volume.
WOOD - CUP WITH HANDLEIDX:WOOD - CUP WITH HANDLE
(+):
1. Low risk entry point
2. Volume dries up.
3. Price has been above the MA 50 for over 10 weeks, with values exceeding 150, 200, and 300.
4. Price is within 25% of its 52-week high.
5. Price is over 30% of its 52-week low.
6. The 200-day MA has been trending upwards for over a month.
7. The RS Rating is above 70 (85).
8. Carbon sales increase 503%
9. Price breakout with VCP criteria
EPS Growth:
a. Quarterly QoQ: -13.24%.
b. Quarterly YoY: +68.81%.
c. TTM YoY: +49.09%.
d. Annual YoY: +33.27%.
(-)
Trump Implements a 32% Increase in Tariffs on Indonesia
The market is volatile due to the ongoing war
TAPG - VCP (11W 18/4 3T)IDX:TAPG - VCP
(+):
1. Low risk entry point on a pivot level.
2. Volume dries up.
3. Price has been above the MA 50 for over 10 weeks, with values exceeding 150, 200, and 300.
4. Price is within 25% of its 52-week high.
5. Price is over 30% of its 52-week low.
6. The 200-day MA has been trending upwards for over a month.
7. The RS Rating is above 70 (86).
8. There has been a significant breakout with substantial volume
**EPS Growth:**
a. Quarterly QoQ: -46.42%.
b. Quarterly YoY: +117.27%.
c. TTM YoY: +111.05%.
d. Annual YoY: +94.02%.
(-)
1. Trump Implements a 32% Increase in Tariffs on Indonesia
2. The market is volatile due to the ongoing war
DKFT - POWER PLAYIDX:DKFT - POWER PLAY
(+)
1. Low risk entry point on a pivot level.
2. Volume dries up.
3. Price has been above the MA 50 for over 10 weeks, with values exceeding 150, 200, and 300.
4. Price is within 25% of its 52-week high.
5. Price is over 30% of its 52-week low.
6. The 200-day MA has been trending upwards for over a month.
7. The RS Rating is above 70 (98).
8. There has been a significant breakout with substantial volume with VCP There has been a significant breakout with substantial volume, with VCP characteristic.
9. The price shoot up by 102% and paused only for 18%, indicating a strong uptrend
**EPS Growth:**
a. Quarterly QoQ: +79.70%.
b. Quarterly YoY: +819.89%.
c. TTM YoY: +356.12%.
d. Annual YoY: +484.31%.
(-)
1. Trump Implements a 32% Increase in Tariffs on Indonesia
2. The market is volatile due to the ongoing war
BNLI - VCP (11W 21/4 3T)IDX:BNLI - VCP
(+)
1. Low risk entry point on a pivot level.
2. Volume dries up.
3. Price has been above the MA 50 for over 10 weeks, with values exceeding 150, 200, and 300.
4. Price is within 25% of its 52-week high.
5. Price is over 30% of its 52-week low.
6. The 200-day MA has been trending upwards for over a month.
7. The RS Rating is above 70 (98).
8. There has been a significant breakout with substantial volume.
9. The price surged up by 150% and paused only for 24%, indicating a strong uptrend.
10. The stock is the leader of its sector.
**EPS Growth:**
a. Quarterly QoQ: +0.96%.
b. Quarterly YoY: -2.27%.
c. TTM YoY: +34.60%.
d. Annual YoY: +38.06%.
(-)
1. The major market is focused on Danantara and Hilirisasi stocks.
JARR VCP - (144W 80/28 4T)IDX:JARR - VCP
(+):
1. Low risk entry point on pivot level
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (85)
9. EPS Growth:
a. Quarterly QoQ: +56.12%
b Quarrerly YoY: +255.56%
b. TTM YoY: +208.21%
c. Annual YoY: +237.44%
10. Breakout with huge volume
(-)
1. Nothing, just perfect :)
PSAB - CUP WITH HANDLEIDX:PSAB - CUP WITH HANDLE
(+):
1. Low risk entry point on pivot level
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (92)
9. EPS Growth:
a. Quarterly QoQ: +47.80%
b. Quarterly YoY: +436.36%
b. TTM YoY: +436.36%
c. Annual YoY: +197.07%
10. Breakout with huge volume
11. Gold price is all time high, but this stock is still lagging
(-)
1. Need to break another high, to let this stock all time high
MFIN - VCP (16W 41/18)IDX:MFIN - VCP
(+):
1. Low risk entry point on pivot level
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (95)
9. EPS Growth:
a. Quarterly QoQ: +22.24%
b Quarrerly YoY: +185.92%
b. TTM YoY: +22.24%
c. Annual YoY: +23.08%
(-)
1. Breakout with red candle
2. Lack of liquidity
TAPG - VCP (20/5 3T)IDX:TAPG VCP
(+):
1. Low risk entry point on pivot level
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (84)
9. Biggest net income +197.70% on Q4 2024 vs Q4 2023
(-)
1. Breakout with huge volume but created long red candle
NICL - VCP (192W 82/24)IDX:NICL VCP
(+):
1. Low risk entry point on pivot level
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (93)
9. EPS Growth:
a. Quarterly QoQ: +45.05%
b. TTM YoY: +872.03%
c. Annual YoY: +1,029.03%
(-)
1. Breakout with low volume
“IDX Composite Index: Assessing the Depth of the Downtrend”The IDX Composite Index is expected to remain under pressure, forming wave of wave A. The nearest corrective target for the index is projected in the 5,879–5,975.
This outlook aligns with prevailing market sentiments, as Indonesia’s economic and political landscape has yet to support a trend reversal. Additionally, global sentiment remains negative, further weighing on the index.
MUTU - 3 WEEKS TIGHTIDX:MUTU - 3 Weeks Tight
(+):
1. Low risk entry point when stock pause
2. Volume significantly drop on week 2, and huge volume on week 1
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (90)
9. High volume on breakout
(-)
1. In the text book, 2nd candle on 3 weeks tight is must corrected by 3% but this stock it was corrected by 9%
MLPL - LOW CHEATIDX:MLPL - Low Cheat
(+):
1. Very Low risk entry point on pivot level
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is over 30% of 52 weeks low
5. 200 day MA trending up over 1 month
6. RS Rating is over 70 (93)
7. VCP characteristic
10. Price breakout with huge volume
(-)
1. Price is below 25% of 52 weeks high
Try to Adding with some basic fundamental about EPS growth:
a. Quarterly QoQ: −91.66%
b. Quarterly YoY: −71.13%
c. TTM YoY: +12.23%
d. Annual YoY: −13.30%
About fundamental aspect, maybe is time to turn around
BBRI Potential Drop to 3090 Before a ReboundI'm forecasting that BBRI may decline further to the 3090-2930 demand zone, where an unfilled order block exists. There's a potential bounce in the 3750-3690 area, but if selling pressure continues, the price could reach the lower support before reversing. Watching for confirmation at these key levels before taking action.
What do you think? let discuss below? 😊
ELIT - LOW CHEATELIT - LOW CHEAT
(+):
1. Low risk entry point
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (82)
9. Stock build VCP Characteristic
Try to Adding with some basic fundamental about EPS growth:
a. Quarterly QoQ: +31.29%
b. Quarterly YoY: 653.96%
c. Annual YoY: +75.48%
d. TTM YoY: +220.19%
(-):
1. Stock not confirm on stage 2 uptrend if not break the blue line
Note:
- Consider to add some position if break the blue line
- Market look bottoming, just wait this stock to breakout with high volume
ALDO - CUP WITH HANDLEIDX:ALDO (CUP WITH HANDLE)
28-10-2024
(+):
1. Low risk entry point, first time the stock showing it’s buying point
2. Volume dries up on handle
3. Stock showing it’s strength while market is corrected
4. Price above MA 50 > 150 > 200 over 10 weeks
5. Price is within 25% of 52 weeks high
6. Price is over 30% of 52 weeks low
7. 200 day MA trending up over 1 month
8. RS Rating is over 70 (82)
(-):
1. Not really confirmed Stage 2, there is high that need to break out at price 520
PBID - CUP-COMPLETION CHEATIDX:PBID (3C)
14-10-2024
(+):
1. Low risk entry point
2. Volume dries up
3. Price above MA 50 > 150 > 200 over 10 weeks
4. Price is within 25% of 52 weeks high
5. Price is over 30% of 52 weeks low
6. 200 day MA trending up over 1 month
7. RS Rating is over 70 (86)
(-):
1. Not really in Stage 2-a uptrend
2. No big volume on the breakout
UNTR - CUP WITH HANDLEIDX:UNTR CUP WITH HANDLE
13-12-2024
(+):
1. Low risk entry point on nice drifting handle
2. Price above MA 50 > 150 > 200 over 10 weeks
3. Price is within 25% of 52 weeks high
4. Price is over 30% of 52 weeks low
5. 200 day MA trending up over 1 month
6. RS Rating is over 70 (79)
7. Price break major downtrend, it's mean the stock started on Stage 2 uptrend
(-):
1. The stock is slow mover, it will take a while to reach the target
2. The volume when the stock is breaking out not quite big
Note:
Volume not dries up cause of big capital stock, some of big capital stocks doesn't need to dries up their volume






















