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COMPAGNIE FINANCIERE RICHEMONT SA (CFR)

Good 4 Long

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16 replies to this topic

#1 Midlands_lass

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Posted 07 November 2014 - 05:33 PM

I stupidly decided to invest in VOD instead. My logic was that VOD had a better chance of better results & the DY is great & should push the price up. Now I feel annoyed - should have gone for CFR or maybe a 50 / 50%.

But anyhow - quite why the price has run the almost 7% on the not good results is beyond me .. Maybe the share price had discounted bad results & they were better than expected  ? I do understand the price had fallen terribly but still when is sales have only increased by 2% surely that's not good ??


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#2 @sirgrantfleming

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Posted 07 November 2014 - 11:32 AM

 putting squeeze on the shorts, love it!! :D

Whoop! about time this launched!


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#3 cdb999

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Posted 07 November 2014 - 11:15 AM

 putting squeeze on the shorts, love it!! :D

my stop loss took me out of this one. could have made about 10%. never using stop losses again.


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#4 delta66

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Posted 07 November 2014 - 10:22 AM

i think so..long term add(yes) short term trade(yes)

 

just my view and could be wrong..always 2sides to the coin! :)

 putting squeeze on the shorts, love it!! :D


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“melior diabolus quem scies”


#5 Sugafoot

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Posted 07 November 2014 - 08:27 AM

According to Bloomberg, they've missed estimates?
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#6 Ettas

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Posted 05 November 2014 - 04:13 PM

Hi there

Surely good value at 91 ..

Results on Friday -

Any thoughts ?

Thanks

Personally think there is scope to go visit 78-80 support


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#7 delta66

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Posted 05 November 2014 - 11:22 AM

Hi there

Surely good value at 91 ..

Results on Friday -

Any thoughts ?

Thanks

i think so..long term add(yes) short term trade(yes)

 

just my view and could be wrong..always 2sides to the coin! :)


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“melior diabolus quem scies”


#8 Midlands_lass

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Posted 05 November 2014 - 10:41 AM

Hi there

Surely good value at 91 ..

Results on Friday -

Any thoughts ?

Thanks


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#9 Eagle7

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Posted 18 September 2014 - 01:28 PM

im long from 105

 

will get in some more, ex div.

 

will target average price of 97 (so kitchen sink coming up)

 

also feel there is still value.


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#10 Aragorn

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Posted 18 September 2014 - 10:09 AM

I'm still long from 10250, although the price is fast approaching my stop level this morning. Still feel there is value here, and do not believe a short is on. (Just my opinion though). Last traded at these levels in Oct 2013.


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#11 Peter01

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Posted 18 September 2014 - 09:32 AM

Is CFR ready for a short? Or is there still hope for a long?


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#12 ThatBlackGuy

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Posted 18 September 2014 - 09:02 AM

I wouldn't celebrate too quickly.

 

Real glad I bailed two weeks ago at a small loss, reinvested in Nep + Roc which are both showing a healthy profit - all smiles as this stock got hammered for a six today -4.25%


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Yes, I will take your money!  :ph34r:


#13 M e r l i n

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Posted 17 September 2014 - 06:33 PM

Real glad I bailed two weeks ago at a small loss, reinvested in Nep + Roc which are both showing a healthy profit - all smiles as this stock got hammered for a six today -4.25%

Snap ST, I am in for 1500 @ just over 103 sitting with the same objective in mind.

 

Shall sell half to take profit then and sit tight with the rest - very good price for this share.


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#14 M e r l i n

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Posted 30 July 2014 - 05:46 PM

Snap ST, I am in for 1500 @ just over 103 sitting with the same objective in mind.

 

Shall sell half to take profit then and sit tight with the rest - very good price for this share.

 

@Merlin, same here. I bought 1000 shares at R103, sitting tight for a rally to R110


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People who think they know everything are a great annoyance to those of us who do. (Isaac Asimov)

 

 

 

 

 


#15 SoleTrader

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Posted 30 July 2014 - 05:00 PM

@Merlin, same here. I bought 1000 shares at R103, sitting tight for a rally to R110


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#16 M e r l i n

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Posted 29 July 2014 - 10:12 PM

Touching its 300 day MA, last breached July 2012


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People who think they know everything are a great annoyance to those of us who do. (Isaac Asimov)

 

 

 

 

 


#17 M e r l i n

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Posted 29 July 2014 - 09:54 PM

CFR took huge punishment lately from Rand strengthening, graph is on the floor at almost rock bottom of its trading channel of about -110 CCI.

It is due to pay div of about 1.5% in about a month, at a thumb suck I see about 7% short term, I am in for over a hundred sticks.


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People who think they know everything are a great annoyance to those of us who do. (Isaac Asimov)

 

 

 

 

 






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