#AISAHAM
#DISCLAIMEROM
#BANDARMOLOGY
#LIKEFORMORE
$TBIG
π ANALISIS SINGKAT: TBIG (Tower Bersama Infrastructure)
π― SNAPSHOT
Harga: 2200 (+20, +0.92%) π’
Timeframe: 2024-2026
Current: 9 Nov 2025
π PRICE ACTION
2024: Range 1,600-2,200 (volatile sideways)
2025: Continue range 1,800-2,400
Pattern: Ranging/sideways - NO clear trend
Peak: ~2,400-2,500
Low: ~1,600
Current: 2,200 (mid-range)
Character: Consolidation stock, bukan trending
π INDIKATOR BANDAR
Bandar Value: +54.149B π’π’π’
POSITIF BESAR!
Trend naik konsisten steady dari negativeβpositive
No reversal, terus accumulate
Smart money masuk pelan-pelan
Bandar Movement: -781.709K π’π’
Wait, ini NEGATIF tapi chart hijau naik?
Looking closer: Movement NAIK dari lebih negatif
Recovering dari -1.2M β -781K
Improving trend = bullish
Bandar Volume: +288 π’
Positif, support buying
Small spike recent
Healthy volume
Accum/Dist: +5.827M π’π’
POSITIF KONSISTEN!
Steady uptrend
Drop temporary lalu recover
Accumulation mode
Stoch RSI: 51.2 π’π’π’
PERFECT NEUTRAL ZONE!
Not overbought
Not oversold
Room to move both ways
HEALTHY position!
What's Happening:
β
Bandar accumulate steady sejak 2024
β
No pump & dump pattern
β
Range-bound consolidation 1,800-2,400
β
Building base for breakout
β
RSI 51 = not overbought (healthy!)
β
All indicators aligned bullish
Pattern: Accumulation phase before markup
π² SKENARIO
Skenario 1: Range Continue (40%) π
Thesis:
Continue sideways 1,900-2,300
More accumulation time needed
Consolidation extends
Action:
Buy dips 1,900-2,000
Sell rallies 2,300-2,400
Swing trade the range
Skenario 2: Breakout Soon (50%) ππ’
Thesis:
Accumulation phase mature
Bandar Value +54B = ready to markup
RSI 51 = room to run
Base building complete
Trigger for Breakout:
Break & hold above 2,400-2,500
Volume spike
Bandar Value accelerate
Target Post-Breakout:
T1: 2,600-2,700 (+20%)
T2: 2,800-3,000 (+30-35%)
T3: 3,200+ (stretch)
Timeframe: 1-3 bulan
Skenario 3: Test Support (10%) π
Thesis:
Market correction
Test 1,900-2,000 support
Action:
STRONG BUY at 1,900-2,000
Best entry for breakout play
π‘ REKOMENDASI
Rating: 7.5/10 π’ GOOD BUY!
Why Good:
β
All indicators bullish aligned
β
Accumulation phase (not distribution!)
β
RSI healthy 51 (not overbought)
β
Range-bound = predictable
β
Bandar clearly accumulating
β
Low risk, good reward potential
ENTRY STRATEGY:
A. Conservative (Best R:R): βββ
Wait pullback: 1,900-2,000
SL: 1,850
Target: 2,400-2,600
R:R: 1:4 (excellent!)
Probability: 70%
B. Moderate (Current):
Buy now: 2,150-2,250
SL: 2,050
Target: 2,400-2,600
R:R: 1:2.5 (good)
Probability: 65%
C. Aggressive (Breakout Play):
Buy on break: 2,400-2,450
Confirm: Volume spike, hold above
SL: 2,300
Target: 2,800-3,000
R:R: 1:3
Higher risk but momentum play
POSITION SIZING:
Portfolio allocation: 10-15% (moderate-aggressive)
Buy Plan:
40% at 2,000-2,100 (dip buy)
30% at 2,150-2,200 (current)
30% on breakout 2,400+ (confirmation)
Or simpler:
70% at 2,000-2,150 (accumulation)
30% on breakout (momentum)
π SUPPORT & RESISTANCE
Support:
S1: 2,100 (recent low)
S2: 2,000 (psychological + demand) β
S3: 1,900 (strong support)
S4: 1,800 (major support)
Resistance:
R1: 2,300 (minor)
R2: 2,400-2,500 (major breakout level) β
R3: 2,600 (after breakout)
R4: 2,800-3,000 (target)
β οΈ WHAT TO WATCH
Bullish Confirmation:
β
Break 2,400 with volume
β
Bandar Value spike >70B
β
Accum/Dist continue rising
β
RSI cross 60-70
Bearish Warning (unlikely):
β Break 1,900 support
β Bandar Value turun negatif
β Volume spike selling