59

-4

(-6.35%)

Today

10.3 M

Volume

13.9 M

Avg volume

Company Background

Perseroan melakukan kegiatan usaha berupa mengolah serta melakukan usaha perdagangan hasil perikanan. Hasil perikanan yang dimaksud adalah berupa semua jenis ikan laut, udang laut, udang tambak, cumi dan gurita. Untuk menunjang kegiatan usaha Perseroan, Perseroan bermitra dengan nelayan. Kapal nelayan-nelayan tersebut dilengkapi dengan mesin pembeku dan ruang pendingin yang berfungsi untuk menjaga mutu hasil tangkapan ikan.

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$PSGO

ENTRY IDEAL & AGRESIF
✅ ENTRY IDEAL: Rp224–Rp239
(Alasan teknikal singkat: support utama MA20/EMA21 daily, BB lower band, area retrace volume, candle doji/reversal muncul di area demand, tidak breakdown konsolidasi major HL.)​

🔰 ENTRY AGRESIF: Rp240–Rp245
(Alasan teknikal: entry pada rebound harga dari support minor, risiko false bounce tinggi, konfirmasi wajib candle bullish close & volume spike intraday, lebih cocok scalping momentum reversal.)

TAKE PROFIT (TP) & STOP LOSS (SL)
🔥 TAKE PROFIT (TP):
TP1: Rp253
(Alasan singkat: resistance swing high, BB upper, supply distribusi, serta MA50 daily yang selalu menjadi target pullback.)​

TP2: Rp263
(Alasan singkat: pivot high terakhir, resistance candle engulfing & distribusi volume, VPVR HVN dan upper band resistance.)​

🚫 STOP LOSS (SL):
SL: Rp214
(Alasan: support structure & ATR(14) daily ±10, lower BB, breakdown demand retrace; SL = entry - ATR.)

📊 RISK-REWARD PERSENTASE
Dari Entry Ideal (Rp231.5):
TP1: +9.24% (hitung: (253-231.5)/231.5100)
TP2: +13.59% (hitung: (263-231.5)/231.5100)
SL : -7.56% (hitung: (214-231.5)/231.5*100)

Dari Entry Agresif (Rp242):
TP1: +4.55%
TP2: +8.68%
SL : -11.57%

📰 ISU, BERITA & SENTIMEN PASAR
Fundamental & Katalis:

PSGO membukukan laba bersih Q3 2025 Rp290,5 miliar, naik signifikan YoY, didukung volume penjualan dan efisiensi biaya.​

RUPSLB dijadwalkan 31 Oktober 2025, antisipasi perubahan manajemen & aksi korporasi, fundamental tetap stabil.​

Risiko & Sentimen Negatif:

Harga koreksi hingga -9% akibat profit taking, sinyal tekanan jual kuat, RSI dan CCI oversold; potensi distribusi besar pasca laporan keuangan kuat (buy on rumor, sell on news).​

Direktur Chandra Wilson mundur Agustus, tidak berdampak material tapi jadi alasan profit taking di beberapa batch.​

Sentimen Komunitas/Market:

Forum & heatmap volume retail dominan di area support Rp225–240, sentimen short-term bearish namun antisipasi rebound di lower BB; diskusi scalping & swing aktif pasca koreksi.​

🔥 TEKNIKAL & MOMENTUM (per-timeframe)

Timeframe utama yang dianalisa: 15m & Daily

5m: Candle doji/reversal muncul di support, volume minor, potensi rebound mini.

15m: Sideways bearish, volume mulai naik di support, candle bullish konfirmasi butuh validasi closing.

Daily: Struktur retrace HL, BB lower band, candle pin bar/doji, Stoch RSI oversold rebound, CCI negatif, MACD negative cross, ATR(14) tinggi, RSI=32, OBV turun, ADX 35 (vol high), VPVR HVN di Rp253–263, LVN di Rp230–239.​

✨ STRATEGI TRADING (Scalping)

Timeframe: 5m/15m

Rules entry: Candle bullish confirm di support, volume spike, batch 40% modal TP1, scaling per rebound, trailing 30%.

Order: Limit order di support, scaling di retrace TP1, cut cepat di volume jual dominan.

✨ STRATEGI TRADING (Swing/Hold)

Timeframe: Daily/4H

Rules entry & scaling in: Batch kecil di support major EMA/BB, tambah posisi jika closing bullish di atas Rp245, trailing ATR/EMA, exit TP1/TP2 atau pressure news.

Trailing stop method: ATR-based (±10pt) / EMA cross.

📈 MOMENTUM NAIK/TIDAK?

Kesimpulan: Momentum naik belum dominan, peluang rebound valid dari area support & oversold, indikator mayor (Stoch/CCI/RSI) butuh validasi candle dan volume spike.​

SINYAL:
🚀 Sinyal (Scalping / Swing):
Scalping: Entry di support/candle bullish confirm, TP pendek, SL ketat, scaling jika volume rebound.
Swing: Entry batch kecil, scaling breakout closing di atas Rp245, trailing ATR, exit jika breakdown EMA.

✅ Cocok Untuk: Scalping & Swing — Cocok untuk trader disiplin anti-hold lama, best swing entry di support.

✨ Confident:

Nilai confidence: 63%
Faktor: Laba Q3 kuat, trend koreksi, indikator oversold, volume support valid, risiko distribusi profit taking tinggi.

✨ TIMEFRAME UTAMA:

15m & Daily

📊 INDIKATOR UTAMA:

EMA9/21/50, SMA50/100, VWAP (intraday), MACD(12,26,9), RSI(14), Stoch RSI, ATR(14), OBV, BB(20,2), ADX(14), CCI(14)
Alasan: Validasi trend, risk, detect oversold dan volume spike.

📚 RINGKASAN – [29 Okt 2025]
PSGO koreksi dari swing high paska laporan laba Q3, struktur HL/BB support valid scalping/swing entry, volume support area Rp224–239, momentum rebound berisiko distribusi, TP/SL disiplin wajib.​

DISCLAIMER:
Bukan nasihat keuangan. Selalu gunakan manajemen risiko, position sizing, dan disiplin TP/SL.

$KDTN $DPUM

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selagi bisa bersaing sama cold chain storage di wilayah Pati dan proses dalam transformasi industri masih dilakukan ya masih punya potensi sih, tinggal kuat kuatan aja. selama ada bunda saya mah setia🤭

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