Bank down lumayan, TRX Value relatif tipis .... probabilitas untuk ilang barang 
(kalau BOZZ ndak niat distribusi LQ45, still has long target) kecil, 
probabilitas untuk koleksi target besar?




--- On Thu, 10/29/09, jsx_consultant <[email protected]> wrote:

From: jsx_consultant <[email protected]>
Subject: [ob] Kenapa BOZZ pilih scenario 2 ?
To: [email protected]
Date: Thursday, October 29, 2009, 3:40 AM

Kenapa BOZZ pilih scenario 2 ?


BOZZ punya portfolio LQ45 banyak kanapa Bozz pilih
scenario 2 yaitu FAST and DEEP CORRECTION ?.

Coba ada yg tahu engga jawabannya ?





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