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Hexza Corporation Bhd
Buy, Hold or Sell?

Let's analyse Hexza together

PenkeI guess you are interested in Hexza Corporation Bhd. Buy, hold or sell? I don't know! However, I do recommend doing research before doing anything. I will help you with that.

I'm going to help you getting a better view of Hexza Corporation Bhd. At the end you don't have to ask anyone for trading advice. You can make your own decision, with more confidence, the odds in your favor, backed by data.

You can find me behind Let's Analyse Together in the top-right of each section.

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Quick analysis of Hexza (30 sec.)










What can you expect buying and holding a share of Hexza? (30 sec.)

How much money do you get?

How much money do you get?
RM0.03
When do you have the money?
1 year
How often do you get paid?
90.0%

What is your share worth?

Current worth
RM1.74
Expected worth in 1 year
RM3.64
How sure are you?
70.0%

+ What do you gain per year?

Total Gains per Share
RM2.06
Return On Investment
215.7%

For what price can you sell your share?

Current Price per Share
RM0.96
Expected price per share
RM0.91 - RM0.98
How sure are you?
50%

1. Valuation of Hexza (5 min.)




Live pricePrice per Share (EOD)

RM0.96

Intrinsic Value Per Share

RM-0.98 - RM0.17

Total Value Per Share

RM0.77 - RM1.92

2. Growth of Hexza (5 min.)




Is Hexza growing?

Current yearPrevious yearGrowGrow %
How rich?$73.7m$53.6m$20m27.2%

How much money is Hexza making?

Current yearPrevious yearGrowGrow %
Making money$1.2m$1.2m$39.1k3.0%
Net Profit Margin10.2%7.7%--

How much money comes from the company's main activities?

3. Financial Health of Hexza (5 min.)




4. Comparing to competitors in the Specialty Chemicals industry (5 min.)




  Industry Rankings (Specialty Chemicals)  

What can you expect buying and holding a share of Hexza? (5 min.)

Welcome investor! Hexza's management wants to use your money to grow the business. In return you get a share of Hexza.

What can you expect buying and holding a share of Hexza?

First you should know what it really means to hold a share of Hexza. And how you can make/lose money.

Speculation

The Price per Share of Hexza is RM0.955. The market price reflects what other people think it is worth; not what it's really worth. Your job is to find out if the market price is fair, overpriced, or underpriced. I will help you with that.

If you buy blind, there is a 50% chance of making or losing money by selling the stock in the future. However, we can look at a few things to determine the odds in our favor:

  • The fundamentals: the financial health trends of Hexza.
  • The technials: based on market psychology, we can make a calculated estimate of what the price will do in the future. We can do this through technical analysis. We can calculate the probabilities and the expected value (millionaire math). That's called speculation.
  • The book value: what is the market price compared to it's book value.

Investing

If you really want to invest in Hexza, you will have to let go of the thought of selling in the future. If you have to sell the share for less than you bought it, it can still be a good investment. Focus on what it means to hold the stock forever:

  • You own a part of the company. The equity of this part can grow or shrink. The current Book Value per Share is RM1.74. Based on the TTM, the Book Value Change Per Share is RM0.48 per quarter. Based on the YOY, the Book Value Change Per Share is RM-0.13 per quarter.
  • You may receive quarterly/yearly dividend in the form of additional shares.
  • You may receive quarterly/yearly dividend in the form of cash. Based on the TTM the Dividend per Share is RM0.04 per quarter.
Based on historical numbers we can estimate the returns while holding a share of Hexza.

How much money are you going to get?

 MRQTTMYOY5Y10Y
 RM% of Price per ShareRM% of Price per ShareRM% of Price per ShareRM% of Price per ShareRM% of Price per Share
Usd Eps0.010.7%0.010.7%0.010.7%0.011.0%0.010.9%
Usd Book Value Change Per Share0.1010.5%0.1010.5%-0.03-3.0%0.032.8%0.011.4%
Usd Dividend Per Share0.010.9%0.010.9%0.021.7%0.011.2%0.011.0%
Usd Total Gains Per Share0.1111.4%0.1111.4%-0.01-1.3%0.044.0%0.022.4%
Usd Price Per Share0.17-0.17-0.17-0.19-0.18-
Price to Earnings Ratio25.72-25.72-27.88-21.28-14.95-
Price-to-Total Gains Ratio1.52-1.52--14.02--11.35-14.29-
Price to Book Ratio0.45-0.45-0.65-0.69-0.70-
Price-to-Total Gains Ratio1.52-1.52--14.02--11.35-14.29-

When do you get the money?

Usd Investment
$.00
Usd Price Per Share0.2016005
Number of shares4960
Gains per QuarterTrailing 12 Months5 Year
Usd Dividend Per Share0.010.01
Usd Book Value Change Per Share0.100.03
Usd Total Gains Per Share0.110.04
Gains per Quarter (4960 shares)539.31189.16
Gains per Year (4960 shares)2,157.22756.62
YearsReturn on Investment (TTM)Return on Investment (5Y)
 DividendBook Value gainTotal gainsDividendBook Value gainTotal gains
Broker costs---10---10
116819902147222535747
23353979430444410691504
35035969646166616042261
46707959861888821393018
5838994910775111026733775
610051193812932133232084532
711731392815089155437435289
813401591817246177642776046
915081790719403199848126803
1016751989721560222053467560

How sure are you?

Based on the past periods, how sure are you to get value out of your investment.

Linear %
 Trailing 12 Months3Y5 Year10 YearALLTIME
  % % % % %
Earnings Per Share1.00.00.0100.0%3.00.00.0100.0%5.00.00.0100.0%9.01.00.090.0%11.01.00.091.7%
Book Value Change Per Share1.00.00.0100.0%2.01.00.066.7%3.02.00.060.0%6.04.00.060.0%7.04.01.058.3%
Dividend per Share1.00.00.0100.0%3.00.00.0100.0%5.00.00.0100.0%9.00.01.090.0%9.00.03.075.0%
Total Gains per Share1.00.00.0100.0%2.01.00.066.7%3.02.00.060.0%7.03.00.070.0%8.03.01.066.7%

Fundamentals of Hexza

About Hexza Corporation Bhd

Hexza Corporation Berhad, an investment holding company, manufactures and sells ethanol and formaldehyde-based liquid adhesive resins in Malaysia. The company operates through: Investment holding, Resins, Ethanol, Trading, and Others segments. It manufactures and sells formaldehyde based adhesive resins and glues for wood related industries; ethyl alcohol, liquefied carbon dioxide, and kaoliang wine. The company also engages in the property development activities; manufacture and sale of natural vinegar; and marketing and distribution of consumer products and industrial chemicals. The company was formerly known as Norsechem (M) Sdn. Bhd. and changed its name to Hexza Corporation Berhad in July 1986. Hexza Corporation Berhad was incorporated in 1969 and is headquartered in Ipoh, Malaysia.

Fundamental data was last updated by Penke on 2024-04-20 07:21:03.

Financial Health

Profitability Details
 Compared to previous yearCompared to industry
The company is making a huge profit.
Using its assets, the company is less efficient in making profit.
Using its investors money, the company is inefficient in making profit.
Operating Efficiency Details
 Compared to previous yearCompared to industry
The company is operating less efficient.
The company is inefficient in keeping operating costs low.
Liquidity Details
 Compared to previous yearCompared to industry
The company is very able to pay all its short-term debts.
The company is very able to pay all its short-term debts with the most liquid assets.
Solvency Details
 Compared to previous yearCompared to industry
The company is very able to pay all its debts by selling its assets.
The company is very able to pay all its debts with equity.

Valuation

Valuation Details
 Compared to previous yearCompared to industry
Based on the equity, the company is cheap.
Based on the earnings, the company is overpriced.
Based on how much money comes from the company's main activities, the company is underpriced.

1.1. Profitability of Hexza Corporation Bhd.

1.1. Profitability
1.1.1. Net Profit Margin

Measures how much net profit Hexza earns for each RM1 of revenue.

  • Above 10% is considered healthy but always compare Hexza to the Specialty Chemicals industry mean.
  • A Net Profit Margin of 10.2% means that RM0.10 for each RM1 in revenue is generated as profit.

Let's take a look of the Net Profit Margin trends of Hexza Corporation Bhd:

  • The MRQ is 10.2%. The company is making a huge profit. +2
  • The TTM is 10.2%. The company is making a huge profit. +2
Trends
Current periodCompared to+/- 
MRQ10.2%TTM10.2%0.0%
TTM10.2%YOY7.7%+2.5%
TTM10.2%5Y11.2%-1.0%
5Y11.2%10Y8.1%+3.0%
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ10.2%3.7%+6.5%
TTM10.2%4.2%+6.0%
YOY7.7%6.3%+1.4%
5Y11.2%6.0%+5.2%
10Y8.1%6.0%+2.1%
1.1.2. Return on Assets

Shows how efficient Hexza is using its assets to generate profit.

  • Above 5% is considered healthy but always compare Hexza to the Specialty Chemicals industry mean.
  • 1.7% Return on Assets means that Hexza generated RM0.02 profit for each $1 in assets.

Let's take a look of the Return on Assets trends of Hexza Corporation Bhd:

  • The MRQ is 1.7%. Using its assets, the company is less efficient in making profit.
  • The TTM is 1.7%. Using its assets, the company is less efficient in making profit.
Trends
Current periodCompared to+/- 
MRQ1.7%TTM1.7%0.0%
TTM1.7%YOY2.2%-0.5%
TTM1.7%5Y3.3%-1.6%
5Y3.3%10Y3.2%+0.1%
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ1.7%1.3%+0.4%
TTM1.7%1.4%+0.3%
YOY2.2%2.4%-0.2%
5Y3.3%2.0%+1.3%
10Y3.2%2.2%+1.0%
1.1.3. Return on Equity

Shows how efficient Hexza is using its investors money to generate profit.

  • Above 15%-20% is considered healthy but always compare Hexza to the Specialty Chemicals industry mean.
  • 1.8% Return on Equity means Hexza generated RM0.02 for each RM1 the owners (shareholders) invested.

Let's take a look of the Return on Equity trends of Hexza Corporation Bhd:

  • The MRQ is 1.8%. Using its investors money, the company is inefficient in making profit. -1
  • The TTM is 1.8%. Using its investors money, the company is inefficient in making profit. -1
Trends
Current periodCompared to+/- 
MRQ1.8%TTM1.8%0.0%
TTM1.8%YOY2.3%-0.6%
TTM1.8%5Y3.6%-1.8%
5Y3.6%10Y2.5%+1.0%
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ1.8%2.6%-0.8%
TTM1.8%2.9%-1.1%
YOY2.3%4.5%-2.2%
5Y3.6%4.0%-0.4%
10Y2.5%4.1%-1.6%

1.2. Operating Efficiency of Hexza Corporation Bhd.

1.2. Operating Efficiency
1.2.1. Operating Margin

Measures how efficient Hexza is operating .

  • Measures how much profit Hexza makes for each RM1 of sales after paying variable costs (production costs, wages, etc) but before taxes.
  • Above 15% is considered healthy but always compare Hexza to the Specialty Chemicals industry mean.
  • An Operating Margin of 11.5% means the company generated RM0.12  for each RM1 in revenue (before taxes).

Let's take a look of the Operating Margin trends of Hexza Corporation Bhd:

  • The MRQ is 11.5%. The company is operating less efficient.
  • The TTM is 11.5%. The company is operating less efficient.
Trends
Current periodCompared to+/- 
MRQ11.5%TTM11.5%0.0%
TTM11.5%YOY9.0%+2.6%
TTM11.5%5Y13.7%-2.2%
5Y13.7%10Y8.8%+4.9%
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ11.5%7.4%+4.1%
TTM11.5%5.5%+6.0%
YOY9.0%8.3%+0.7%
5Y13.7%8.3%+5.4%
10Y8.8%8.2%+0.6%
1.2.2. Operating Ratio

Measures how efficient Hexza is keeping operating costs low.

  • Below 1 is considered healthy (always compare to Specialty Chemicals industry mean).
  • An Operation Ratio of 1.53 means that the operating costs are RM1.53 for each RM1 in net sales.

Let's take a look of the Operating Ratio trends of Hexza Corporation Bhd:

  • The MRQ is 1.531. The company is inefficient in keeping operating costs low. -1
  • The TTM is 1.531. The company is inefficient in keeping operating costs low. -1
Trends
Current periodCompared to+/- 
MRQ1.531TTM1.5310.000
TTM1.531YOY1.621-0.090
TTM1.5315Y1.501+0.030
5Y1.50110Y1.379+0.122
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ1.5311.533-0.002
TTM1.5311.539-0.008
YOY1.6211.435+0.186
5Y1.5011.448+0.053
10Y1.3791.288+0.091

1.3. Liquidity of Hexza Corporation Bhd.

1.3. Liquidity
1.3.1. Current Ratio

Measures if Hexza is able to pay off Short-term Debt.

  • Above 1.5 is considered healthy (always compare to Specialty Chemicals industry mean).
  • A Current Ratio of 22.08 means the company has RM22.08 in assets for each RM1 in short-term debts.

Let's take a look of the Current Ratio trends of Hexza Corporation Bhd:

  • The MRQ is 22.076. The company is very able to pay all its short-term debts. +2
  • The TTM is 22.076. The company is very able to pay all its short-term debts. +2
Trends
Current periodCompared to+/- 
MRQ22.076TTM22.0760.000
TTM22.076YOY28.699-6.622
TTM22.0765Y18.433+3.643
5Y18.43310Y14.292+4.141
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ22.0761.792+20.284
TTM22.0761.879+20.197
YOY28.6991.893+26.806
5Y18.4331.919+16.514
10Y14.2921.808+12.484
1.3.2. Quick Ratio

Measures if Hexza is able to pay off Short-term Debt but only using the most liquid assets.

  • Above 1 is considered healthy but always compare Hexza to the Specialty Chemicals industry mean.
  • A Quick Ratio of 17.82 means the company can pay off RM17.82 for each RM1 in debt (using most liquid assets).

Let's take a look of the Quick Ratio trends of Hexza Corporation Bhd:

  • The MRQ is 17.818. The company is very able to pay all its short-term debts with the most liquid assets. +2
  • The TTM is 17.818. The company is very able to pay all its short-term debts with the most liquid assets. +2
Trends
Current periodCompared to+/- 
MRQ17.818TTM17.8180.000
TTM17.818YOY23.766-5.948
TTM17.8185Y15.099+2.720
5Y15.09910Y10.429+4.669
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ17.8180.812+17.006
TTM17.8180.849+16.969
YOY23.7660.938+22.828
5Y15.0991.047+14.052
10Y10.4291.035+9.394

1.4. Solvency of Hexza Corporation Bhd.

1.3. Liquidity
1.4.1. Debt to Asset Ratio

Measures how much % of Hexza assets are financed with debt.

  • Below 1 (100%) is considered healthy but always compare Hexza to Specialty Chemicals industry mean.
  • A Debt to Asset Ratio of 0.04 means that Hexza assets are financed with 4.0% credit (debt) and the remaining percentage (100% - 4.0%) is financed by its owners/shareholders. 

Let's take a look of the Debt to Asset Ratio trends of Hexza Corporation Bhd:

  • The MRQ is 0.040. The company is very able to pay all its debts by selling its assets. +2
  • The TTM is 0.040. The company is very able to pay all its debts by selling its assets. +2
Trends
Current periodCompared to+/- 
MRQ0.040TTM0.0400.000
TTM0.040YOY0.054-0.014
TTM0.0405Y0.064-0.024
5Y0.06410Y0.078-0.014
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ0.0400.425-0.385
TTM0.0400.423-0.383
YOY0.0540.424-0.370
5Y0.0640.432-0.368
10Y0.0780.439-0.361
1.4.2. Debt to Equity Ratio

Measures if Hexza is able to pay off its debts by using shareholders equity.

  • Below 2 is considered healthy but always compare Hexza to the Specialty Chemicals industry mean.
  • A Debt to Equity ratio of 4.2% means that company has RM0.04 debt for each RM1 in shareholders equity.

Let's take a look of the Debt to Equity Ratio trends of Hexza Corporation Bhd:

  • The MRQ is 0.042. The company is very able to pay all its debts with equity. +2
  • The TTM is 0.042. The company is very able to pay all its debts with equity. +2
Trends
Current periodCompared to+/- 
MRQ0.042TTM0.0420.000
TTM0.042YOY0.057-0.016
TTM0.0425Y0.068-0.027
5Y0.06810Y0.063+0.005
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
MRQ0.0420.758-0.716
TTM0.0420.755-0.713
YOY0.0570.739-0.682
5Y0.0680.807-0.739
10Y0.0630.863-0.800

2. Market Valuation of Hexza Corporation Bhd

2.1. Earnings Per Share
2.1. Price to Earnings Ratio

Measures how much money you pay for each share for every RM1 in earnings Hexza generates.

  • Above 15 is considered overpriced but always compare Hexza to the Specialty Chemicals industry mean.
  • A PE ratio of 25.72 means the investor is paying RM25.72 for every RM1 in earnings.

Let's take a look of the Price to Earnings Ratio trends of Hexza Corporation Bhd:

  • The EOD is 31.289. Based on the earnings, the company is overpriced. -1
  • The MRQ is 25.719. Based on the earnings, the company is overpriced. -1
  • The TTM is 25.719. Based on the earnings, the company is overpriced. -1
Trends
Current periodCompared to+/- 
EOD31.289MRQ25.719+5.570
MRQ25.719TTM25.7190.000
TTM25.719YOY27.875-2.156
TTM25.7195Y21.284+4.436
5Y21.28410Y14.949+6.334
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
EOD31.28915.996+15.293
MRQ25.71915.111+10.608
TTM25.71915.895+9.824
YOY27.87517.490+10.385
5Y21.28419.631+1.653
10Y14.94923.049-8.100
2.2. Price To Free Cash Flow Ratio

Let's take a look of the Price To Free Cash Flow Ratio trends of Hexza Corporation Bhd:

  • The EOD is 20.529. Based on how much money comes from the company's main activities, the company is underpriced. +1
  • The MRQ is 16.875. Based on how much money comes from the company's main activities, the company is underpriced. +1
  • The TTM is 16.875. Based on how much money comes from the company's main activities, the company is underpriced. +1
Trends
Current periodCompared to+/- 
EOD20.529MRQ16.875+3.654
MRQ16.875TTM16.8750.000
TTM16.875YOY-85.212+102.087
TTM16.8755Y16.680+0.195
5Y16.68010Y10.355+6.325
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
EOD20.5294.891+15.638
MRQ16.8754.007+12.868
TTM16.8752.514+14.361
YOY-85.212-2.232-82.980
5Y16.6802.936+13.744
10Y10.3553.072+7.283
2. Book Value per Share
2.3. Price to Book Ratio

Measures if the stock price of Hexza is to cheap or to expensive compared to its book value.

  • At or below 1 is considered healthy (always compare to Specialty Chemicals industry mean).
  • A PB ratio of 0.45 means the investor is paying RM0.45 for each RM1 in book value.

Let's take a look of the Price to Book Ratio trends of Hexza Corporation Bhd:

  • The EOD is 0.548. Based on the equity, the company is cheap. +2
  • The MRQ is 0.450. Based on the equity, the company is cheap. +2
  • The TTM is 0.450. Based on the equity, the company is cheap. +2
Trends
Current periodCompared to+/- 
EOD0.548MRQ0.450+0.097
MRQ0.450TTM0.4500.000
TTM0.450YOY0.650-0.200
TTM0.4505Y0.688-0.238
5Y0.68810Y0.702-0.014
Compared to industry (Specialty Chemicals)
PeriodCompanyIndustry (mean)+/- 
EOD0.5481.789-1.241
MRQ0.4501.800-1.350
TTM0.4501.833-1.383
YOY0.6502.292-1.642
5Y0.6882.392-1.704
10Y0.7022.651-1.949
2. Total Gains per Share

3. Summary

3.1. Key Performance Indicators

The key performance indicators of Hexza Corporation Bhd compared to the Most Recent Quarter (MRQ).

 End of day+/-Most Recent QuarterTrailing 12 Months+/-Year-Over-Year+/-5 Year+/-10 Year+/-
Book Value Change Per Share--0.4750.4750%-0.134+128%0.128+272%0.064+641%
Book Value Per Share--1.7441.7440%1.269+37%1.335+31%1.232+42%
Current Ratio--22.07622.0760%28.699-23%18.433+20%14.292+54%
Debt To Asset Ratio--0.0400.0400%0.054-26%0.064-37%0.078-49%
Debt To Equity Ratio--0.0420.0420%0.057-27%0.068-39%0.063-34%
Dividend Per Share--0.0400.0400%0.075-47%0.053-25%0.044-10%
Eps--0.0310.0310%0.030+3%0.045-33%0.043-29%
Free Cash Flow Per Share--0.0470.0470%-0.010+121%0.053-12%0.061-24%
Free Cash Flow To Equity Per Share--0.0070.0070%-0.085+1275%-0.006+184%0.003+107%
Gross Profit Margin--1.0001.0000%1.0000%1.0000%1.0000%
Intrinsic Value_10Y_max--0.173--------
Intrinsic Value_10Y_min---0.976--------
Intrinsic Value_1Y_max--0.045--------
Intrinsic Value_1Y_min--0.003--------
Intrinsic Value_3Y_max--0.115--------
Intrinsic Value_3Y_min---0.078--------
Intrinsic Value_5Y_max--0.159--------
Intrinsic Value_5Y_min---0.254--------
Market Cap191362900.000+18%157298331.400157298331.4000%165313533.000-5%179340135.800-12%170723787.880-8%
Net Profit Margin--0.1020.1020%0.077+33%0.112-9%0.081+25%
Operating Margin--0.1150.1150%0.090+29%0.137-16%0.088+31%
Operating Ratio--1.5311.5310%1.621-6%1.501+2%1.379+11%
Pb Ratio0.548+18%0.4500.4500%0.650-31%0.688-35%0.702-36%
Pe Ratio31.289+18%25.71925.7190%27.875-8%21.284+21%14.949+72%
Price Per Share0.955+18%0.7850.7850%0.825-5%0.895-12%0.852-8%
Price To Free Cash Flow Ratio20.529+18%16.87516.8750%-85.212+605%16.680+1%10.355+63%
Price To Total Gains Ratio1.854+18%1.5241.5240%-14.016+1020%-11.349+845%14.293-89%
Quick Ratio--17.81817.8180%23.766-25%15.099+18%10.429+71%
Return On Assets--0.0170.0170%0.022-24%0.033-49%0.032-48%
Return On Equity--0.0180.0180%0.023-25%0.036-51%0.025-31%
Total Gains Per Share--0.5150.5150%-0.059+111%0.181+185%0.109+374%
Usd Book Value--73763423.28873763423.2880%53667849.561+37%56483638.576+31%52097629.497+42%
Usd Book Value Change Per Share--0.1000.1000%-0.028+128%0.027+272%0.014+641%
Usd Book Value Per Share--0.3680.3680%0.268+37%0.282+31%0.260+42%
Usd Dividend Per Share--0.0080.0080%0.016-47%0.011-25%0.009-10%
Usd Eps--0.0060.0060%0.006+3%0.010-33%0.009-29%
Usd Free Cash Flow--1967793.1381967793.1380%-409538.222+121%2242701.026-12%1805673.214+9%
Usd Free Cash Flow Per Share--0.0100.0100%-0.002+121%0.011-12%0.013-24%
Usd Free Cash Flow To Equity Per Share--0.0020.0020%-0.018+1275%-0.001+184%0.001+107%
Usd Market Cap40396708.190+18%33205677.75933205677.7590%34897686.816-5%37858702.667-12%36039791.621-8%
Usd Price Per Share0.202+18%0.1660.1660%0.174-5%0.189-12%0.180-8%
Usd Profit--1291066.4901291066.4900%1251913.773+3%1919185.252-33%1809552.367-29%
Usd Revenue--12668231.32712668231.3270%16290437.119-22%17283597.178-27%22434098.574-44%
Usd Total Gains Per Share--0.1090.1090%-0.012+111%0.038+185%0.023+374%
 EOD+4 -4MRQTTM+0 -0YOY+24 -115Y+16 -1910Y+18 -17

3.2. Fundamental Score

Let's check the fundamental score of Hexza Corporation Bhd based on Penke's default stock scanner.

Penke's Stock Scanner

  
  
IndicatorConditionValue
Price to Earnings Ratio (EOD)Between0-1531.289
Price to Book Ratio (EOD)Between0-10.548
Net Profit Margin (MRQ)Greater than00.102
Operating Margin (MRQ)Greater than00.115
Quick Ratio (MRQ)Greater than117.818
Current Ratio (MRQ)Greater than122.076
Debt to Asset Ratio (MRQ)Less than10.040
Debt to Equity Ratio (MRQ)Less than10.042
Return on Equity (MRQ)Greater than0.150.018
Return on Assets (MRQ)Greater than0.050.017
Total7/10 (70.0%)

3.3. Technical Score

Let's check the technical score of Hexza Corporation Bhd based on Penke's default Symbol scanner.

Penke's Symbol Scanner

  
  
IndicatorConditionValue
RsiGreater than5043.230
Ma 20Greater thanMa 500.967
Ma 50Greater thanMa 1000.986
Ma 100Greater thanMa 2000.959
OpenGreater thanClose0.970
Total3/5 (60.0%)



Latest Balance Sheet

Balance Sheet of 2023-06-30. Currency in MYR. All numbers in thousands.

Summary
Total Assets363,949
Total Liabilities14,525
Total Stockholder Equity349,424
 As reported
Total Liabilities 14,525
Total Stockholder Equity+ 349,424
Total Assets = 363,949

Assets

Total Assets363,949
Total Current Assets100,733
Long-term Assets263,216
Total Current Assets
Cash And Cash Equivalents 69,721
Net Receivables 11,584
Inventory 17,633
Other Current Assets 419
Total Current Assets  (as reported)100,733
Total Current Assets  (calculated)99,358
+/- 1,375
Long-term Assets
Property Plant Equipment 30,164
Goodwill 2,129
Intangible Assets 2,129
Long-term Assets  (as reported)263,216
Long-term Assets  (calculated)34,422
+/- 228,794

Liabilities & Shareholders' Equity

Total Current Liabilities4,563
Long-term Liabilities4,104
Total Stockholder Equity349,424
Total Current Liabilities
Short-term Debt 137
Short Long Term Debt 137
Accounts payable 4,426
Total Current Liabilities  (as reported)4,563
Total Current Liabilities  (calculated)4,701
+/- 138
Long-term Liabilities
Other Liabilities 4,104
Long-term Liabilities  (as reported)4,104
Long-term Liabilities  (calculated)4,104
+/- 0
Total Stockholder Equity
Common Stock100,190
Retained Earnings 96,489
Other Stockholders Equity 152,745
Total Stockholder Equity (as reported)349,424
Total Stockholder Equity (calculated)349,424
+/- 0
Other
Capital Stock100,190
Cash And Equivalents69,721
Cash and Short Term Investments 69,721
Common Stock Shares Outstanding 200,380
Liabilities and Stockholders Equity 363,949
Net Invested Capital 349,561
Net Tangible Assets 347,295
Net Working Capital 96,170
Property Plant and Equipment Gross 124,914



Balance Sheet

Currency in MYR. All numbers in thousands.

 Trend2023-06-302022-06-302021-06-302020-06-302019-06-302018-06-302017-06-302016-06-302015-06-302014-06-302013-06-302012-06-30
> Total Assets 
249,000
241,000
251,000
244,000
244,862
263,515
241,253
228,485
263,907
300,288
268,774
363,949
363,949268,774300,288263,907228,485241,253263,515244,862244,000251,000241,000249,000
   > Total Current Assets 
117,000
115,000
129,000
137,000
109,725
123,232
58,827
77,662
132,125
127,483
113,634
100,733
100,733113,634127,483132,12577,66258,827123,232109,725137,000129,000115,000117,000
       Cash And Cash Equivalents 
64,000
73,000
73,000
62,000
51,418
76,839
21,826
31,471
97,065
97,047
80,148
69,721
69,72180,14897,04797,06531,47121,82676,83951,41862,00073,00073,00064,000
       Net Receivables 
34,000
24,000
35,000
33,000
28,440
21,367
20,478
19,547
17,927
15,252
13,955
11,584
11,58413,95515,25217,92719,54720,47821,36728,44033,00035,00024,00034,000
       Inventory 
19,000
17,000
20,000
22,000
16,331
18,907
15,766
26,150
16,393
14,030
17,889
17,633
17,63317,88914,03016,39326,15015,76618,90716,33122,00020,00017,00019,000
   > Long-term Assets 
0
0
0
0
0
140,283
182,426
150,822
131,782
172,804
155,140
263,216
263,216155,140172,804131,782150,822182,426140,28300000
       Property Plant Equipment 
0
0
0
0
42,160
39,408
36,418
33,721
31,985
31,121
31,182
30,164
30,16431,18231,12131,98533,72136,41839,40842,1600000
       Goodwill 
2,000
2,000
2,000
2,000
2,129
2,129
2,129
2,129
2,129
2,129
2,129
2,129
2,1292,1292,1292,1292,1292,1292,1292,1292,0002,0002,0002,000
       Long Term Investments 
58,000
56,000
57,000
47,000
0
0
0
0
0
0
0
0
0000000047,00057,00056,00058,000
       Intangible Assets 
0
0
0
0
0
0
2,129
0
0
2,129
2,129
2,129
2,1292,1292,129002,129000000
       Other Assets 
0
0
431
0
335
0
0
0
0
0
0
0
0000000335043100
> Total Liabilities 
28,000
20,000
29,000
19,000
24,853
21,979
19,727
19,571
19,687
19,235
14,544
14,525
14,52514,54419,23519,68719,57119,72721,97924,85319,00029,00020,00028,000
   > Total Current Liabilities 
17,000
11,000
20,000
11,000
10,232
9,116
7,730
7,295
8,438
8,451
3,960
4,563
4,5633,9608,4518,4387,2957,7309,11610,23211,00020,00011,00017,000
       Short-term Debt 
5,000
0
4,000
0
0
0
0
0
0
0
0
137
137000000004,00005,000
       Short Long Term Debt 
5,000
0
4,000
0
0
0
0
0
0
0
0
137
137000000004,00005,000
       Accounts payable 
8,000
6,000
11,000
6,000
0
5,216
3,462
2,778
3,654
4,341
1,735
4,426
4,4261,7354,3413,6542,7783,4625,21606,00011,0006,0008,000
       Other Current Liabilities 
1,000
2,000
2,000
2,000
0
3,437
0
0
2,419
1,488
821
0
08211,4882,419003,43702,0002,0002,0001,000
   > Long-term Liabilities 
0
0
0
0
0
6,282
5,838
5,329
4,945
4,585
4,325
4,104
4,1044,3254,5854,9455,3295,8386,28200000
       Other Liabilities 
0
0
0
0
0
0
0
0
4,945
4,585
4,325
4,104
4,1044,3254,5854,94500000000
> Total Stockholder Equity
0
0
0
0
220,009
241,537
221,526
208,914
244,221
281,053
254,230
349,424
349,424254,230281,053244,221208,914221,526241,537220,0090000
   Common Stock
100,000
100,000
100,000
100,000
100,190
100,190
100,190
100,190
100,190
100,190
100,190
100,190
100,190100,190100,190100,190100,190100,190100,190100,190100,000100,000100,000100,000
   Retained Earnings Total Equity000000000000
   Accumulated Other Comprehensive Income 000000000000
   Capital Surplus 000000000000
   Treasury Stock000000000000
   Other Stockholders Equity 
0
0
0
0
0
0
0
0
28,201
69,898
52,172
152,745
152,74552,17269,89828,20100000000



Balance Sheet

Currency in MYR. All numbers in thousands.




Cash Flow

Currency in MYR. All numbers in thousands.




Income Statement

Currency in MYR. All numbers in thousands.


Latest Income Statement (annual, 2023-06-30)

Gross Profit (+$)
totalRevenue60,011
Cost of Revenue-36,825
Gross Profit23,18523,185
 
Operating Income (+$)
Gross Profit23,185
Operating Expense-55,062
Operating Income7,082-31,876
 
Operating Expense (+$)
Research Development-
Selling General Administrative6,746
Selling And Marketing Expenses-
Operating Expense55,0626,746
 
Net Interest Income (+$)
Interest Income0
Interest Expense-2,067
Other Finance Cost-2,062
Net Interest Income-5
 
Pretax Income (+$)
Operating Income7,082
Net Interest Income-5
Other Non-Operating Income Expenses-
Income Before Tax (EBT)7,0777,082
EBIT - interestExpense = 4,862
7,175
8,183
Interest Expense2,067
Earnings Before Interest and Taxes (EBIT)6,9299,144
Earnings Before Interest and Taxes (EBITDA)-
 
After tax Income (+$)
Income Before Tax7,077
Tax Provision-1,059
Net Income From Continuing Ops6,0186,018
Net Income6,116
Net Income Applicable To Common Shares6,116
 
Non-recurring Events
Discontinued Operations-
Extraordinary Items-
Effect of Accounting Charges-
Other Items-
Non Recurring-
Other Operating Expenses-
Total Other Income/Expenses Net-5
 

Technical Analysis of Hexza
The psychology behind the price

Technical indicators reflecting market sentiment and the collective psychology of you and other traders. Your emotions and other traders' emotions, such as fear and greed, play a significant role in driving price movements.

General trend

First of all, I'm going to put something in the back of your mind. One of the most stable factors that gives you more confidence as a trader: the general trend of Hexza. The general trend of Hexza is BULLISH with 14.3% confidence. It is very important for your mental being to use each indicator with this in mind. But beware, also the general trend flips once in a while! You can use moving averages to determine Hexza's overall trend. For convenience I use the most commonly used moving averages: 20, 50, 100 & 200. Of course you can use other moving averages or other indicators to determine the trend.

Indicator phases

Some of the indicators I use have 3 zones: overbought, oversold and neutral. Transitions between these zones (market phases) provide valuable trading signals and insights. Expecially with the general trend mind, I use the highlighted phases:

Indicator zone transitionsBullish trend (14.3%) Bearish trend (-14.3%)
Overbought to neutralBullish pullback=Bearish reversal
Upper to lower neutralBullish correction=Bearish continuation
Nuetral to oversoldOversold=Oversold
Oversold to neutralBullish reversal=Bearish correction
Lower to upper neutralBullish continuation=Bearish pullback
Nuetral to overboughtOverbought=Overbought

1. Price Targets

1.1 Support & Resistance

Support and resistance are levels on a price chart that act as barriers or zones where the price of an asset tends to stop, reverse, or experience a significant amount of buying or selling pressure.

Support is a price level at which demand for an asset is strong enough to prevent the price from falling further.
Resistance is a price level at which selling pressure becomes significant enough to prevent the price of an asset from rising further.


Score

Let's take a look at the Support & Resistance of Hexza Corporation Bhd.

The long score for the Support & Resistance is 1/1.
The longshort score for the Support & Resistance is 1/(-1 +1).

  • Around support: The price is currently trading around a support level. This can be considered as a potential entry level. +1

The bullish price targets are: 0.98 < 0.98 < 0.98.

The bearish price targets are: 0.95 > 0.95 > 0.91.

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Hexza Corporation Bhd Daily Support & Resistance Chart

2. Trend Indicators

2.1 Moving Averages

Shows the moving average of the selected period.

  • Moving averages are lagging trend indicators.
  • There are many types of moving averages.
  • Moving averages are also used within other indicators.

Score

Let's take a look at the Moving Averages of Hexza Corporation Bhd. The current mas is .

The long score for the Moving Averages is 8/14.
The longshort score for the Moving Averages is 2/(-14 +14).

  • MA 20 trending down: The MA 20 is trending down. -1
  • Close < MA 20: The price is below the MA 20. -1
  • MA 20 < MA 50: The MA 20 is lower than the MA 50. -1
  • MA 20 > MA 100: The MA 20 is higher than the MA 100. +1
  • MA 20 > MA 200: The MA 20 is higher than the MA 200. +1
  • MA 50 trending down: The MA 50 is trending down. -1
  • Close < MA 50: The price is below the MA 50. -1
  • MA 50 > MA 100: The MA 50 is higher than the MA 100. +1
  • MA 50 > MA 200: The MA 50 is higher than the MA 200. +1
  • MA 100 trending up: The MA 100 is trending up. +1
  • Close < MA 100: The price is below the MA 100. -1
  • MA 100 > MA 200: The MA 100 is higher than the MA 200. +1
  • MA 200 trending up: The MA 200 is trending up. +1
  • Close > MA 200: The price is above the MA 200. +1

Directionalities and relatives.

Moving AverageAmount of candlesTrendPrice +/-vs. MA 50vs. MA 100vs. MA 200
MA 2020
MA 5050-
MA 100100--
MA 200200---

Explanation: https://www.youtube.com/watch?v=xwW8h0lrQ-I

Hexza Corporation Bhd Daily Moving Averages Chart
2.2 Moving Average Convergence/Divergence (MACD)

Shows the momentum of the selected period based on two moving averages.

  • MACD is a lagging momentum indicator.
  • Uses two moving averages.
  • Can show buy or sell signals based on momentum.
  • Can show overbought. and oversold. levels.

Score

Let's take a look at the Moving Average Convergence/Divergence (MACD) of Hexza Corporation Bhd. The current macd is -0.00607775.

The long score for the Moving Average Convergence/Divergence (MACD) is 2/4.
The longshort score for the Moving Average Convergence/Divergence (MACD) is 0/(-4 +4).

  • MACD line > signal line: The MACD line is above the signal line, which indicates a bullish signal in the market. This means that the positive momentum is currently stronger than the average momentum, suggesting that buyers are more active than sellers, and there's a higher probability of the Hexza price going up in the near term. +2
  • MACD < 0: The MACD is below the zero line (centerline), it indicates a bearish signal for Hexza. This means that the short-term moving average is lower than the long-term moving average, signaling negative momentum and suggesting a higher likelihood of the Hexza price continuing to fall in the near future. It indicates that sellers are gaining control, and there is negativism in the market, leading to potential price decreases. -1
  • Trending down: The MACD line is trending down. This indicates that the short-term moving average is falling faster than the long-term moving average, suggesting negative momentum in the market. This signals that sellers are becoming more active and insecure, leading to potential price decreases as traders anticipate further losses and are willing to sell at lower prices. -1
Hexza Corporation Bhd Daily Moving Average Convergence/Divergence (MACD) ChartHexza Corporation Bhd Daily Moving Average Convergence/Divergence (MACD) Chart
2.3 Directional Movement Index (DMI)

The DMI is a collection of 3 indicators: +DI (Plus Direction Indicator), -DI (Minus Direction Indicator) and ADX (Average Directional Index). The ADX helps you determine the strength of a trend.


Score

Let's take a look at the Directional Movement Index (DMI) of Hexza Corporation Bhd. The current adx is 11.07.

The long score for the Directional Movement Index (DMI) is 1/7.
The longshort score for the Directional Movement Index (DMI) is 1/(-7 +7).

  • PLUS_ID > MINUS_DI: The +DI line is above the -DI line. This indicates a bullish signal in the market, as the positive directional movement is currently stronger than the negative directional movement, showing that buyers have the upper hand. Market psychology suggests that traders are optimistic, expecting further price increases, and are more willing to buy Hexza shares, leading to potential upward momentum in its price. +1
  • PLUS_ID > MINUS_DI && ADX < 25 && ADX trending down: The ADX is below 25 and indicates a weak or no trend. Also, the ADX is declining so there is no trend indication.
Hexza Corporation Bhd Daily Directional Movement Index (DMI) Chart
2.4 Parabolic SAR

Shows the current trend and potential entry and exit signals.

  • Parabolic SAR (stop and reverse) is a lagging trend indicator.
  • Shows the current trend.
  • Shows potential entry signals.
  • Shows  potential exit signals.
  • Can be used to place trailing stoplosses..

Score

Let's take a look at the Parabolic SAR of Hexza Corporation Bhd. The current sar is 0.945.

The long score for the Parabolic SAR is 1/1.
The longshort score for the Parabolic SAR is 1/(-1 +1).

  • Close > SAR: The price is above the SAR. It's generally considered a bullish signal. +1
Hexza Corporation Bhd Daily Parabolic SAR Chart

3. Momentum Indicators

3.1 Relative Strength Index (RSI)

Measures the speed and change of price movements.

  • Leading momentum indicator, meaning the signals are instant.
  • Ranges between 0 and 100.
  • Above 70 is considered overbought.
  • Below 30 is considered oversold.
  • Above or below 50 can also be used to determine price trend or support and resistance.
  • RSI divergence looks at a deviation between RSI and price movement. Penketrading automatically calculates RSI divergences.
  • Can be used in many different ways

Score

Let's take a look at the Relative Strength Index (RSI) of Hexza Corporation Bhd. The current rsi is 43.23. The current phase is Correction in bull market.

The long score for the Relative Strength Index (RSI) is 0/13.
The longshort score for the Relative Strength Index (RSI) is -4/(-13 +13).

  • Correction in bull market: Moderate price decline, potential pause in the uptrend. Reassess the market, wait for signs of stabilization.
  • Trending down: The RSI is trending down. -1
Hexza Corporation Bhd Daily Relative Strength Index (RSI) ChartHexza Corporation Bhd Daily Relative Strength Index (RSI) Chart
3.2 Stochastic Oscillator

Compares a certain price to multiple prices ranging over time.

  • Leading momentum indicator, meaning the signals are instant.
  • Used to determine overbought and oversold areas much like the RSI.
  • Ranges between 0 and 100.
  • Above 80 is considered overbought.
  • Below 20 is considered oversold.
  • Consists of two lines named K and D.
  • K compares the highest high and lowest low on the selected price range.
  • The D line is a moving average of the K line.
  • Can be used to spot divergences

Score

Let's take a look at the Stochastic Oscillator of Hexza Corporation Bhd. The current phase is Correction in bull market.

The long score for the Stochastic Oscillator is 0/6.
The longshort score for the Stochastic Oscillator is -4/(-6 +6).

  • STOCH < 50: The STOCH %K is below 50. There are more sellers than buyers. -1
  • STOCH %K line < STOCH %D line: The STOCH %K line is below the STOCH %D line, which indicates a bearish signal in the market. This means that the negative momentum is currently stronger than the average momentum, suggesting that sellers are more active than buyers, and there's a higher probability of the Hexza price going down in the near term. -2
  • Trending down: The STOCH %K is trending down. -1
Hexza Corporation Bhd Daily Stochastic Oscillator ChartHexza Corporation Bhd Daily Stochastic Oscillator Chart
3.3 Commodity Channel Index (CCI)

Measures the difference between the current price and the historical average price.

  • Lagging or leading Momentum indicator
  • When the CCI is above zero, the price is above the historical average
  • When the CCI is below zero, the price is below the historical average
  • Used for spotting trends
    • If the CCI moves from negative or near zero to positive 100 that might indicate an uptrend
    • If the CCI moves from positive or near zero to negative -100 that might indicate a downtrend

Score

Let's take a look at the Commodity Channel Index (CCI) of Hexza Corporation Bhd. The current cci is -38.46153846.

Hexza Corporation Bhd Daily Commodity Channel Index (CCI) ChartHexza Corporation Bhd Daily Commodity Channel Index (CCI) Chart
3.4 Chande Momentum Oscillator (CMO)

Measures the difference between the sum of recent gains and the sum of recent losses. Then divides the result by the sum of all price movements in that period.

  • Lagging momentum indicator
  • Ranges between +100 and -100
  • Considered overbought above +50
  • Considered oversold below -50
  • It's possible to add a moving average that acts as a signal line

Score

Let's take a look at the Chande Momentum Oscillator (CMO) of Hexza Corporation Bhd. The current cmo is -15.35983657.

The long score for the Chande Momentum Oscillator (CMO) is 0/1.
The longshort score for the Chande Momentum Oscillator (CMO) is -1/(-1 +1).

  • CMO < 0: The CMO is below 0, the momentum of the price is negative, indicating a potential downtrend in the price. -1
Hexza Corporation Bhd Daily Chande Momentum Oscillator (CMO) ChartHexza Corporation Bhd Daily Chande Momentum Oscillator (CMO) Chart
3.5 Williams %R

 Shows the current price relative to the highest high over the last 14 days.
 

  • Lagging momentum indicator
  • Ranging between 0 and -100
  • Above -20 is considered overbought
  • Below -80 is considered oversold
  • Is prone to give false signals

Score

Let's take a look at the Williams %R of Hexza Corporation Bhd. The current willr is -77.77777778.

The long score for the Williams %R is 0/1.
The longshort score for the Williams %R is 0/(-1 +1).

  • WILLR between -80 and -20: The Williams %R is between -80 and -20. This indicates that Hexza is trading in a neutral price range, neither oversold nor overbought, suggesting a balanced market condition without any extreme price signals.
Hexza Corporation Bhd Daily Williams %R ChartHexza Corporation Bhd Daily Williams %R Chart

4. Volatility Indicators

4.1 Bollinger Bands

Shows if the price is to high or to low relative to an average.

  • Lagging volatility indicator
  • Uses 3 bands: one upper, one lower and one in the middle
  • Works best when the middle band reflects an intermediate trend (MA20).
  • When the price is moving closer to the upper band, the market might be overbought
  • When the price is moving closer to the lower band, the market might be oversold 

Score

Let's take a look at the Bollinger Bands of Hexza Corporation Bhd.

Hexza Corporation Bhd Daily Bollinger Bands Chart
4.2 Average True Range (ATR)
Measures market volatility
  • Leading volatility indicator
  • Can be used to determine stop-loss positions
  • Calculated by:
    • Current high minus the current low
    • Current high minus the previous close
    • Current low minus the previous close
  • The larger the range of the candles, the greater the ATR value

Score

Let's take a look at the Average True Range (ATR) of Hexza Corporation Bhd. The current atr is 0.01469872.

Hexza Corporation Bhd Daily Average True Range (ATR) ChartHexza Corporation Bhd Daily Average True Range (ATR) Chart

5. Volume Indicators

5.1 On-Balance Volume (OBV)

 Measures market volatility

  • Leading momentum indicator
  • Calculation:
    • If the closing price is above the previous closing price: OBV = previous OBV + current volume
    • If the closing price is below the previous closing price: OBV = previous OBV - current volume
    • If the closing price is the same as the previous closing price than the OBV is the same.
  • Can be used to confirm price trends
  • Can be used with divergences

Score

Let's take a look at the On-Balance Volume (OBV) of Hexza Corporation Bhd. The current obv is 1,683,800.

Hexza Corporation Bhd Daily On-Balance Volume (OBV) ChartHexza Corporation Bhd Daily On-Balance Volume (OBV) Chart
5.2 Money Flow Index (MFI)

Measures the flow of money in and out of a security

  • Lagging momentum indicator
  • Looks like RSI but uses volume as an extra metric (RSI only considers price)
  • Above 80 is considered overbought
  • Below 20 is considered oversold
  • Can be used with divergences

Score

Let's take a look at the Money Flow Index (MFI) of Hexza Corporation Bhd. The current mfi is 11.73.

The long score for the Money Flow Index (MFI) is 0/2.
The longshort score for the Money Flow Index (MFI) is -2/(-2 +2).

  • MFI < 50: -1
  • MFI < 20: -1
Hexza Corporation Bhd Daily Money Flow Index (MFI) ChartHexza Corporation Bhd Daily Money Flow Index (MFI) Chart

6. Summary

6.1. Notifications

TypeNotificationDate
PenkeCurrently no notifications for Hexza Corporation Bhd.

6.2. Trading Signals

Below you will find trading signals as the indicator is commonly used. This doesn't mean you should use it that way. Learn from these, but don't use them blindly. I recommend using at least 4 indicators, 1 from each category: trend, momentum, volatility and volume.

DateIndicatorSignal
2023-12-06STOCH LONG EXITThe %K line crosses below the %D line.
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
BB LONG ENTRY SHORT CLOSEPrice closed below the lower band.
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2023-12-08STOCH SHORT EXITThe %K line crosses above the %D line.
2023-12-12STOCH LONG EXITThe %K line crosses below the %D line.
2023-12-13STOCH SHORT EXITThe %K line crosses above the %D line.
2023-12-14STOCH LONG EXITThe %K line crosses below the %D line.
2023-12-15STOCH SHORT EXITThe %K line crosses above the %D line.
2023-12-19DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
SAR LONG ENTRY SHORT CLOSEThe price broke the SAR to the upside.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2023-12-20MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
2023-12-21WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
2023-12-26STOCH LONG EXITThe %K line crosses below the %D line.
2023-12-27CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
2023-12-28STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2023-12-29WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
2024-01-02STOCH LONG EXITThe %K line crosses below the %D line.
2024-01-04CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
2024-01-08STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2024-01-09STOCH LONG EXITThe %K line crosses below the %D line.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
2024-01-10CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2024-01-11CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2024-01-12STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2024-01-15CCI LONG ENTRY SHORT CLOSE100 crossover to upside
2024-01-16WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
BB SHORT ENTRY LONG CLOSEPrice closed above the lower band.
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
MFI LONG ENTRY SHORT CLOSE80 crossover to upside
2024-01-17STOCH LONG EXITThe %K line crosses below the %D line.
2024-01-18MFI SHORT ENTRY LONG CLOSE80 crossover to downside
2024-01-22STOCH SHORT EXITThe %K line crosses above the %D line.
BB SHORT ENTRY LONG CLOSEPrice closed above the lower band.
2024-01-23WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
MFI LONG ENTRY SHORT CLOSE80 crossover to upside
2024-01-26STOCH LONG EXITThe %K line crosses below the %D line.
2024-01-29RSI SHORT ENTRY LONG CLOSE70 crossover to downside
MFI SHORT ENTRY LONG CLOSE80 crossover to downside
2024-01-30SAR SHORT ENTRY LONG CLOSEThe price broke the SAR to the downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2024-02-05SAR LONG ENTRY SHORT CLOSEThe price broke the SAR to the upside.
STOCH SHORT EXITThe %K line crosses above the %D line.
2024-02-06STOCH LONG EXITThe %K line crosses below the %D line.
2024-02-07MACD SHORT ENTRY LONG CLOSEThe MACD line crosses below the signal line.
2024-02-08SAR SHORT ENTRY LONG CLOSEThe price broke the SAR to the downside
STOCH SHORT EXITThe %K line crosses above the %D line.
2024-02-14MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
2024-02-15SAR LONG ENTRY SHORT CLOSEThe price broke the SAR to the upside.
CCI LONG ENTRY SHORT CLOSE100 crossover to upside
WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
2024-02-16STOCH LONG EXITThe %K line crosses below the %D line.
2024-02-20CCI LONG ENTRY SHORT CLOSE100 crossover to upside
2024-02-21STOCH LONG EXITThe %K line crosses below the %D line.
2024-02-22BB SHORT ENTRY LONG CLOSEPrice closed above the lower band.
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2024-02-23WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2024-02-26ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
MFI LONG ENTRY SHORT CLOSE80 crossover to upside
2024-02-27STOCH LONG EXITThe %K line crosses below the %D line.
MFI SHORT ENTRY LONG CLOSE80 crossover to downside
2024-02-28SAR SHORT ENTRY LONG CLOSEThe price broke the SAR to the downside
RSI SHORT ENTRY LONG CLOSE70 crossover to downside
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2024-02-29WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2024-03-01MACD SHORT ENTRY LONG CLOSEThe MACD line crosses below the signal line.
2024-03-04STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2024-03-05CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
2024-03-06STOCH LONG EXITThe %K line crosses below the %D line.
2024-03-07STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2024-03-13STOCH LONG EXITThe %K line crosses below the %D line.
2024-03-15CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
2024-03-18STOCH SHORT EXITThe %K line crosses above the %D line.
2024-03-20STOCH LONG EXITThe %K line crosses below the %D line.
2024-03-22DMI SHORT ENTRY LONG CLOSEThe +DI crossed the -DI to the downside. The trend is reversing to a down trend.
2024-03-25DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2024-03-27STOCH LONG EXITThe %K line crosses below the %D line.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2024-03-29STOCH SHORT EXITThe %K line crosses above the %D line.
2024-04-01STOCH LONG EXITThe %K line crosses below the %D line.
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2024-04-03DMI SHORT ENTRY LONG CLOSEThe +DI crossed the -DI to the downside. The trend is reversing to a down trend.
2024-04-04STOCH LONG EXITThe %K line crosses below the %D line.
2024-04-05CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2024-04-08STOCH LONG EXITThe %K line crosses below the %D line.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2024-04-09CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
2024-04-12STOCH SHORT EXITThe %K line crosses above the %D line.
2024-04-15SAR LONG ENTRY SHORT CLOSEThe price broke the SAR to the upside.
STOCH LONG EXITThe %K line crosses below the %D line.
CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
BB LONG ENTRY SHORT CLOSEPrice closed below the lower band.
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2024-04-16SAR SHORT ENTRY LONG CLOSEThe price broke the SAR to the downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2024-04-19STOCH LONG EXITThe %K line crosses below the %D line.
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
BB LONG ENTRY SHORT CLOSEPrice closed below the lower band.
2024-04-25DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2024-04-26STOCH LONG EXITThe %K line crosses below the %D line.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2024-04-29MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2024-05-02DMI SHORT ENTRY LONG CLOSEThe +DI crossed the -DI to the downside. The trend is reversing to a down trend.
STOCH LONG EXITThe %K line crosses below the %D line.
2024-05-03DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
SAR LONG ENTRY SHORT CLOSEThe price broke the SAR to the upside.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
MFI SHORT ENTRY LONG CLOSE20 crossover to downside

6.3. Candlestick Patterns

Hexza Corporation Bhd Daily Candlestick Chart
DateCandlestick Pattern

6.4. Technical Score

Let's check the technical score of Hexza Corporation Bhd based on Penke's default Symbol scanner.

Penke's Symbol Scanner

  
  
IndicatorConditionValue
RsiGreater than5043.230
Ma 20Greater thanMa 500.967
Ma 50Greater thanMa 1000.986
Ma 100Greater thanMa 2000.959
OpenGreater thanClose0.970
Total3/5 (60.0%)
Penke

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