Showing posts with label FPI Stock Analysis. Show all posts
Showing posts with label FPI Stock Analysis. Show all posts

Friday, June 13, 2025

Stock Price Review: Forum Pacific, Inc. (FPI) Daily, Weekly and Monthly Charts as of June 13, 2025 – Buy or Sell Decision Using the Hybrid 10-Step Strategy – Long-Term Focus Variant

Should long-term investors continue accumulating FPI after a recent breakout? This review applies the Hybrid 10-Step Strategy – Long-Term Focus Variant.

Contents:

  • Introduction
  • Hybrid 10-Step Strategy Review
  • Final Stock Recommendation
  • Next Steps
  • Layered Accumulation Plan
  • Evaluation of Adherence to Strategy


FPI daily chart showing volume breakout above consolidation as of June 13, 2023

FPI (PSE) Daily Chart – Multi-Timeframe Breakout Confirmed as of June 13, 2025

FPI weekly chart showing volume breakout above consolidation as of June 13, 2023

FPI (PSE) Weekly Chart – Multi-Timeframe Breakout Confirmed as of June 13, 2025

FPI monthly chart showing volume breakout above consolidation as of June 13, 2023

FPI (PSE) Monthly Chart – Multi-Timeframe Breakout Confirmed as of June 13, 2025


๐Ÿ“ I. Introduction

TRADE DETAILS
Date: June 13, 2025
Stock: Forum Pacific, Inc. (FPI)
Exchange: Philippine Stock Exchange
Timeframes: Daily, Weekly, Monthly
Closing Price: ₱0.2300
High: ₱0.2300 (Daily), ₱0.2900 (Weekly/Monthly)
Low: ₱0.2300 (Daily), ₱0.2250 (Weekly/Monthly)
20-MA: ₱0.2245 (Daily), ₱0.2210 (Weekly), ₱0.2230 (Monthly)
200-MA: ₱0.2248 (Daily), ₱0.2210 (Weekly), ₱0.2230 (Monthly)

Forum Pacific, Inc. (FPI) has staged a significant breakout attempt, with volume surging and price spiking up to ₱0.29 intraday. Although it closed back at ₱0.23, this movement suggests heightened speculative interest. We recently entered with 10,000 shares at ₱0.25 on June 10, 2025. The strategy used is the Hybrid 10-Step Trading Strategy 5.0 – Long-Term Focus Variant.


✅ II. Hybrid 10-Step Trading Strategy 5.0 – Long-Term Focus Variant Review

1. Market State & Trend Context
Volume spike and bullish expansion bar observed on all timeframes. Daily, weekly, and monthly candles are all green, signaling breakout momentum.
Verdict: BUY

2. Price Position & Value Zones
At ₱0.2300, FPI is trading slightly above the 20-day and 200-day MAs across all timeframes. However, it is now below our entry at ₱0.25, suggesting a near-term dip may offer better re-entry.
Verdict: WAIT (for better entry within support zone ₱0.21–₱0.23)

3. Power Bars & Volume Confirmation
The June 10–12 rally featured a strong power bar with extreme volume confirmation—highest in months.
Verdict: BUY

4. Entry Confirmation (Fundamental & Technical)
Fundamental catalysts are still unclear, but technically, FPI printed a rare clean breakout from range. Entry was technically justified but slightly late.
Verdict: BUY (with caution)

5. Stop-Loss / Thesis Violation Point
Soft stop around ₱0.20 to protect capital without disrupting long-term plan. We avoid hard stops due to thin liquidity.
Verdict: HOLD

6. Color Change / Reversal Signals
No red reversal bar yet post-breakout. However, the long wick above ₱0.29 is a short-term caution sign.
Verdict: HOLD

7. Profit-Taking Strategy
First partial exit near ₱0.29–₱0.30, next tier at ₱0.34, and full exit if extended to ₱0.40.
Verdict: HOLD (no trimming until ₱0.29 retest)

8. Re-Entry Plans
Plan re-entry near ₱0.21–₱0.23 if price dips with stabilizing volume.
Verdict: WAIT

9. Position Size Strategy (Include board lot conversion and layering plan)
With ₱6,000 capital and 10,000-share board lot, scaling must be done in 10k blocks. Initial position already placed.
Verdict: HOLD (next entry: on pullback with lower wick confirmation)

10. Ethical/Counter-Trend Opportunities
None at this stage. Breakout was driven by price-action, not fundamental story.
Verdict: HOLD


๐Ÿš€ III. Final Stock Recommendation

Final Stock Recommendation: HOLD / BUY-on-Pullback

๐Ÿ“… Recommendation: Accumulate more only on dips to ₱0.21–₱0.23. The price is below our entry and near MA clusters, suggesting support.

๐Ÿ”ข Risk Management: Use a soft stop below ₱0.20 in case of sustained sell-off. Avoid panic exits unless breakdown is confirmed on weekly close.

๐Ÿ’ฐ Profit-Taking Strategy: Begin selling at ₱0.29–₱0.30, then ₱0.34 and ₱0.40 if upside momentum continues.

๐Ÿ“† Position Size Strategy: Start with minimum board lot (10,000 shares per layer). Add only if the next red-to-green reversal occurs near the 20-MA.


๐Ÿ”„ IV. Next Steps

Short-term traders → Wait for a red-to-green reversal near ₱0.22 before re-entering.

Long-term investors → Hold core position, watch for weekly close stability above ₱0.23.

Existing holders → Hold. Monitor volume. Consider trimming above ₱0.29 if there is a failed breakout retest.


๐Ÿงฉ V. Layered Accumulation Plan for FPI

(Based on Php6,000 Capital and 10,000-Share Board Lot)

  • First Layer (Executed): ₱0.25 on June 10, 2025, 10,000 shares = ₱2,500

  • Second Layer (Planned): ₱0.23 area if low volume pullback = ₱2,300

  • Third Layer (Planned): ₱0.21–₱0.215 area on dip = ₱2,150

If both layers fill, final average cost will approximate ₱0.23 for 30,000 shares.


๐Ÿ“Š VI. Evaluation of Recent Action for Adherence to the Hybrid 10-Step Trading Strategy – Long-Term Focus Variant

Trade: BUY 10,000 shares at ₱0.25 on June 10, 2025

  1. Market State and Trend Context:
    The trade was made during a confirmed breakout phase. There was a strong expansion bar accompanied by a dramatic increase in volume, signaling the start of momentum. This was a near-ideal context to enter based on technical trend behavior.
    Score: 9/10

  2. Price Position and Value Zones:
    Entry at ₱0.25 was slightly above the value zone defined by the cluster of moving averages. While technically justified by momentum, it was not optimal for value accumulation. Pullback opportunities around ₱0.21 to ₱0.23 would have provided better positioning.
    Score: 6/10

  3. Power Bars and Volume Confirmation:
    The power bar printed on June 10 had full body range with strong volume spike—clear institutional or speculative activity. The trade aligned well with this cue.
    Score: 10/10

  4. Entry Confirmation (Fundamental and Technical):
    While there was no known catalyst or news, the technical structure justified the entry. The breakout from months of consolidation was clearly visible across all timeframes.
    Score: 8/10

  5. Stop-Loss / Thesis Violation Strategy:
    A soft stop approach was correctly used, targeting below ₱0.20 as a thesis violation zone. This reflects discipline appropriate to long-term positioning in a thinly traded stock.
    Score: 9/10

  6. Color Change / Reversal Signal:
    No immediate reversal signal was evident, although the presence of a long wick from ₱0.29 is a warning of short-term selling pressure. The trade remains intact but must be monitored for weakness.
    Score: 8/10

  7. Profit-Taking Strategy:
    Profit-taking levels are defined above ₱0.29 and up to ₱0.40. However, none of these levels have been hit yet, and the entry was relatively close to the top of the recent spike. This weakens early exit flexibility.
    Score: 7/10

  8. Re-Entry Plans:
    A better entry window now appears to be forming near ₱0.21 to ₱0.23. The initial trade did not factor this in but planning for a second tranche improves strategic discipline.
    Score: 6/10

  9. Position Size and Layering Compliance:
    The trade adhered to the board lot of 10,000 shares and matched the capital structure defined in our long-term plan. Layering strategy is already in place for follow-up orders.
    Score: 10/10

  10. Ethical and Counter-Trend Considerations:
    No unethical or counter-trend actions were evident in this setup. The trade was aligned with technical breakout conditions and remained within the investor’s ethical and portfolio guidelines.
    Score: 7/10

Overall Score: 80 out of 100

Final Verdict: This was a valid breakout trade executed within strategic parameters. However, the next tranche should aim for deeper value alignment and improved risk-reward balance.


Disclaimer: This post is for informational purposes only and should not be considered financial advice. Always do your own research before making any trading decisions.


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Tuesday, June 10, 2025

Stock Price Review: Forum Pacific, Inc. (FPI) Weekly and Monthly Charts as of June 10, 2025 – Buy or Sell Decision Using the Hybrid 10-Step Strategy – Long-Term Focus Variant

Is FPI a long-term value opportunity or a speculative breakout? Our updated stock price review explores this question using the Hybrid 10-Step Strategy – Long-Term Focus.

Contents:

  • Introduction
  • Hybrid 10-Step Strategy Review
  • Final Stock Recommendation
  • Next Steps
  • Layered Accumulation Plan
  • Evaluation of Adherence to Strategy


FPI weekly chart showing volume breakout above consolidation

Forum Pacific, Inc. (FPI) weekly chart as of June 10, 2025


FPI monthly chart showing volume breakout above consolidation

Forum Pacific, Inc. (FPI) monthly chart as of June 10, 2025

๐Ÿ“ I. Introduction

TRADE DETAILS
Date: June 10, 2025
Stock: Forum Pacific, Inc. (FPI)
Exchange: Philippine Stock Exchange (PSE)
Timeframes: Weekly, Monthly
Closing Price: ₱0.2500
High: ₱0.2900
Low: ₱0.2500
20-MA: ₱0.2220 (Weekly), ₱0.2241 (Monthly)
200-MA: ₱0.2368 (Weekly)
50-MA: ₱0.2284 (Weekly), ₱0.2335 (Monthly)
8-MA: ₱0.2275 (Weekly), ₱0.2231 (Monthly)

A 10,000-share position was executed at ₱0.25 on June 10, 2025, anticipating a breakout confirmation following a surge in volume and price.

This review uses the Hybrid 10-Step Trading Strategy 5.0 – Long-Term Focus Variant, designed for position trades that accumulate over value zones and hold through long-term cycles.


✅ II. Hybrid 10-Step Trading Strategy 5.0 – Long-Term Focus Variant Review

1. Market State & Trend Context
On the weekly chart, FPI has broken out from a long consolidation base, with volume surging to a 16-week high. On the monthly chart, price is reclaiming territory last seen in mid-2023, above key MAs.
Verdict: BUY (score: 9/10)

2. Price Position & Value Zones
Price has moved slightly above the 200-week MA but is still within the broader long-term value zone identified between ₱0.22 and ₱0.25.
Verdict: BUY (score: 8/10)

3. Power Bars & Volume Confirmation
The most recent weekly candle is a power bar with an extended body and high volume. Monthly candle also shows increasing demand.
Verdict: BUY (score: 10/10)

4. Entry Confirmation (Fundamental & Technical)
There’s limited fundamental news, but technically this is a high-probability volume breakout zone above long-term consolidation.
Verdict: BUY (score: 7/10)

5. Stop-Loss / Thesis Violation Point
A soft stop can be positioned below ₱0.22, the 20- and 50-week MA convergence and volume base.
Verdict: BUY (score: 8/10)

6. Color Change / Reversal Signals
The orange 8-MA is sloping upward, crossing over key MAs. Weekly and monthly trend flips suggest sustained directional change.
Verdict: BUY (score: 9/10)

7. Profit-Taking Strategy
Initial resistance lies at ₱0.30–₱0.34; multi-year resistance band may cap rallies, suggesting partial take-profits at those zones.
Verdict: BUY (score: 8/10)

8. Re-Entry Plans
Pullbacks to ₱0.22–₱0.23 are favorable for re-entry or position additions.
Verdict: BUY (score: 9/10)

9. Position Size Strategy
FPI’s board lot is 10,000 shares per tick size; Php3,000 allows for 1 board lot. Begin with 1–2 lots, add near support.
Verdict: BUY (score: 9/10)

10. Ethical/Counter-Trend Opportunities
No negative ESG news. Low-cap nature adds speculative risk but no violations detected for our ethical account.
Verdict: BUY (score: 8/10)

๐ŸŽฏ Final Score: 85/100 – STRONG BUY ZONE UNDER HYBRID 10-STEP STRATEGY


๐Ÿš€ III. Final Stock Recommendation

Final Stock Recommendation: BUY

๐Ÿ“… Recommendation: Accumulate at ₱0.22–₱0.25 as price confirms breakout with volume and multi-timeframe alignment.

๐Ÿ”ข Risk Management: Soft stop below ₱0.22 or if large red bar closes under 200-MA.

๐Ÿ’ฐ Profit-Taking Strategy: Consider partial exits at ₱0.30, ₱0.34, and ₱0.45 if volume sustains.

๐Ÿ“† Position Size Strategy: Start with 1–2 board lots (Php2,500–₱5,000) and layer on dips near the 20-week MA.


๐Ÿ”„ IV. Next Steps

Short-term traders → Wait for an intraday pullback toward ₱0.23–₱0.24 to re-enter with tight stops.

Long-term investors → Begin layering from ₱0.22–₱0.25, hold as long as price remains above trend MAs.

Existing holders → Maintain position, observe volume continuation, and consider partial profits if price reaches ₱0.30+


๐Ÿงฉ V. Layered Accumulation Plan for FPI

(Based on Php3,000.00 Capital and 10,000-Share Board Lot)

  • Layer 1 (Initial Entry): 10,000 shares at ₱0.25 = ₱2,500 (Executed June 10, 2025)

  • Layer 2 (Pullback Buy): 10,000 shares at ₱0.23 = ₱2,300 (GTC suggested)

  • Layer 3 (Final Add-on): 10,000 shares at ₱0.22 if market retests MA20 base

Plan total: 30,000 shares (₱7,300 exposure max) over 3 layers


๐Ÿ“Š VI. Evaluation of Recent Action for Adherence to the Hybrid 10-Step Trading Strategy – Long-Term Focus Variant

Executed Trade: June 10, 2025 – BUY 10,000 shares at ₱0.25

  • Market Context: 9/10

  • Value Zone Entry: 8/10

  • Power Bar Confirmation: 10/10

  • Technical Validity: 7/10

  • Stop-Loss Consideration: 8/10

  • MA Crossover Signal: 9/10

  • Profit Setup: 8/10

  • Re-Entry Strategy: 9/10

  • Lot Compliance & Layering: 9/10

  • Ethical Trading Fit: 8/10

๐ŸŽฏ Final Score: 85/100 – ALIGNED WITH STRATEGY AND TRADEABLE


๐Ÿšจ Final Thought: Patience and discipline are key—stay focused on value zones and thesis integrity. Let the chart do the talking.


Disclaimer: This post is for informational purposes only and should not be considered financial advice. Always do your own research before making any trading decisions.


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