SMDR

Utama

Samudera Indonesia Tbk.

356

+0 (+0.00%)

O: 356

H: 358

L: 354

Vol: 1.4 Million

26 Mar 2026

Technical Analysis

Signal

hold
Score Composite score (0–100) combining RSI (30pts), MACD momentum (30pts), price vs EMA trend (25pts), and Bollinger Band position (15pts). ≥60 = Buy. ≤30 = Sell. 31–59 = Hold. 38 / 100

As of 26 Mar 2026

RSI (14) Relative Strength Index (14-day). Measures momentum on a 0–100 scale. Below 30 = oversold (potential buy). Above 70 = overbought (potential sell). Between 30–70 = neutral.

43.5

Neutral

MACD Histogram Moving Average Convergence Divergence (12,26,9). The histogram shows the gap between the MACD line and its signal line. Positive & growing = bullish momentum. Negative & shrinking = weakening bearish pressure. A cross above zero is a buy signal.

-3.87

Line: -11.47

Bollinger %B Bollinger Bands %B (20-day, ×2 std dev). Shows where price sits within the bands. 0% = at lower band (oversold). 100% = at upper band (overbought). 50% = at middle band (SMA20). Below 20% or above 80% suggests a potential reversal.

29%

Price vs EMA Exponential Moving Averages. ▲ = price is above the EMA (bullish). ▼ = price is below (bearish). EMA20 = short-term trend. EMA50 = medium-term. EMA200 = long-term. Price above all three EMAs in order is a strong uptrend signal.

EMA20 ▼ 369
EMA50 ▼ 374
EMA200 ▲ 344

MA Kuncup Metode dari @ikhwanuddin. Range MA3/5/10/20/50 dalam satuan tick BEI + volatilitas rolling 10 hari. Kuncup = range <6 tick, vol <3.8%, volume >1 juta, harga ≥ MA100.

Range (ticks) 13.8 (< 6)
Volatility 3.41% (< 3.8%)
Status Mekar

Fundamentals

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Peluang SMDR Saat Eskalasi Konflik di Timur Tengah
Bloomberg Technoz 23 Mar 2026 Neutral
Stock Code
SMDR
Company Name
Samudera Indonesia Tbk.
Sector
Sub Sector
Board
Utama
Listing Date
05 July 1999
Shares
16,375,600,000
Listing Shares