BEST

Utama

Bekasi Fajar Industrial Estate

102

+0 (+0.00%)

O: 103

H: 103

L: 102

Vol: 130 Thousand

26 Mar 2026

Technical Analysis

Signal

sell
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. 28 / 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.

40.7

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.

-0.76

Line: -4.04

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.

27%

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 ▼ 106
EMA50 ▼ 110
EMA200 ▼ 108

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) 10.0 (< 6)
Volatility 3.11% (< 3.8%)
Status Mekar

Fundamentals

No fundamental data yet.

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Stock Code
BEST
Company Name
Bekasi Fajar Industrial Estate
Sector
Sub Sector
Board
Utama
Listing Date
10 April 2012
Shares
9,647,311,150
Listing Shares