{"ticker": {"uuid": "2659a06a-4deb-48f0-8485-91924cc0f6f6", "symbol": "7087", "name": "Magni-Tech Industries Berhad", "exchange": "KLS", "asset_type": "equity"}, "latest_week": "2026-06-12", "summary": "7087 closed the latest completed week at 1.88 MYR. The 4-week return is 0.0% and the 12-week return is -4.3%. Trend Signal is inactive, Market Dynamics is -1.16.", "description": "Magni-Tech Industries Berhad, an investment holding company, engages in the manufacture and sale of garments and packaging materials in Malaysia and Vietnam. The company manufactures and distributes corrugated cartons and flexible plastic packaging products. It serves food, beverage, healthcare, rubber based, consumer household, and electronic sub-sectors. Magni-Tech Industries Berhad was incorporated in 1997 and is based in Penang, Malaysia.", "setup_signature": "Risk-first tape", "composite_score": "34", "kpis": [{"label": "Latest Close", "value": "1.88 MYR", "hint": "2026-06-12"}, {"label": "1W Return", "value": "-0.5%", "tone": "negative", "hint": "latest completed week"}, {"label": "4W Return", "value": "0.0%", "tone": "neutral", "hint": "short-term follow-through"}, {"label": "12W Return", "value": "-4.3%", "tone": "negative", "hint": "quarterly tape"}, {"label": "Trend Breadth", "value": "32.7%", "hint": "17 of 52 weeks active"}, {"label": "Volume Ratio", "value": "0.5x", "hint": "vs 13-week average"}], "classification": {"exchange": "KLS", "country": "MY", "sector": "Consumer Cyclical", "industry": "Apparel Manufacturing", "currency": "MYR", "market_cap": "806.2M"}, "price": {"trend_line": "1.98 MYR", "fair_value": "1.91 MYR", "vs_trend": "-5.0%", "vs_fair_value": "-1.8%", "high_52": "2.26 MYR", "low_52": "1.83 MYR", "drawdown": "-16.8%", "range_position": "11.7%"}, "momentum": {"returns": [{"label": "1W", "value": -0.5291005291005296, "value_label": "-0.5%", "tone": "negative", "width": 4}, {"label": "4W", "value": 0.0, "value_label": "0.0%", "tone": "neutral", "width": 4}, {"label": "12W", "value": -4.294333613662701, "value_label": "-4.3%", "tone": "negative", "width": 12.26952461046486}, {"label": "26W", "value": -9.313546964246873, "value_label": "-9.3%", "tone": "negative", "width": 26.610134183562494}, {"label": "52W", "value": -1.524794275866775, "value_label": "-1.5%", "tone": "negative", "width": 4.356555073905071}], "trend_streak": 0, "active_weeks": 17, "active_breadth": "32.7%", "peer": {"scope": "MY Consumer Cyclical", "count": 135, "rank": 74, "percentile": 45.52238805970149, "avg_weekly_return": -0.9991490346105283}}, "setup": {"scores": [{"label": "Trend", "value": 17.980769230769234, "value_label": "18", "width": 17.980769230769234, "tone": "negative", "description": "Persistence of active Trend Signal over the last year and current streak."}, {"label": "Momentum", "value": 46.13509974770357, "value_label": "46", "width": 46.13509974770357, "tone": "neutral", "description": "Blend of 4-week and 12-week follow-through."}, {"label": "Dynamics", "value": 31.567875828284272, "value_label": "32", "width": 31.567875828284272, "tone": "negative", "description": "Latest Market Dynamics and whether pressure has improved over four weeks."}, {"label": "Relative Strength", "value": 25.796278613138, "value_label": "26", "width": 25.796278613138, "tone": "negative", "description": "Relative leadership and short-term RS change."}, {"label": "Volume", "value": 20.755069820949956, "value_label": "21", "width": 20.755069820949956, "tone": "negative", "description": "Participation compared with the 13-week volume baseline."}, {"label": "Risk Control", "value": 59.12078873597485, "value_label": "59", "width": 59.12078873597485, "tone": "neutral", "description": "Drawdown and recent weekly 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{"id": 53019, "symbol": "6068", "name": "PCCS Group Berhad", "exchange": "KLS", "url": "/terminal/cb5656d7-9a1e-42c4-984c-d5e9574034b5/report/", "weekly_return": -5.000000000000004, "weekly_return_label": "-5.0%", "weekly_return_tone": "negative", "four_week_return": -1.7241379310344844, "four_week_return_label": "-1.7%", "four_week_return_tone": "negative", "twelve_week_return": -5.000000000000004, "twelve_week_return_label": "-5.0%", "twelve_week_return_tone": "negative", "trend_active": false, "positive_md": false, "positive_rs": false}, {"id": 53619, "symbol": "8966", "name": "Techbase Industries Berhad", "exchange": "KLS", "url": "/terminal/f58a0056-e921-4ea5-bfb6-54ccec939cf9/report/", "weekly_return": 9.090909090909086, "weekly_return_label": "9.1%", "weekly_return_tone": "positive", "four_week_return": -7.692307692307699, "four_week_return_label": "-7.7%", "four_week_return_tone": "negative", "twelve_week_return": -29.41176470588236, "twelve_week_return_label": "-29.4%", "twelve_week_return_tone": "negative", "trend_active": false, "positive_md": false, "positive_rs": false}]}}, "dynamics": {"market_dynamics": "-1.16", "market_dynamics_tone": "negative", "md_4_change": "30.4%", "relative_strength": "-8.88", "rs_4_change": "30.4%", "expectation": "Undecided", "expectation_probability": "47.55%"}, "volume": {"latest": "310.6K", "average_13": "628.5K", "average_52": "690.1K", "ratio_13": "0.5x", "ratio_52": "0.5x"}, "risk": {"volatility_13": "1.0%", "volatility_52": "2.3%", "downside_weeks": 25, "upside_weeks": 21, "downside_breadth": "48.1%", "average_gain": "2.0%", "average_loss": "-1.7%"}, "signals": [{"label": "Trend Signal", "value": "Inactive", "tone": "negative"}, {"label": "Market Dynamics", "value": "No fresh buy", "tone": "neutral"}, {"label": "Price vs Trend", "value": "-5.0%", "tone": "negative"}, {"label": "Volume", "value": "0.5x", "tone": "neutral"}], "opportunities": ["No strong opportunity cluster is confirmed yet; monitor trend and Market Dynamics."], "risks": ["Trend Signal is inactive, so price action has not confirmed a constructive regime.", "Price is below the Trend Line, which keeps downside pressure in focus.", "Price is below Fair Value, so the market is still discounting the latest tape.", "Market Dynamics is negative, which weakens the current setup."], "watch_points": ["Trend Line remains the key weekly regime level.", "Market Dynamics is the pressure gauge to monitor for confirmation or fade.", "A volume ratio above 1.5x would show stronger participation in the next move."], "recent_rows": [{"week": "2026-06-12", "close": "1.88 MYR", "weekly_return": -0.5291005291005296, "weekly_return_label": "-0.5%", "weekly_return_tone": "negative", "trend_line": "1.98 MYR", "fair_value": "1.91 MYR", "market_dynamics": "-1.16", "relative_strength": "-8.88", "volume": "310.6K", "trend_signal": "Off"}, {"week": "2026-06-05", "close": "1.89 MYR", "weekly_return": 1.612903225806441, "weekly_return_label": "1.6%", 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