JKTEquity ยท Weekly research terminal

BBSS Market Strength Indicator & Trend

PT Bumi Benowo Sukses Sejahtera Tbk

ID Industrials Engineering & Construction

Latest week
21 Aug 2026
Weekly close
104.00 IDR
Fair value
190.67 IDR
Next-week expectancy
Negative 43.18%
Crowd view
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Sharemaestro
Weekly Chart Pack Completed weekly market data ยท Independent research

JKT ยท Equity ยท Indonesia

BBSS

PT Bumi Benowo Sukses Sejahtera Tbk

Industrials Engineering & Construction

PT Bumi Benowo Sukses Sejahtera Tbk engages in the construction of warehouses and shophouses. It sells and land, houses, apartments, offices, and other buildings, as well as rents warehouses. The company was formerly known as PT Firman Mercu Alam Film and changed its name to PT Bumi Benowo Sukses Sejahtera Tbk in October 2019. The company was founded in 1987 and is headquartered in Surabaya, Indonesia. PT Bumi Benowo Sukses Sejahtera Tbk โ€ฆ

Last updated
21 Aug 2026
Exchange
Indonesia Stock Exchange ยท JKT
Sector
Industrials
Industry
Engineering & Construction
Currency
IDR
Market capitalisation
619,202,019,328
Fair value reference
190.67
Next-week expectancy
Negative ยท 43.18%

Over the latest 12 completed weeks ending 2026-08-21, BBSS rose 2.97%, moving from 101.00 to 104.00. The latest weekly close is below the Trend Line and below Fair Value. Trend Signal is inactive on the latest week and was active in 0 of the last 12 weeks. Relative Strength is -49.09 and has improved across the 12-week window. Market Dynamics is -0.05 on the latest week. Next-week expectancy is negative at 43.18% based on similar historical setup states.

Week Ending
21 Aug 2026
Latest Close
104.00
12-Week Change
2.97%
Trend Signal
Inactive
Next-Week Expectancy
Negative 43.18%
Signal Weeks
0 of 12

SMI

Proprietary completed-week evidence

SMI

See whether the underlying conditions beneath price are strengthening, weakening or holding firm.
Current SMI read Underlying support remains weak and requires repair

Price weakness is accompanied by a cautious SMI state. The latest reading is based on completed weekly evidence.

0.03 ยท Weak
Current state Weak ยท 0.03

Latest completed-week SMI reading

Direction Holding steady

How the completed SMI path is changing

Persistence Established

21 completed weeks in the current state

Price relationship Confirming price weakness

Price weakness is accompanied by a cautious SMI state.

Price and SMI transitions

Where underlying support changed

Annotations identify selected completed SMI state changes.

Weekly Close Trend Line Fair Value Activity Lines
SMI path Direction, persistence and turning points
SMI 0.03 ยท Weak
Improving Holding steady Weakening
SMI in context

Comparable SMI states have produced mixed historical outcomes

Across 62 comparable completed observations, 41.9% closed higher after 13 weeks. The median move was -4.8%.

Comparable observations
62
Completed historical readings
Positive outcomes
41.9%
After 13 completed weeks
Median move
-4.8%
Over the following 13 weeks
Versus normal baseline
-5.2 pts
Difference in positive outcome rate
Historical context is descriptive, uses completed observations and is not a forecast.

Chart Summary

Key Points

Week Ending
21 Aug 2026
Latest Close
104.00
12-Week Change
2.97%
Trend Signal
Inactive
Next-Week Expectancy
Negative 43.18%
Signal Weeks
0 of 12
Vs Trend Line
Below
Vs Fair Value
Below
Relative Strength
-49.09
Market Dynamics
-0.05

Over the latest 12 completed weeks ending 2026-08-21, BBSS rose 2.97%, moving from 101.00 to 104.00. The latest weekly close is below the Trend Line and below Fair Value. Trend Signal is inactive on the latest week and was active in 0 of the last 12 weeks. Relative Strength is -49.09 and has improved across the 12-week window. Market Dynamics is -0.05 on the latest week. Next-week expectancy is negative at 43.18% based on similar historical setup states.

Industry Peers

Indonesia equities in Engineering & Construction

Stock Exchange Week Open High Low Close Change
MEJA Harta Djaya Karya Tbk. JKT 21 Aug 2026 119.00 136.00 118.00 131.00 10.08%
WEGE PT Wijaya Karya Bangunan Gedung Tbk JKT 21 Aug 2026 54.00 76.00 51.00 59.00 9.26%
NRCA PT Nusa Raya Cipta Tbk JKT 21 Aug 2026 530.00 585.00 530.00 575.00 8.49%
PPRE PT PP Presisi Tbk JKT 21 Aug 2026 101.00 115.00 100.00 109.00 7.92%
DGIK PT Nusa Konstruksi Enjiniring Tbk JKT 21 Aug 2026 127.00 141.00 127.00 135.00 6.30%
SSIA PT Surya Semesta Internusa Tbk JKT 21 Aug 2026 1680.00 1805.00 1645.00 1775.00 5.65%
ASLI Asri Karya Lestari Tbk. JKT 21 Aug 2026 228.00 282.00 226.00 238.00 4.39%
SMKM PT Sumber Mas Konstruksi Tbk JKT 21 Aug 2026 96.00 111.00 92.00 100.00 4.17%
SOLA Xolare RCR Energy Tbk. JKT 21 Aug 2026 89.00 103.00 88.00 92.00 3.37%
RONY PT Aesler Grup Internasional Tbk JKT 21 Aug 2026 1205.00 1325.00 1190.00 1240.00 2.90%
KOKA PT Koka Indonesia Tbk JKT 21 Aug 2026 183.00 202.00 172.00 188.00 2.73%
KRYA PT Bangun Karya Perkasa Jaya Tbk JKT 21 Aug 2026 64.00 66.00 62.00 65.00 1.56%
BUKK PT Bukaka Teknik Utama Tbk. JKT 21 Aug 2026 995.00 1060.00 990.00 1005.00 1.01%
PTPP PT PP (Persero) Tbk JKT 21 Aug 2026 208.00 214.00 200.00 210.00 0.96%
BDKR PT Berdikari Pondasi Perkasa Tbk JKT 21 Aug 2026 160.00 165.00 158.00 161.00 0.63%
PTPW PT Pratama Widya Tbk JKT 21 Aug 2026 1175.00 1185.00 1150.00 1180.00 0.43%

Next-week expectancy

Next-week expectancy is a short-term historical read. It compares the latest completed-week setup with broadly similar past setups and asks whether the following week tended to close higher or lower.

It is not a trend call, a price target, or a guarantee. A positive read can appear while price is below trend or activity pressure is weak, because it is measuring short-term follow-through odds for the current setup state.

Use it as one context layer beside Trend Line, Relative Strength, Market Dynamics, Fair Value, and the visible price structure.

Understanding the evidence

Smart Money

Smart Money is Sharemaestroโ€™s proprietary completed-week view of whether the support beneath price is constructive, weakening, rebuilding or carrying increased reversal risk.

How to read the chart

Start with the current reading and trend quality. Then use the momentum path, coloured trend line, cycle ribbon and event markers to see whether the evidence agrees or conflicts.

What the markers mean

Positive markers identify completed-week accumulation or Smart Money events. Warning markers identify a loss of demand support, reversal risk or reversal danger. A marker records a change in evidence; it does not predict the next price.

What it is not

Smart Money is not a forecast, price target, transaction feed or standalone buy or sell instruction. It is most useful when its direction and trend quality agree with the visible price structure.

Understanding market perception

Price Cycle

Price Cycle is Sharemaestroโ€™s proprietary completed-week view of how strongly price is pressing above or below its established market position.

How to read it

Start with market position, then read direction and trend quality. Positive pressure can strengthen or cool; negative pressure can deteriorate or begin repairing. Persistence shows whether the current state is established or newly developing.

Full-height dotted guides mark completed crossovers through balance: green for a move into positive pressure and red for a move into negative pressure. The coloured area between them shows the resulting market-perception zone.

How to use the historical context

Historical position shows how unusual the latest reading is for this market. Comparable observations summarise what followed similar completed states, but they are descriptive evidence rather than a forecast.

What a Price Action signal means

A Price Action signal marks a completed confirmation event from a weak market-perception position. It records a change in evidence, not a forecast or instruction.

What it is not

Price Cycle is not an order-flow feed, valuation target, prediction or standalone instruction to buy or sell. It describes completed price pressure and should be considered with the broader Sharemaestro research view.

Understanding the completed weekly tape

Price Action

Price Action explains how a market is behaving against its own completed price history. It brings the weekly candle, trend relationship, structural levels and participation into one clear view.

How to read the chart

Each candle shows a completed week's open, high, low and close. The trend reference provides longer context. Support and resistance mark completed structural areas below and above price, while the lower panel shows whether participation confirmed or contradicted the move.

What the annotations mean

Annotations identify selected completed events such as a trend reclaim, trend loss, high-participation reversal or published Price Action signal. Their arrows point to the exact completed week involved.

New and recently listed markets

When history is limited, the page still explains the current candle and visible structure, while clearly marking longer-term evidence and comparisons as developing. It does not manufacture certainty from an incomplete record.

What it is not

Price Action is not a forecast, price target, live order book or standalone instruction to buy or sell. It is a structured interpretation of completed weekly evidence.

Understanding the chart

What Market Dynamics shows

Market Dynamics shows whether the support beneath a completed price move is strengthening or weakening. Green bars are supportive, red bars are cautious, and the height of each bar shows how forceful the finished reading is.

Read price and the bars together

When price and Market Dynamics strengthen together, the move has broader confirmation. When price rises while Market Dynamics fades, the move is losing support and risk can be building near the upper zone. When price remains weak while Market Dynamics begins to improve, an opportunity may be forming near the lower zone before price has fully responded.

Zones and event markers

The upper and lower zones highlight completed periods where price and underlying support deserve closer attention. Early positioning signals mark improving support near the lower part of the chart. Reversal risk and reversal danger markers highlight increasing disagreement near the upper part. They are observations to investigate, not automatic instructions.

Use the explainer when needed

Turn on Explainer above the chart to label the published event markers. The labels point to the exact completed week and remain off by default so the full chart stays uncluttered.

What it does not show

Market Dynamics is not a forecast, price target or standalone buy or sell signal. Divergence can persist, so the reading should be considered with price structure, trend and the wider research view.

Understanding the evidence

SMI

SMI is Sharemaestroโ€™s proprietary completed-week indicator of underlying market quality. It shows whether the conditions beneath a price move are strong, weak, strengthening or weakening.

How to read it

Read the current level together with its direction, persistence and relationship to price. Agreement with price provides stronger confirmation. Disagreement identifies an area that deserves closer attention.

What it is not

SMI is not a forecast, price target or standalone buy or sell signal. It updates from completed weekly evidence and should be considered alongside the broader Sharemaestro research view.

Current VWAP signals

What it is

A summary of the latest completed-week control reading, the relationship between price and VWAP pressure, and the concentration of current VWAP references.

What it shows

The first visual shows pressure over time. The second compares recent price direction with pressure direction. The third plots the current volume-weighted levels around the latest close.

Why it matters

Agreement supports the current reading. Divergence can show that price is moving without the same change in volume-weighted control. A tight group of levels can create a clearer decision area.

Confirmation and failure levels

What it is

A map of the nearest completed-week levels that would strengthen, test or weaken the current VWAP reading.

What it shows

The current close sits between the nearest support and resistance references. When no price resistance is established, sustained pressure above 60 provides the confirmation test instead.

Why it matters

A completed close and continued acceptance carry more weight than an intraday touch. These are research levels, not automatic entry, exit or stop prices.

Volume-weighted price levels

What it is

The current 13-, 26- and 52-week VWAPs together with the calendar, high-activity, swing and latest earnings anchors when available.

What it shows

Each marker shows a completed-week reference and its distance from the latest close. Closely grouped markers identify concentration; separated markers show a wider structure.

Why it matters

Several rising references below price provide broader support than one isolated level. Several references above price can create layered resistance.

Estimated activity position

What it is

An estimate of where reported activity occurred relative to the latest price across the last 52 completed weeks.

What it shows

The bar divides weighted activity above and below price. The ring shows the share concentrated close to the latest price.

Why it matters

Activity below price may provide a larger cushion; activity above price may represent overhead supply. High near-price congestion can make control less decisive.

This is not transaction-level volume-at-price or holder cost-basis data.

VWAP control comparison

What it is

A completed-week comparison between the ticker's VWAP pressure and its benchmark, sector and industry references.

What it shows

Each small chart plots the ticker and reference over the latest 26 weeks. The final readings show the size and direction of the current gap.

Why it matters

A ticker strengthening while its reference weakens has different relative control from one merely following its group. Sector and industry readings appear only with at least ten aligned constituents.

Historical VWAP outcomes

What it is

A summary of returns after this ticker's earlier completed VWAP reclaims, VWAP losses and states similar to the current one.

What it shows

The range marks typical or observed 13-week outcomes, the centre line marks zero, and the point marks the median. Favourable rates and sample sizes are shown beside the chart.

Why it matters

It shows how this ticker behaved after comparable completed evidence. Small samples and wide ranges reduce confidence. The results describe history and are not a forecast.

Understanding volume-weighted control

VWAP Control

VWAP Control shows where the completed weekly market sits against its important volume-weighted price references, whether those references are rising or falling, and whether trading has been accepted above or below them.

How to read it

Start with current control, then inspect the VWAP stack, acceptance and direction. Several rising VWAPs below price support buyer control. Several falling VWAPs above price support seller control. A first reclaim or loss marks a possible transfer; later acceptance and a successful test provide stronger evidence.

Pressure, stretch and positioning

Pressure combines the finished position, direction, persistence and acceptance readings into a 0โ€“100 research scale. Stretch compares price with its normal completed range around the core VWAP. Positioning pressure estimates where recent weighted activity occurred relative to price; it does not identify individual holders.

Historical outcomes

Event studies describe what followed earlier completed reclaims, losses and comparable control states for this ticker. Small samples are shown plainly and no historical result is treated as a forecast.

What it is not

This is not an intraday execution VWAP, live order-flow feed, transaction-level cost basis, price target or standalone instruction to buy or sell. It uses completed weekly OHLCV history and updates with the weekly chart data.

Evidence context