I agree with most points however i disagree with it being a fact that consolidation did not have a negative effect.
Firstly, it is not correct that SP has increased since consolidation. Simple chart analisis can tell you that, not to mention that SP was 0.0285 pre consol.
Also we lost SP momentum post consol and we are back to where we WERE, when in that time we have had a number of good news and nearing data release, yet we are where we WERE. This, IMO is negative effect when we all clearly expected better position now, obviously as this thread is also reflecting.
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