I belive it's a number of factors. Share price was over cooked last year created a down trend. The majority of headline results from Ternera were found early in the piece. we've got a large retail holding who could be more inclined to panic sell. i guess all will be clear come mre and what institutional investors are going to do. what prompts me to keep my money here dispite the sales price lays in the fact if ternera proves profitable, which i think it will, means that any of these other prospects provide huge upside to profits. Not easy watching my holding going from green to red but i don't think the story here has changed.
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