They have left themselves open for a class action for anyone who sold between 30th July and 15th October
Continuous Disclosure Listing Rule 3.1
"Once an entity is or becomes aware of any information concerning it that a reasonable person would expect to have a material effect on the price or value of the entity’s securities, the entity must immediately tell ASX that information".
They failed to advise the market on 30th July, 27th August and 2nd September.
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