So I'm going to throw out a scenario and interested on thoughts?So if we drop out of the 200 how would the BOD fair at the AGM? I know a lot could happen between the next rebalance and the AGM and that's where we may see the "ain't seen nothing yet". It looks as though we will probably need an SP of around 22c maybe 22.5c in the next 4 weeks to stay in.
Do the sophs want a new BOD or are they happy? Do they want us in the 200 come September?
We know the price is being manipulated, but why? Accumulation shaking out weak retail seems most likely, takeover target or shake the BOD up?
I'd be interested in thoughts of those with more knowledge than myself and some decent discussion? It would be nice after the last week of dribble from a certain few posters who have a motive, mental health issue or both! Thoughts....
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Last
3.2¢ |
Change
0.002(6.67%) |
Mkt cap ! $329.3M |
Open | High | Low | Value | Volume |
3.1¢ | 3.2¢ | 3.0¢ | $604.3K | 19.39M |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
14 | 1767950 | 3.1¢ |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
3.2¢ | 7754377 | 25 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
11 | 1590597 | 0.031 |
82 | 19720397 | 0.030 |
34 | 8751399 | 0.029 |
33 | 9631124 | 0.028 |
15 | 4944089 | 0.027 |
Price($) | Vol. | No. |
---|---|---|
0.032 | 7089536 | 19 |
0.033 | 6322419 | 17 |
0.034 | 18124251 | 24 |
0.035 | 7745773 | 26 |
0.036 | 7261913 | 31 |
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