high churn
turnover as a % of SOI > 1%
showing ASX announcements where applicable
sp < $2.00
CODE COMPANY SECTOR MC (M) SOI (M) SP: 12 Dec SP: 13 Dec VOL: 12 Dec VOL: 13 Dec ASX Ann(s) t/o as a % of SOI VRX VENTNOR RESOURCES LTD Materials 40.2 43.0 0.885 0.935 2,939,764 6,756,837 1 15.70 NXR NEMEX RESOURCES LIMITED Materials 4.8 32.3 0.160 0.150 32,000 1,725,266 5.35 GCN GOCONNECT LIMITED Software & Services 47.8 919.3 0.056 0.052 102,541,060 40,613,867 4.42 BRO BROAD INVESTMENTS LIMITED Telecommunication Services 2.2 552.5 0.002 0.004 0 21,134,136 1 3.82 ANP ANTISENSE THERAPEUTICS LIMITED Pharmaceuticals, Biotechnology & Life Sciences 26.5 982.3 0.026 0.027 42,884,351 36,212,490 3.69 BSL BLUESCOPE STEEL LIMITED Materials 1,147.6 2,700.2 0.430 0.425 82,943,194 84,597,691 3.13 AKK AUSTIN EXPLORATION LIMITED Energy 17.7 591.2 0.028 0.030 2,178,071 15,545,973 2 2.63 HRL HOT ROCK LIMITED Utilities 9.3 189.9 0.042 0.049 2,986,705 4,156,140 1 2.19 MUI MUI CORPORATION LIMITED Media 2.1 1,049.5 0.002 0.002 45,800 21,918,742 2.09 POK POTASH MINERALS LIMITED Materials 52.7 66.3 0.680 0.795 838,447 1,368,539 2.06 SRI SIPA RESOURCES LIMITED Materials 70.0 411.8 0.160 0.170 2,552,965 7,987,915 1.94 NEU NEUREN PHARMACEUTICALS LIMITED Pharmaceuticals, Biotechnology & Life Sciences 35.8 1,155.9 0.032 0.031 93,438,675 19,325,642 1.67 CGP CONSEGNA GROUP LIMITED Pharmaceuticals, Biotechnology & Life Sciences 16.6 591.2 0.026 0.028 1,085,000 9,191,500 1.55 ISN ISONEA LIMITED Health Care Equipment & Services 6.9 1,147.0 0.007 0.006 31,504,600 17,444,852 1.52 LYC LYNAS CORPORATION LIMITED Materials 2,202.3 1,713.8 1.355 1.285 19,270,752 26,023,442 1.52 SRR SHAW RIVER MANGANESE LIMITED Materials 31.6 451.7 0.076 0.070 13,196,575 6,826,731 1.51 IAU INTREPID MINES LIMITED Materials 774.8 523.5 1.500 1.480 12,161,360 7,137,736 1 1.36 ERH EROMANGA HYDROCARBONS LIMITED Materials 12.9 390.0 0.030 0.033 1,662,000 5,262,972 1.35 SBR SABRE RESOURCES LIMITED Materials 15.2 126.7 0.120 0.120 100,000 1,667,500 1.32 PEN PENINSULA ENERGY LIMITED Materials 68.3 2,135.5 0.033 0.032 10,991,154 26,390,380 1.24 TTV TWO WAY LIMITED Media 7.2 233.5 0.034 0.031 4,191,000 2,669,500 1.14 KDR KIDMAN RESOURCES LIMITED Materials 6.9 27.6 0.265 0.250 21,311 313,213 1 1.14 WHN WHL ENERGY LIMITED Energy 62.6 1,226.6 0.053 0.051 7,168,649 13,457,352 1.10 CHN CHALICE GOLD MINES LIMITED Materials 76.3 250.0 0.270 0.305 499,173 2,649,766 1 1.06 NMR NIMRODEL RESOURCES LIMITED Materials 16.5 423.3 0.039 0.039 2,752,500 4,447,000 1.05 INE INDIA EQUITIES FUND LIMITED Diversified Financials 7.7 121.8 0.062 0.063 117,368 1,261,668 1.04 OKL OAKLAND RESOURCES LIMITED Materials 2.7 20.5 0.081 0.130 100,000 212,178 1.03 SAR SARACEN MINERAL HOLDINGS LIMITED Materials 510.8 593.9 0.895 0.860 12,793,244 6,116,613 1 1.03 NEN NEON ENERGY LIMITED Energy 229.3 432.6 0.515 0.530 4,606,552 4,424,147 1.02
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