I'm pretty confident before open we will get a preso with the usual fluff.
If we didn't have the labor hire performing then yes we would be in dire straits, but I was pleasantly surprised at the way if performed. In fact I think it is doing better than they thought it would. The other major holder (isn't it the ethical fund?) I reckon will hold as they would otherwise be selling at a major loss on the open.
I reckon you could put a few hundred thouands shares on sale at the open and literally no-one will be there to buy them. So why sell? The average volume looks about 200K a day over the past year. This really is shrimptons coy and the buyng and selling will be accentuated on both sides by small volume.
This is Shrimptons moment to shine and prove that he has got the goods this half, but he will need to show a clear vision of a brighter future.
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