Yes there's been a general pullback in the market but I think perhaps some of the weakness is because CEU is 50% geared and sub-prime etc etc has meant "fear" for any debt. Unfounded with regards to CEU but the general thing about debt probably has had an effect.
Mar 3 ex-div of 5.25c should be a positive, then theres the announcement opening so a lot of positive news in the first 3-4 months of the year.