Less than 4 months till my next SYA parcel CGT break so these short selling maggots can keep giving each other hand jobs for diminishing returns for weeks for all I care given they remain exposed to unlimited losses on the upside
these lazy bozos have quarterly reporting targets and are really scraping the barrel for any sort of return to please their managers and given it’s not their money they work with anyway they’ll take in whatever risk they want just to keep their expected cash bonuses in the middle of an inflationary slowdown and the falling of global investment house brands - the guys at Credit “Susie” still don’t have a forecast on what’s coming with the UBS merger
so yeah they’ll short SYA until they get it wrong or get fired for incompetence
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Open | High | Low | Value | Volume |
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Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
22 | 5321101 | 3.4¢ |
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Price($) | Vol. | No. |
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40 | 12515226 | 0.033 |
53 | 8861913 | 0.032 |
34 | 11442708 | 0.031 |
59 | 10396072 | 0.030 |
Price($) | Vol. | No. |
---|---|---|
0.035 | 8218041 | 27 |
0.036 | 16626758 | 37 |
0.037 | 12065681 | 37 |
0.038 | 15881556 | 34 |
0.039 | 5498058 | 17 |
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