Regarding ASX200 rebalance.. I was having conversations with folks with a lot of asx listed experience and I was trying to gauge exactly the metrics used to whether a companies is booted or stays. obviously market cap is a big one and based on this then we're gonners . But... 1 interesting consideration I was told was funds positions that were purchased and held at higher prices ie. 18c and maybe even higher, the value placed on that position remains at the purchase price, be it 18c or whatever. Not sure if this is true, would like to have someone back up the theory
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