It's nonsense someone would even pay $2.50 at the moment, but let's have a look at another of kev's confused schemes. On the one hand kev wants Wr1 off the table with a t/o at $2.50 because it will eliminate risk. Fine, what's next? A guaranteed return of 10% pa over three years! Wow, child's play, just slightly below the long term annual return of the S&P 500, but on the other hand kev's repeatedly playing up all the current risks: recessions, potential geopolitical flashpoints. These don't apply to any new position apparently, strange, given equity risk is the only way anyone will get over 10% pa. kev's repeatedly described things currently as a "powder keg" and yet people will still get an easy 10% pa over three years in that environment. Where is it coming from?
I've got S&P 500 data back to 1926, kev. So I'm happy tell you how many negative rolling 3 year periods there are.
I'm not interested in your "gun hotcopper trader" stuff. Everyone here has been told they're retail baggy morons, so where do they get the easy 10%?
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Last
70.5¢ |
Change
-0.025(3.42%) |
Mkt cap ! $152.5M |
Open | High | Low | Value | Volume |
73.0¢ | 73.0¢ | 69.5¢ | $242.2K | 341.6K |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
8 | 15433 | 69.5¢ |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
70.5¢ | 15210 | 8 |
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No. | Vol. | Price($) |
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10 | 23542 | 0.695 |
6 | 39824 | 0.690 |
5 | 63190 | 0.685 |
7 | 106679 | 0.680 |
2 | 7050 | 0.675 |
Price($) | Vol. | No. |
---|---|---|
0.705 | 4786 | 5 |
0.710 | 5820 | 5 |
0.715 | 28387 | 3 |
0.720 | 1642 | 1 |
0.725 | 645 | 1 |
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