It controls your downside risk until such time as favourable conditions exist.
Let's say a Fund wants to take a position. They like the long term potential of NEU but don't see any reason for a significant re-rate in the near term (or are worried about sector or poor market conditions being a drag on the stock). Looking at NEU price leading up to and post announcing it's Ph3 start for trof provides a good reference point for this. But the fund also doesn't want to try and build a position when everyone is clamouring for the stock in 2 years time either. So they build a position and hedge their downside risk because lord knows you don't want to be holding too many positions in your fund that are down 50%. Won't have much FUM left if that keeps happening. Fund managers try and smooth out volatility and risk and 'hedging' of long positions is one way to do that.
I think we can all agree that the majority of returns to be made in NEU in the next 2 years will be post Ph 3 results, presuming they are good. I can't see us re-rating above $30 on Daybue results results alone, not in the next 2 years anyway, unless Acadia smash it out of the park.
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- Ann: Update - Notification of buy-back - NEU
NEU
neuren pharmaceuticals limited
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3.99%
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$12.04

Ann: Update - Notification of buy-back - NEU, page-16
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Last
$12.04 |
Change
-0.500(3.99%) |
Mkt cap ! $1.559B |
Open | High | Low | Value | Volume |
$12.45 | $12.45 | $11.88 | $1.226M | 101.9K |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
4 | 121 | $12.02 |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
$12.04 | 507 | 3 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
2 | 403 | 11.910 |
5 | 2759 | 11.900 |
3 | 820 | 11.890 |
5 | 3725 | 11.880 |
4 | 1281 | 11.870 |
Price($) | Vol. | No. |
---|---|---|
11.930 | 419 | 6 |
11.940 | 434 | 3 |
11.950 | 900 | 5 |
11.960 | 1439 | 5 |
11.970 | 1624 | 6 |
Last trade - 10.28am 23/06/2025 (20 minute delay) ? |
Featured News
NEU (ASX) Chart |