I agree the preliminary results are great and I am fortunate in that I do hold some relatively cheap stock. I am in for about a third of my total investment at 1.8 and the remainder at 3.8 so overall I am doing okay, but I just can't understand why the SP has taken such a hit on the back of such good initial results.
Are there that many sheep out there?
Does it seem to anyone else that the sell side os overloaded so that someone can pick up some cheap stock?
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