It would have been on Monday, the blackout period ended once the intial reports were released. The company also did not 'fail' to release the presentation, they stated that both the report and presentation were submitted to the ASX simultaneously and the ASX held up one and published the other.
Also why would panicked investors not fully reading all prior announcements and the report, then selling out at bargain prices, which Lev buys at, be disgraceful?
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