... and now 25c!
Which is a 'red-letter' milestone for my remaining parcel. Only needs to rise a further 25% and it will be in the green.
And if it can do 300%, it will make up losses realised when I (finally) tried to stop out the entire holding last year.
Lessons learned:
1. Never calculate stoploss as relative to market
2. Avoid RSA
3. Avoid listings with a pattern of new issues.
4. Avoid listings with a notably high spend on funding activities.
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