I’d argue it’s probably US bond rates coupled with the takeover....

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    I’d argue it’s probably US bond rates coupled with the takeover.

    Bond rates rising, this is a semi bond proxy stock with defensive earnings (yes yes we’ve had growth via acquisitions and falling USD).

    Also input pressures probably having an impact or at least perceived.

    Just a long term hold for me. I picked up 2,000 more pre dividend around $14.
 
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Last
$13.99
Change
-0.200(1.41%)
Mkt cap ! $8.793B
Open High Low Value Volume
$13.96 $14.03 $13.86 $82.08M 5.879M

Buyers (Bids)

No. Vol. Price($)
1 1100 $13.99
 

Sellers (Offers)

Price($) Vol. No.
$14.00 5000 1
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Last trade - 16.13pm 26/06/2025 (20 minute delay) ?
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