It's doing my head in. I'm trying to understand how they think the upside and downside risks to the share price favour a downwards move, or at least stagnation. Are they super-stale bulls? Do they think the flows will fizzle during the prove-up? Are they proceeding on purely technical analysis? Do they prefer to STRIKE some other stock to play it?
It's the only reason I wouldn't pinch gran's fillings to buy more.
It's doing my head in. I'm trying to understand how they think...
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