With the working assumption of: I will BUY more.
Q1: Will the spp be higher or lower than Monday's close?
A: Higher.
Q2: Will there be a final 5 day vwap low/dip entry point today or Monday?
A: I don't know, may have had it... and here lies the rub.
Armed with the premise of buying demands being at the screen, with charts at hand, a high BUY conviction, with money on the table and eyes glued to the bid-ask. OR put a well calculated guess/bid in and remove any emotion, mainly fear and greed.
The flaw/risk with this 1.5 day strategy is that come Tuesday a better/lower sp will be on offer. OR come Tuesday ANZ's sp will fly and one is left paying considerably higher relative to this week's sp.
My risk/reward says ANZ's divvy is too juicy to leave it, but September is the most cruel month, followed by crash-infamous October. First day of post-Labour Day US trading results will prelude Wednesday AM ASX time.
Key Takeaway: Determine one's own comfort range defined by one's own risk-reward thesis.
Conclusion: BUY before Monday's close.
Well, that's my guesswork convolutions. Not very helpful in the specifics, but that makes a market.
OV
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Last
$28.75 |
Change
-0.020(0.07%) |
Mkt cap ! $86.46B |
Open | High | Low | Value | Volume |
$28.64 | $28.85 | $28.64 | $67.16M | 2.335M |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
3 | 3135 | $28.75 |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
$28.79 | 747 | 1 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
2 | 183 | 28.740 |
2 | 1304 | 28.700 |
1 | 4000 | 28.660 |
1 | 24 | 28.650 |
1 | 1000 | 28.620 |
Price($) | Vol. | No. |
---|---|---|
28.810 | 1500 | 1 |
28.850 | 594 | 3 |
28.870 | 346 | 1 |
28.880 | 1000 | 1 |
28.900 | 2324 | 3 |
Last trade - 16.10pm 14/06/2024 (20 minute delay) ? |
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Last
$28.83 |
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Change
-0.020 ( 0.08 %) |
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Open | High | Low | Volume | ||
$28.68 | $28.84 | $28.66 | 291745 | ||
Last updated 15.59pm 14/06/2024 ? |
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