Can't help but think a major shareholder is continuing to off load. There has been such a consistent pattern occurring for over a month now. Puts a few shares in to sell at market, if it gets taken out tops it up but generally under 1 million. Later in the day dumps at the buy price but leaves a few shares to give the impression that they have sold out. Buys a small parcel at the price above the price they have sold at and repeats the pattern the next day. Would not be surprised to see the pattern repeated tomorrow taking out most of the shares at 1.5c Two questions, how many shares do they have left and how low are they prepared to go? Would be interested to see if Citicorp, USB or JP Morgan's holding have changed significantly since the annual report. Is anyone able to get an update of the top twenty?
CBD thanks for the update, appreciate the time and effort you put into updating shareholders
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