How is that the same? You're now giving two probable events not one based on 2 different result outcomes. Obviously if they announce some mega shit they can turn sentiment. But knowing management at present they'll announce just as the 10 yr bond yield pegs 1.65 and affirm drops out to $100 so it will stay flat again.
Results in 1 half would need to be Stella for sp to move based on current market perception. We're talking more than 130-40% yoy and reduced bad debts. It's expected they grow at least 90-100%.
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