"Should'nt matter too much if the company learns from this"
What exactly should the company 'be learning'? I assume you are suggesting the company should be putting out more regular news as ASX announcements and this will prop up the share price? If so, I can assure you, their only focus is on attaining clients and driving the sales performance. Those numbers will be released closer to, or at EOY release. The market will value the company (ie. SP) when they are fully known.
It won't matter where the SP is before the announcement. The numbers will be crunched and value decided. If the numbers are better (or worse) than expected, the SP jumps / falls to the new assigned value (regardless of the SP level before the release).
'Good news' announcements obviously are a way for companies to get short-term SP gains, but eventually the cash flow / balance sheets need to be released and the market evaluates the numbers.
Long ramble - point being, I disagree the company will be concerned at all with the current SP movements.
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