Here is my assessment of the "implied risk" in the current sp.
1. Offer Price $9.00 on 15 May 2023
less opportunity cost of say 0.75% per month for the 6 months until that time, ie subtract 6.75c for 5-6 months, ie minus 40s
So: current value of current offer $8.60
2. Pre-offer value as determined by 3 month volume-weighted av price (VWAP) $5.76
(by the way, you will find commentary by me after the 31/10/2022 release of the Sept Quarterly that I considered that ORG was worth much more than $6, but for the moment let's regard the market as the arbiter of "proper price" not me personally)
3. Bid Difference, pre ($5.76) to post ($8.60) is thus $2.84
4. Current sp as I write is $7.73, being $1.97 above pre-offer price .
5. As $1.97 is about 70% of $2.84 ( the Bid Difference), I conclude that "the market" thinks the chance of success is about 70%.
[However, if you think that the "fall-back" price if the bid fails would be around $6.60, then you would be saying that the market is currently pricing in only a 50% chance of success.]
As I think the fall back-price would be above $6.60 and the chance of success is a lot more has 50%, I am a buyer.
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- ORG Take over price $9/Share, why current share price is low
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ORG Take over price $9/Share, why current share price is low, page-8
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Last
$12.00 |
Change
0.130(1.10%) |
Mkt cap ! $20.67B |
Open | High | Low | Value | Volume |
$11.89 | $12.00 | $11.76 | $34.08M | 2.893M |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
1 | 699 | $11.95 |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
$12.00 | 96709 | 43 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
1 | 699 | 11.950 |
3 | 14921 | 11.940 |
1 | 4657 | 11.930 |
1 | 4739 | 11.920 |
1 | 4986 | 11.910 |
Price($) | Vol. | No. |
---|---|---|
12.000 | 96574 | 42 |
12.010 | 4175 | 3 |
12.020 | 14547 | 2 |
12.030 | 1987 | 3 |
12.040 | 5161 | 2 |
Last trade - 16.10pm 18/07/2025 (20 minute delay) ? |
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ORG (ASX) Chart |