I can understand you are really bullish on woodside, that's excellent. But I'm looking at the 5 year return which is a 20% loss and fmg is up 3 fold in the same time
Why would not I be bullish? WPL just realised the best quarterly report in the history of the company( since 1954). Brent, just hit $90( highest) since 2014. The consensus are that OIL will go over $100 this year and next year. The SP price has been bitten to the ground and represents a HUGE value. It's the largest part of my portfolio at the moment. I average below $23 and also look for receiving 10%+ dividends for a few years to come.
Buy if SP goes up beyond my valuation, I'll sell and look elsewhere. I do not fall in love with any stock.
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$19.49 |
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Mkt cap ! $60.00B |
Open | High | Low | Value | Volume |
$19.06 | $19.51 | $18.92 | $114.2M | 5.891M |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
1 | 1000 | $19.48 |
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Price($) | Vol. | No. |
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2 | 35167 | 19.450 |
5 | 35750 | 19.400 |
1 | 64592 | 19.390 |
1 | 10099 | 19.380 |
Price($) | Vol. | No. |
---|---|---|
19.500 | 4000 | 3 |
19.520 | 3000 | 2 |
19.530 | 17616 | 5 |
19.550 | 100880 | 2 |
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