Assuming the May 31 announcement is positive and the banks reach terms for the repayment of loans, what are your opinions on how the share price will move after this time?
Will there be volatility? A post announcement spike followed by further selling, perhaps a return to the low 30's and 20's?
If the announcement has no meat in it regarding the companies outlook will the price simply fall?
Will a perception that the company has time to stabilise and recapitalise see the share price finding new support at higher levels?
What do you guys think?
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