question to the learned pundits:
Think we all have noticed the current trend of POG to dive as soon as "risk" rears it's head (Greece, US etc) - and the A$ to go up at the same time; resulting in markedly weaker POG in A$ terms.
This movement appears to be persistent and contrary to past POG behaviour ?
How will this affect FML (cost base, EPS, balance sheet) in the near and medium term?
Not at all sure that Greece will be saved and this could potentially be a major obstacle in turning around profitability of FML/CRE operations if the above trend persists ?
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focus minerals ltd
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Last
35.5¢ |
Change
0.000(0.00%) |
Mkt cap ! $101.7M |
Open | High | Low | Value | Volume |
35.0¢ | 35.5¢ | 35.0¢ | $9.809K | 27.69K |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
4 | 81692 | 35.0¢ |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
35.5¢ | 6319 | 1 |
View Market Depth
No. | Vol. | Price($) |
---|---|---|
4 | 81692 | 0.350 |
4 | 80313 | 0.345 |
2 | 36564 | 0.340 |
3 | 56120 | 0.335 |
1 | 50000 | 0.330 |
Price($) | Vol. | No. |
---|---|---|
0.355 | 6319 | 1 |
0.360 | 32222 | 2 |
0.365 | 35956 | 5 |
0.370 | 228425 | 3 |
0.375 | 19966 | 2 |
Last trade - 14.51pm 10/07/2025 (20 minute delay) ? |
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