Mozz,
Its not me but let me tell you I have a similar allocation that I was trying to get a little cute with and execute below $1.10 (for the lads) before 008 gets released as Im expecting a bounce. What I was not expecting was 3 days of 10% plus to get us where we are today and with no news. I think PAR is a new Paradigm in share price movement, drops on good news days and takes off on no news days...
We either have:-
1. a leaky ship .. with news imminent (which I dont think so as they said 008 was end of quarter / and too early to anounce an MPS deal)
2. some interested big fish who think now is the time to jump onboard
3. Coppo has more pull than we thought
4. Marco's mates are jumping in before the rush
5. Pump up into 008 result release so it can tank again
Interestingly many Bio's have been doing the same, bouncing up and down... rising 10 / 20% unexpectedly then slowly comming back to earth over the next 2-3 weeks. Looks like the US has levelled off for a while we just need a war with China to give us the bargain of the century.
Now where is that FarmerBob.
Poolboy
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Open | High | Low | Value | Volume |
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7 | 119072 | 0.225 |
10 | 81449 | 0.220 |
2 | 38958 | 0.215 |
5 | 81017 | 0.210 |
Price($) | Vol. | No. |
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0.240 | 44703 | 3 |
0.245 | 45279 | 2 |
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