its possible US Funds are selling down because the Aussie dollar is moving down, they might also be looking to buy back at lower prices, without knowing the metrics it is hard to say but that is my best guess as i believe they are the largest holders of Voc, so hang on their losses in the scheme of a portfolio will not amount to very much but for Voc its a big hit the other possibility is the risk to the cable if conflict came into play which would be a major financial trauma for Voc as i recall second half earnings are possibly going to ramp up considerably. anyone who can contribute to these scenarios negative or positive moight be good in discussing possibility and probability
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