In January we had 9 price sensitive announcements or 1 every 3 days (roughly). February it was basically the CR which created overhang but oil has gone through the roof since.
We are on the cusp of a breakout IMO. Lots of imminent price sensitive announcements over the next 4 weeks, a higher gap at 22c that needs to be filled, the MACD has crossed over, we’re making higher lows on the chart and oil is creating material upside risk to financial outcomes.
Not sure when we’ll re-rate but it should be pretty soon. I still remain very confident here.
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