Looks like a consolidation play to me 2.8mil shares mopped up at a floor price of .365 supported all day, every 2 minutes - look at the course of sales. I would sugest that the buyer/s stratergy is clearly not to loose money. One case scenario is taking out minows & ex staff out of unmarketable shares parcels for profit. I think the punt is back to .43-.45 pre dividend. Look at the size of parcels, nothing to write home to mum about unless they are added up and held for the upside.
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