If it's a "Sell" and the share price is higher, the broker means, sell until the share price hits this level.
If it's a "buy" they mean buy until the share price hits this level (from lower).
As a bystander I've never felt so much compelled to contribute, but your waffle deserves debate.
The only confusion in this debate is introduced by people like yourself encouraging people to look beyong acceptable standards (like JORC standardised reports).
I don't think it's fair or right, but respect totally your right to post.
JT
CDU Price at posting:
$1.71 Sentiment: None Disclosure: Held