For my part I don't think the financial results would differ much from the December guidance.
If they were up much from that then I think they would have difficulty explaining their announcements to the ASX as well as the market in general.
- What will trigger price change will be growth outlook, are there signs that they are winning new contracts? More importatly are they profitting from their new acquisitions - meaning can they restart the acquisitions cycle and become priced as a growth stock again?
- A dividend that is not reduced from last year, simultaneous with some scope for paying down some debt, would also give the market confidence.
I think a report that lacked both these elements would see a fall
SPO Price at posting:
$1.11 Sentiment: Hold Disclosure: Held