Slogger, the point I was making was that the bounce may well be...

  1. 883 Posts.
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    Slogger,

    the point I was making was that the bounce may well be shorters taking profits and closing off before results.

    I think the SP has over reacted as I posted elsewhere, so I don't see a sell trade into results but if there is another negative comes out in the results and divvy / telecon then the shorters will certainly go in strong again.
    We have seen that ACR management are not very good at managing this type of risk, so I have been contemplating what price I would sell at today to avoid the next tsunami if things are sour again.

    The market through results season have been voting based on results / outlook and divvy. ACR are +/-/- on those 3 criteria, so an overall negative. This is now actually making me feel a little more bearish and wondering to what extent the price already more than includes that outcome.

    I think I might sell half? - what do you think?

    The lesson from yesterday was that we ALL should have sold on the announcement and bought back at 40c, for a 20c gain to offset against the 40c loss in recent weeks.
 
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(20min delay)
Last
1.9¢
Change
0.000(0.00%)
Mkt cap ! $7.747M
Open High Low Value Volume
1.9¢ 1.9¢ 1.9¢ $5.562K 292.7K

Buyers (Bids)

No. Vol. Price($)
4 381825 1.9¢
 

Sellers (Offers)

Price($) Vol. No.
2.0¢ 60000 2
View Market Depth
Last trade - 15.04pm 20/06/2025 (20 minute delay) ?
ACR (ASX) Chart
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