Okay folks. I think we've debunked the "woolies no longer stocking A2" nonsense, so it's time to bury that thread and start a new one. I'm sure some people can't tell the difference between the SP and the actual performance of the underlying company. In other words, they see a 50% drop in the SP and assume the company itself is in dire straits. We all need to mellow out a bit and wait for some real world information (ie. the upcoming HY reports). Just a reminder that the SP is affected by fear and greed, expectations, rumours, whispers, shorters, and oddly enough the SP itself.
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$6.03 |
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Open | High | Low | Value | Volume |
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No. | Vol. | Price($) |
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Price($) | Vol. | No. |
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28 | 22634 | 6.020 |
24 | 34664 | 6.010 |
16 | 29560 | 6.000 |
13 | 18983 | 5.990 |
Price($) | Vol. | No. |
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6.040 | 22231 | 16 |
6.050 | 68546 | 24 |
6.060 | 31990 | 15 |
6.070 | 31079 | 11 |
6.080 | 106268 | 12 |
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