Some good buying but i fear there is more to come...i think we are seeing not only some US nerves but an outflow of OS investors nervous about how a dropping Aussie and commodities will affect their investment irrespective of what the underlying equity does... OS investors have just had a 5% currency swing against them compounded with a bad month on the markets... they are starting to press the panic buttons...
If you where a US investor you may have done close to 30% on DLS lately and thats panic stations , for some investors
Mind you this plays right into DLS buyers hands.... its just a matter of when do you pull the trigger and do you bail and go back in ??? the million dollar question