So - we will have an update in the morning with the investor call due.
What do YOU think will be in there? The good and the bad.
Cannot believe there will be any unknown bads in there. We've had the LH circus with the awkward complication from JB impacting investor expectation that a better offer was coming, the CR that should have cut the SP down by 30c cut it down 60c [so far] and plenty more.
The good? 70c CR owners will hopefully have found some reason to pay 70c. Will it be in the report?
Interesting times. Sentiment is king. Maths are secondary.
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