Kolubara,
Smart. Is bit hard picking the pullback bottom here.
I've bought nearly each day this year, do in a pullback for the qty as it's over 4.5% of the issue now.
But getting a bit of a backside kicking.
Im hear for long term, am 0.2c under my average.
I see the risk ratio at around 70 plus 30 negative on permit approved / declined.
To others I'd not chase down hoping to pick bottom. Just my style for large qty as can never get it in a few days or week without pushing up the price.
Outside pep, bph other assets are worth the cap, so not overvalued without pep I feel.
The decarbonisation tech is worth a bit on its own as the application is vast.
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