Correct me if I am wrong....but I thought ASX determines if an announcement is market sensitive.
CER would need to be very careful in overstating what impact this has on the bottom line. Probably best for them to include this in a year end statement along with appreciation in A$ and Property writedowns / Ups. Would be poor form to state impact per share without including other stuff.
I think we will see the articles hit online and maybe someone do a decent piece on seperation and recovery of this company in the next few days, although optimism doesnt increase circulation or views, fear does...
If you believe the market has missed something and you havent then buy on the news. We all know the market is not the efficient, all knowing vehicle.
Traders are having their fun with this, and while they do it will always need major publicity to get to the next jump without the CNP influence.
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