I am not expecting anything in this quarterly to have impact on SP.
Merger, missing shipments could add to selling pressure.
IMO smart short term money would buy on any weakness and sell on results from next 2 quarters.
Coming report, good or bad, is not going to change my position in A40 other than top up.
However what will interest me, is how much of merger costs were paid as I can't wait for this chapter to close.
A40 Price at posting:
20.0¢ Sentiment: Buy Disclosure: Held