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Subject: Combining chart with fundamentals at 10c--March 03 view.


Author:
anonymous
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Date Posted: 22:56:46 01/02/03 Thu

Yes there is a 1c disparity between 10c and 11c--with major tops and major bottoms being associated with increased volatility.
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The company is improving as it goes through time, not getting worse.
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The writedowns are contained within the prior financial period and there are several recovereability issues, that can only have a positive effect on future accounts.
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It is waiting on several significant good things to happen, the one most people talk about is Sydney, there are several other things as well.
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It's next financial report should be (going on last years calendar) on or around March 11th 2003--this will report the 1st half of the new financial year.
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Therefore if the company is getting better not worse, the volatility is associated with a major bottom--not a major top.
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Regards,--anon.

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Replies:
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Re: estimated chronological order of good things--March 03 view.Archive1.http://www.voy.com/125692/1/23:14:55 01/02/03 Thu


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