perhaps this is the time to rebuy...but the potential for drift until clearer is too much 4 me
...the spike up off ?all time lows may have been happy shorts profit taking as well as opportunistic buying
...may be interested around double bottom (1-1.1p) &/or rns demonstrating cost reduction transformation...or perhaps mojo in ni pricing
disagree there..the poor quality of earnings/limited visibility make projection v difficult
...what is clear is recent/immediate past run rate earnings..
....obviously management is trying to drive improvement...but seeing hard numbers would be believing imv
do you consider that you are in receipt of insider info? I have not been told about Jan figures, but you have?
...do you believe the Jan figures are market sensitive?