The latest Investing Matters Podcast with Jean Roche, Co-Manager of Schroder UK Mid Cap Investment Trust has just been released. Listen here.
Could we break and hold 40p loving this share been one way street since I bought at 27p long may it continue...!
So my prediction of smashing the 35p resistance and hitting 40p may have been a little premature...the strong run has created a new level for this stock around 35p, some more sustained buying will push us up to 40p imo, the market is slowly starting to price in the expected upgrades, i still think 45-50p is fair value could be much higher depending upon the results, expect this to test 40p at some point before the drilling results. THis doesnt seem like a 'sell on the news' type stock as they have released several regular updates over the last few months so id hope for a steady climb then consolidation above 40p vh.
Taking off today offsetting my blvn losses at least!
Resistance gone 40p here we come! Please dont make me eat my words!
Ok im nk redictingwe smash the 35p resistance and fly into next week update rns on the 21st completion great drilling programme sp heads to around 45p falls back after orogit taking to 40p then smashes through 50 55p when the jorc is released all imvho dyor but this is a fantastic share and has much more to come imo gl all vh
So these guys may be investung in something then....
Managed to get in this morning at 3.9, was very hard to buy had to use a negotiated trade, you can buy now, but its gone the other way and its impossibleto sell without using a negotiated trade! Was a lot of buying up to and over 5p not sure what the order book and depths are looking like anyone on L2?
Whats your opinion on news this week or more likely later next week before year end surely 10p and above by end if jan?
Have never made money from trading dont have time or inclination intend to hold here now until well into 2011 to rralise some decent profits with a top slice here or there this will increase on positive prod news if its before year end then great, if not I dont mind sitting on a small loss as ive put some good research in here and like th educ look of this company, made my money this year by adopting a very similar approach with blvn those who are patient and dont panic make the money in this game, doubke figures by january hopefully gl all vh
Out of bmr back into angm after swlling angm last week to get back in here bmr was a punt managed to escape the bloodbath relatively in tact happy to be in safer places now!
Having looked at basic info I have this settling around 15p in new year but could hit 18-20p depending upon what is relrased before year end. I think a lot will depend on level of production they can achieve initially I have never successfully predicted a spike price after a decent production rns but I would hope for at least 20% here then a further movement into 2011 if feedstocks and palm oil price news is favorable, happy to hear others views? Slight punt for me but worth a bash dyor obviously some downside risk but hopefully double figs before year end :-) ps didnt see spike to 9p but havent been on l2 as not in the office.
Got in this morning had to pay 8.3 so id like a rise to 9p today please, reluctantlt sold up in angm due to large seller holding the price down, cant see this having the same problem, if I have to hold a loss for a while no provlem as see this moving into double figures in 2011 cheers for the research afman.
Taking the plunge here tomorrow looks like I will have to take a price near the 52 week high which I would never usually commit to butdony want to risk being left behind next week hopefully a little reyrace first thing so I can get in at a decent price, prospects look good long term and ill be in with 5k tomorrow after sellung up in angm.
Cheers for that, im actually heavillt in angm but getting frustrated with it very similar to here expecting commissioning news by next tuesday and have been imvested a while so want to play it out. Looka like I wont be seeing sub 8p looking at pattern today, so timing might not work out on this one this game can be feustrating at times im now watching this with envy but have become attached to an and dont want to pull out at last minute! What would a decent sp be post news or will I have missed the boat by monday?
Hi guys, I am thinking of buying in here within next 5 days ish, depending on me being able to realise gains and shuffle portfolio elsewhere. I understand we are expecting news re plant commisson before next friday or at least by year end is this correct? Can people tell me what is likely to be revealed within this next rns I.e. production volumes, ramp up etc also is company expected to be revenue generating straight away? I note strong palm oil market and no net debt which interests me. any sp predictions post news and ideas on nav would be appreciated, I will share research once I have had chance to ho through in detail by end of week but would appreciate views of lt holders thx vh.