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Hi SKC,


Had a look at Aquila (AQA) and I believe there was only a few days between the announcement of dilution and the ex date? Also a bit of a buy up.


Bit different here for CSR with a notified period of many weeks before ex date and a capital return of nearly 30% of SP flagged.


I am considering a broad CSR buy up, on the announcement, and then (gulp) a vote result of  "NO" for a capital return?


I could then envisage a 43c drop in SP without the capital return....yuck. Certainly would not want to be leveraging.


What chance of a YES vote for the 43c return...extremely high?


Curiously thinking aloud


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