HVN 0.45% $4.42 harvey norman holdings limited

S and P free flaot selling pressure relieved.

  1. 4,330 Posts.
    http://www.standardandpoors.com/
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    Free Float Parallel - S&P/ASX Index
    Sydney, Australia, April 8, 2002
    April 2002
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    Stocks gaining in index weight Over 10 basis points Between 5 and 10 bps Between 2 and 4 bps 1 basis point
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    NAB, BHP, CBA, TLS WBC, ANZ, AMP, WOW WES, WMC, FGL, BIL CML, CSL, MBL, WFT SUN, MIG, CSR, GPT SGT, AMC, IAG, SPT QBE, TAH, MAY SGP, BEN, STO, AGL JHX, FXJ, MIM, MGR RMD, DOW, COH, BLD ORG, GMF, HLY, NCM PPX, FOA, BTO, TAB PPT, CEP, ASX, IPG ADP BOQ, FCL, BCA, APA MGI, ENV, ILU, DDF SRP, MOF, SGW ,OST TCL, SIG, CPA, ADB LUO, MCW, AWB, AFI SMS, PBB, ADZ, GNS DJS, ION, OPS, CRG PTD, MTT, SSX
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    Stocks with falls in index weight
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    S&P/ASX 200 There are 109 stocks that are subject to a drop in index capitalisation and 7 stocks that have increased in index capitalsation. Of the 107 down-weighted stocks only 48 have a change in index weight greater than 2 basis points, and only 13 have a reduction in index weight in excess of 10 basis points. Over 10 basis points Between 5 and 10 bps Between 2 and 4 bps 1 basis point.
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    RIO, NCP, WPL, PBL WSF, LEI, AXA, CCL QAN, NCPDP, SEV HVN, TOL TEL, ALL, BBG, UEL GAN, CXP, LNN, DOT LLC, RHC APN, LHG, ART, ALN AEO, ABC, CTX, CPU CFT, PRKPA, WAN SLX, VRL, NFD, SGB HTA, WFA, AOF, BRZ TNE, MIA, AXN, JBM MYO, HPX TEM, ENE, BWA, CLH IRE, VRLPA, ROC KAZ, PDP, AUY, AQP PHY, IHG, CLI, BRS DIT, IDT, OSH, BWP JUP, PRK, CAA, MRL SHL, PPH, TIM BPC, AOR, CDO
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    im hoping to pick some up around 2.10-2.20 hope it gets down that far
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    Hi Donnie the bottom for Coles at this stage is not firmly established---ie 6.03---on fundamentals though believe it offers better value than HVN (without wishing to knock Harvey)---it still is high p/e and is subject to euntrepenurial risk---the very bottom for Coles should 6.03 not hold is in my belief 5.80 to 5.90-possibly maximum 5.50.
    Cheers,--Steve. (my thoughts)
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    Date 13/5/2002
    Author Peter Kormendy
    Source The Australian Financial Review -- Page: 16.

    The founder of Australia's Harvey Norman retail chain, Gerry Harvey, says he will ride out negative market sentiment. Harvey Norman's share price fell from $A3.30 to $A2.99 over two trading days in the week ending 11 May 2002, the same two days the share price of Australia's biggest retailer, Coles Myer, shed $A1.8 billion in value after a $A50 million profit downgrade for 2001-2002. The Standard & Poor's Australian Stock Exchange Retail Index plunged six per cent over the full week, as investors sold down their retail stocks on the basis of Coles' weakness. Harvey, who is executive chairman of Harvey Norman, insists trade is going "quite well". Still, he cannot do much about market sentiment. Macquarie Equities analyst, Tim Rocks, feels that the market has over-reacted. He has added Harvey Norman to his company's Top-20 stocks.
 
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Last
$4.42
Change
0.020(0.45%)
Mkt cap ! $5.507B
Open High Low Value Volume
$4.44 $4.44 $4.40 $8.917M 2.018M

Buyers (Bids)

No. Vol. Price($)
10 130384 $4.41
 

Sellers (Offers)

Price($) Vol. No.
$4.42 11551 3
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Last trade - 16.10pm 17/01/2020 (20 minute delay) ?
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Last
$4.42
  Change
0.020 ( 0.45 %)
Open High Low Volume
$4.42 $4.43 $4.40 577241
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