11 days to Q3. What to ExpectThis is solely my Opinion that could go eitther way. It's the answer to, How will the SP behave after the earnings release?
4 scenerials are possible
1. If the earnings are positive, the SP could rise immediately and establish another range above 0.1 CAD
2. SP could sink even with positive ER for a few days , bottom and start the bullish leg for this Q
3. If volume is constant the SP could remain the same or rise by less than 5%
4.If the ER is negative, DM investors will have to wait until solid news are released later before the SP makes any significant movement.
JMHOP
What do you think is the most likely scenerial?