
- This is an interesting case study that I have
- I bought around A last year – its fundamental is irresistible
- In hindsight, B will be a better place to buy – climatic action
- C, D, D1 and D2 are good places to top up
- I got out at E
- In hindsight, F is a first sign of more serious warning and getting out at G is better
- The stock has been adjusted accordingly for bonus issue/ stock split etc

I made a respectable +43% on this stock, holding it for ~10 months
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