a) Are foreign investors exiting for the investment of commodities such as
plummeting gold & controversial events debated in the CB?
b) Is market exposed to overbought stage that leads for equilibrium of demand &
supply?
c) Do small scale investors encashing their small portfolios due to ongoing power
struggle?
d) Does manipulation workout again as most listed entities had recorded positive
performance to the nearest year end/quarter end?
e) Are currency depreciation & diminishing of foreign reserves expected in the near
future?
f) Has inferno in local political arena become uncontrollable & placed on top of
everything?