@Aussiesharekhan i have exactly the same question as I'm holding a large parcel @002 and have some at 003 and 001 averaging to 0025. At 45:1 my avg buying is over 10c. Here the management is planning to issue more shares at 5c this is definitely not favouring the current share holders who want to hold for a few months. I'm now confused whether to keep my parcel or sell it and get back in post consolidation. I know some smart As$ guys quit when it went to 009 a couple of weeks ago but I wasn't a holder then. Do you think the sp will go up a bit before consolidation? If the price goes up and stays around 005 and investors buy at that level then the chances are that the sp will hold 9 or 10 cents post consolidation imo. Guys what do you think???