I am out, maybe a little too early, but my strategy is complete. I was buying at a significant discount to the recent capital raising, and now that it's above the capital raising price I am out. A 80% SP rise in little more than a month, even when market fundamentals slightly worsened is off-putting for me. I can't hold a company that's risen so much so quickly with no real reason.
I am assuming that the rise is due to either insider trading or a single substantial buyer. I can't think of another good reason without any news or resources prices improving.
IVA Price at posting:
$1.53 Sentiment: ST Sell Disclosure: Not Held