I love all the optimists! The shares have fallen from 75c where i bought my first lot about 3 months ago, to 63c where i bought again about a month later, to 49c where I bought again to once again last week to lower my average price exposure. Now they're selling for 45c!
I dont think even the most blind optimist should be able to find some upside in this dismal performance?
Methinks there is definitely bad news out there that we are not aware of...
Seems to me that heavy weights may be making strategic withdrawals, being picked up by light weights like us?
I would be interested to know what stake the directors have? and if they have been net sellers over the last three months or so? Feedback would be great.
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