just looking at the share price movements.
(imo)
it looks to me someone doing there best to keep
the price at 3c.
there's big buys when at 2.8c and a block at 3.1c.
if it moves to low it will trigger buys from us holders
and we wont get involved in the credit raising.
if it moves to high it triggers us holders to sell to fund the credit raising.
interesting moves going on.
or am I now reading to much into it?
any thoughts?