Tuesday, June 16, 2015 3:06:20 PM
In saying that......the share price seams to have stabilized at 6s getting filled with patience. If bad news comes from financials about the debt being much greater than anticipated....then I'm immediate bearish. However, there is not much room to go south.
If debt looks same as we thought and no new loans taken in Q1....along with financials of over a mill. I think we are immediate bullish to the low-mid teens. I am hoping this is the way things play out. Couple this scenario with some good PRs from the mill and we could have a nice run.
I have bought 15 mill shares in case this happens. If good news comes, I am ready to chase and buy much more to make some money back. If the prior takes place....then I lose more.
Some stating 3 cents end of year is ludicrous based upon 5 mill annual sales and 8 billion AS. However, anything can happen in the OTC. I just don't see us having a Magical Run unless a PR comes out stating "ALL MATURE Notes Paid in Full"
All my opinion. I've stated my concerns. Some don't want to hear it and that is fine with me. Time will tell.........I'm just trying to be less emotional about this and more even keeled. My cons far outweigh my pro list at this moment though. Hoping Dror proves me wrong for everyone's sake.....
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