I started buying some @.10-.12 and I played it in the fall when had big run was in at a loss loaded dip then it ran. I knew BK was coming so kept watching then started adding .10-.12 little bits 5K shares here and there
And like I said I knew risk, and saw court papers etc but didn't have to be this way, too much value there for so little debt, potential value to much oil under the ground the new "value" they put on it coming out, is hands on assets and low low value of reserves IMHO.
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