This is my whole point about Risk and Return. At this price level, what is the worst case scenario for new investors? Losing thier 0.17c? What are the upsides if none of the scenarios you have listed above didn't materialize, and the Company actually did better? Plenty.
It ok to be a little bit pessimistic or optimistic, but too much of it will make you irrational.
Register for free to join our community of investors and share your ideas. You will also get access to streaming quotes, interactive charts, trades, portfolio, live options flow and more tools.