Most important catalyst is what? How can the top 3 not be:
1) SHELL RISK 2) SHELL RISK 3) SHELL RISK
FWIW, I'm invested here, but I'm going nuts with all the usual "it's the market makers, it's the shorts", & all the usual OTC conspiracy theories. (I'm assuming audited financials would be a precursor to the SR removal) but can any of the other positive possibilities even happen while we're a shell risk?
Somebody help me understand while nobody even mentions it?