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Saturday, June 23, 2007 5:59:30 PM
so the shareholders will own the same percentage after the split...BUT,the downside risk from .004 seems minimal when compared to the downside from 4.00 on a stock with no reported revenue.It seemed like a possibility to run up from here with some solid announcements but with this reverse to an overvalued 4.00 wouldn't you think we would immediately start losing share value?
Am I missing something other than the lower float?
Wouldn't it take huge revenue/contracts to even attempt to keep the SP in that ballpark?
Who the heck would buy at those levels?
Could be an avalanche in the making IMO.
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