Just prior to the Q, I picked up a small amount of CEM. Then it went Bankrupt. I did further DD and saw that this made perfect sense. I then averaged down and am now in the black with this one. Right now I am holding 15000 shares at .051. My plan is to sell off 2000 when it reaches .4 or perhaps 4000 at .2 depending on how things go. Either way I feel confident about where this is going, and my tiny little nut of 13000 (or perhaps 11000) shares will ride it out. It's a risk that I can accept and a gain that I can enjoy.
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