Thanks for the detailed/honest reply. Great stuff. We’re all overly defensive of our long positions so I understand. I flipped this once for a nice gain, and received lots of “you moron you sold way too early”,”hahaha idiot....” lol! Mind you it was over 3 and briefly outvalued AMF* which is where I drew the line without further progress.
Bought a few last week for a long hold. Looking for reasons to add cause there’s so much excitement but that’s my main stumbling block is share structure transparency.
I don’t care about the higher OS but if they’re actively issuing shares I’ll wait to add. Without revenues and in the development stage it’d be naive to think there’s no dillution but I want to know when and how much. Again and increase from 2.6-2.8 for instance doesn’t change a thing, but when they were issued is important as a buyer. I don’t track the trades most days so was looking for an honest opinion! I don’t read many posts other than beandog cause frankly the wild claims are a turnoff. I’ll now look for you and dog man in the thread for grounded expectations and analysis!
Hope you get some funny hate mail at least! Lol