1-yr chart shows 2 tops/bottoms p&d..3-yr 5tops/bottoms p&d..independent of company success..certain OTC traders influencing new money to buy so they can trade down and use profits from new money to buy the new shares hitting at the bottoms of the charts..to sell at the tops to new money. This is completely independent of company success to the extent of what certain traders can leverage against new money influenced by these traders.
the only opportunity here is to not buy shares in a company that is "only concerned about keeping the lights on" ...more delays, no revenues, and alot of fantasy here
Not really. If the financing is not forthcoming then it's going below .02. Nobody actually knows with any degree of certainty that the bond or WV financing is actually happening. Not a good bet at this point.