Maybe you should take off your glasses and realise that if this was such a no brainer, there would be a buy depth outweighing the sell depth. My head is truly out of the sand with the rest of the market that see this as a very high risk play in a very competitive, young sector.
I back the company which is why I own stock. But not everyone has the appetite for risk that I do. When real sales data, marketing outcomes and profit start being reported, the risk profile will adjust and the SP will react accordingly.
Stop blaming the SP on manipulators when the real issue is perceived risk and lack of buyers.
Add to My Watchlist
What is My Watchlist?