G'day all. First time posting, but been viewing for a while.
I have noticed a lot of back and forth within NOR posts from respective sides of the fence. Thought it was time to add my 2 cents and join in the fun.
So, thought i would list my GUESS all IMO as to what the short to mid term Holds for NOR. Broken into GOOD & BAD.
BAD:
No contract signed for any significant revenue until at least Late March early April 2018 (Hope Im wrong on this)
High possibility of another CR from now until April 2018
Announcement relating to the delay of certain aspects of business / product development in the coming weeks.
SP drops to 0.019 - 0.021 in the coming months.
GOOD:
Major deal will eventually be signed!
Deal will be much larger than anyone has predicted.
Rapid deals will follow initial major deal, but will be smaller in scale
A large chunk of past R&D work will go down the drain as they will be asked by major customers to spend ALL their time refining and developing compliance / data recording / and data mining (Learning) applications.
SP will go as follows:
0.039 (Late January)
0.065 (Late Feb)
0.12 (March)
0.18 (April)
As mentioned Earlier, this is all a bit of fun, but would love to have others post predictions or counter arguments based on GUT feel and not what they would like to see unfold..
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