The main thing we should be speculating is
1) What will the next breadcrumb fluff announcement be to push up the price so they can capital raise? Something on the TGA approval process NatSHield(that won’t actually eventuate) or another “contract” for $eleventy billion dollars in sales contracts that will be withdrawn during the next 4C
2) Management know the jig is up, no one would even participate in their CR so they just fold the company and go off with the hundreds of thousands they’ve funnelled into their privately owned company as “loans”
im hoping for option 1 so I can exit and not take such a huge loss
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Price($) | Vol. | No. |
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