You'd be a fool to think that a red day for the SP, has any bearing on the progress, management, or "rating" of a this company.
Fact - The ASX is Irrational
Fact - Too many "investors" take advice social media platforms (evident by the GME fiasco)
Fact - Many shareholder don't understand what they have invested in (tech wise)
Fact - Retail investors trade on emotion and jump ship on a declining SP
Fact - Stop losses accelerate selling pressure
Fact - Bots are manipulating this SP (evident in micro-trades)
Fact - NDEs are preventing company announcements
Fact - Many investors want to see revenue to gain confidence in a company - this isn't to say that the product isn't on point though; Tesla is a great example of this.
I'm not saying that the lay of the land is perfect, but its certainly better that the SP indicates.
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Open | High | Low | Value | Volume |
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17 | 740116 | 0.235 |
22 | 649690 | 0.230 |
15 | 545353 | 0.225 |
29 | 645402 | 0.220 |
Price($) | Vol. | No. |
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0.245 | 717703 | 20 |
0.250 | 569596 | 23 |
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