Come on man. Let me lay out some facts.
The last 3 days volume exceeded 780m. Now if that was not any indication suggesting the possibility of Sayona being removed from asx 200 when March approaches, I don’t know what. The same pattern can be found in CXO, chalice, syr and nvx.
If that was indeed the case, wouldn’t that imply the shorts will need to cover? I wonder what the fund managers are doing if Sayona is kicked out of the asx 200?
Now What I have mentioned above is only one scenario, which potentially could double our mc in a matter of weeks, imagine what the possibility of;
1. Moblan DFS will do,
2. or new boards and ceo,
3. or spot market rebound
4. Partnership for downstream
5. March quarterly showing lower unit opex and higher revenue.
This I have no doubt will happen So there are five potential catalyst up and coming, and yet you believe it will go back to 4c.
Remember Once and if we are out of the asx200 in early March, how will they be shorting us, I wonder? They are scrambling the last few days to cover it, and the next 2 days will be interesting if the volume continues.
Anyway I have spoken too much, I prefer opinions with something to back it up. I know you mean well, but I think you’re confusing a lot of people. Have a good night.
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