Can anyone here explain to me why the market should attach a premium today to a company that has saddled itself with massive debt and dilution not to mention a substantial number of warrants hanging over its head for the 'potential' of reward/revenue 2 years hence ??? ...assuming everything goes to plan from now till then.
I was hoping to get out at 50c and break even but appears optomistic from here.
Looks like the sellers have worked this out and are now growing in number and volume.
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