We're all in the same boat after the BN006 failure.
It could be many things. It could be long term holders topping up, people who know something that we don't or day trading hype. On both days that share price spiked, the day traders have been all over it.
I could have got out both spikes and almost broke even, but I have faith in management and will hold for a juicey ANN. I'd hope that SP will be around 2c with some company direction, and 4c on a really good ANN.
If the next spike follows the same monthly trend, then SP will spike mid-march.
Regards
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