As most CVI holders and non holders think MS should be investigated by ASIC.
Can we go further and have a Certain "Pofitable Trader" investigated as well?
After all it's clear now what his/her agenda was.
Didn't he/she admit he/she was working for CVI?
What was his/her job with CVI?
Was he/she hired as a professional conman?
I maybe way off, but I had to get it off my chest.
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