Thank you jake0002 grolph and Speculator
I have 29380 shares which is about 1175 share at consolidation if I understand what jake0002 is informing me about and I would be clear of the danger of being in the Unmarketable Parcel
I am thinking my choice to stay would be to buy more. I question myself would it be better to buy more before consolidation or after consolidation
I question myself if i decide to sell if I find out I have a unmarketable parcel would be better to sell on market pay brokerage and not give Todd my shares equating to more power for Todd. A small investor who wants to become larger to stay in the game would benefit if i sell in the market that's the way i am seeing this, Happy for anyone to show my error in this assumption.
I have held for a long time somewhere in the time I seem to remember if Todd consolidates there is danger they could become private and small share holders who have stayed will miss out because it is private. In other words I wonder what is the danger to small "pesky" investors if Todd consolidates apart from the long drop in share price that can happen after consolidation
This pesky shareholder Just saying
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Mkt cap ! $153.8M |
Open | High | Low | Value | Volume |
0.0¢ | 0.0¢ | 0.0¢ | $0 | 0 |
Buyers (Bids)
No. | Vol. | Price($) |
---|---|---|
1 | 339 | 79.0¢ |
Sellers (Offers)
Price($) | Vol. | No. |
---|---|---|
85.0¢ | 10000 | 1 |
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No. | Vol. | Price($) |
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1 | 5000 | 0.780 |
1 | 295 | 0.770 |
1 | 3000 | 0.750 |
1 | 3820 | 0.710 |
Price($) | Vol. | No. |
---|---|---|
0.850 | 10000 | 1 |
0.860 | 48332 | 3 |
0.870 | 16412 | 2 |
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0.890 | 9868 | 2 |
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