I feel sorry for those who sold disappointed they didn't get the API deals they were expecting.
It's hard to play that game with these spec tech stocks.
The question to ask is why am I holding this stock?
Those just holding to sell on the next API news, then that's a gamble which unfortunately didn't pay off. But it's no use blaming management for that loss.
Timelines change easily due to various factors that could well be beyond management's control, and they aren't just working to give the share price a boost from time to time. They are working hard on the longer-term objectives.
Those holding because we believe in the company's potential, aren't we all smiling now?
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