Agree its looking dreadful at the moment. I suppose there are 3 approximate situations / midsets in play at the moment on options:
1. Management (I mean Claudio, as I honestly think he is the only one focusing on TNR core business here) can turn this around get the positive results flowing and restore a change in sentiment = great buying at these prices
2. This thing is toast and sentiment has turned so negative it won't recover in time and oppies will be worthless = better sell now and cut my losses
3. I'm sat on the fence and based on yesterday's announcement I will give them another month to see if they can start getting some news out to market = hold and try to ride it out for a while whilst not adding to holding
I'm sat in camp 3 at the moment but everyday I slip closer to camp 2.
Paul and Peretz, please do something to help Claudio get us back to camp 1...
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Open | High | Low | Value | Volume |
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12 | 18300000 | 0.002 |
7 | 25100000 | 0.001 |
0 | 0 | 0.000 |
0 | 0 | 0.000 |
Price($) | Vol. | No. |
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