Post below shows why there has been so much constant churn/supply over the last 8 months since the spike. So much expectation, even from "so called " pro,s . The reality has been just manipulation and frustration at the actual price level.
Conditions are now moving in CI1 favour, markets topping out and debt spiralling on many fronts.
I,m not going to make any predictions on price , other than to say that supply always ends after a base is formed and a resistance testing period is done.
imo
"Pitt Street valuation of CI1 to be 8c, this was in March, before acquiring Australian company."
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