yeah but to our defence
there was a lot to like back in the day.
two solid growth reports (mind you, it was post quadpay), a lot of buzz from management and media, dual/cross listing speculation, US (fruitless) roadshows (unless you call BOA note deal fruitful) etc
the alarm started to ring when the growth starting slowing, bad debts increased, more acquisitions and more cap raises, no US investors, no dual/cross listing, inflation, a war, a China property collapse, more “US roadshows”, a Microsoft browser toggle, no exclusive vendors, a dabble in India, and still no fund or insto interest?
I forgive myself for being a bull, disappointed I turned bearish later than I normally would have.
my opinion only, dyor
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