I guess a big part of today's sell presure ist still caused by 7.5c option holders, who that had the plan to finance the option swap from share sales after the first good news (not me by the way).
Many longterm shareholders likely increased their number of shares ahead of the record date with such a scenario in mind to get more options. I wouldn't call that invest strategy "disloyal" and certainly not "pump and dump". Who is allegedly pumping here with false oder exaggerated claims ? GBZ discussion is among the best on HC in terms of facts und management is only on the buy side since i watch this story.
Grades better than anticipated, new hits outside existing ressource, some stuff near surface - this will pay off sooner or later in share price.
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Open | High | Low | Value | Volume |
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No. | Vol. | Price($) |
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3 | 950000 | 0.006 |
2 | 2300000 | 0.005 |
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1 | 600000 | 0.003 |
Price($) | Vol. | No. |
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0.009 | 3238885 | 6 |
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