When the sp is not going how I would like it (in the short term), I look back over the company’s ASX announcements and social media post to help me put the short term sp into a long term perspective.
My key findings/ reminders:
- 4 PS announcements in just the past 4 weeks. All positive!
- Admission by the company that they have intentionally delayed short term marketing to big pharma due to the massive potential of the unexpected cadioprotecitve discovery.
- Chair/ CEO/ CSO are all major shareholders (circa 20% in total). And are (relatively) poorly paid for their RAC time and work. An extra year or two of RAC salary (measured in hundreds of thousands $) is nothing compared to putting their RAC shareholdings (measured in 10’s of millions $$$$$) at risk for a greater period of time, if that risk/time is not massively additionally rewarded.
My assessment:
- a little bit more patience (and sp volatility) in return for greater “outsized” commercial returns to shareholders.
- Some sh don’t like the longer time frames (for greater potential return) and hence validly selling out.
- Some long term holders may need to reduce their RAC holding in order to have the strength to carry it (a lighter RAC load) over a longer distance and withstand greater volatility. This is also a rational action for many.
My actions:
- I topped up this week (last on Friday).
General Comments / Chat, page-5494
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Open | High | Low | Value | Volume |
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Buyers (Bids)
No. | Vol. | Price($) |
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2 | 17175 | $1.70 |
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Price($) | Vol. | No. |
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2 | 2998 | 1.670 |
1 | 5000 | 1.665 |
3 | 3736 | 1.625 |
1 | 5000 | 1.615 |
Price($) | Vol. | No. |
---|---|---|
1.770 | 6060 | 1 |
1.820 | 9999 | 1 |
1.830 | 15000 | 1 |
1.840 | 1499 | 1 |
1.850 | 2500 | 2 |
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