Sold my full holding to participate in the SPP so current average is 4c, pretty sure I've stated this previously. Prior to that I'd lost a little more but buffered by some positive trades between 8c and 10c.
Out of 100 odd individual holdings in the past 30-odd years this is hands-down my worst investment. I've made plenty of mistakes but this is a rare occasion when I broke my own rules.
Listened to some of the puffery from management (unweighted pipeline, honestly) and then still participated in the SPP even though I marked them down. Fortunately I minimised the damage by recycling rather than doubling down.
I like the potential but have lost some confidence in management. Unlike some I can see both sides, endless boosterism and puffery is pointless. We get enough of that from the company.
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