Have never attempted to post a jpeg before so apologies if this does not work or display properly. Hopefully it will show the total of Director trading activity that took place during the temp price spike that followed the release of ann to market late last year.
From memory, I think quite a lot of the options would have expired worthless 30 Nov. 2018 if sp had remained flat as per preceding months (However I'm no expert re: options).
If Directors believe the company is going to kick goals in the near future I don't see why they would be selling in number like they did, including some significant volume. Mum & Dad investors who purchased after reading the ann, but then got very badly burned, would not have been happy to later learn that they may have purchased their shares from Directors who were selling. Just my views regards
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Have never attempted to post a jpeg before so apologies if this...
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