I realise chances are slim but may explain the odd trading behaviour/pressure on SP and rapid up take of Cr.
That single UK investor has shares at various price points(obviously with some/all being sold down in the months previous to option exercise - possibly to limit exposure while products were produced/tested?) including the 0.015 we are now touching - gained through the exercise of options only 3-4wks before this "unnecessary" cr was announced.
Is there any chance the company initiated this latest cr for this person/organisation? Specifically I am wondering if anyone can shed light as to the legalities of this?
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9 | 19804333 | 0.012 |
12 | 35373367 | 0.011 |
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Price($) | Vol. | No. |
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