It’s a never ending story isn’t it and one I just do not understand.
All of the catalysts I thought would increase the SP have had the opposite effect;
- almost cash flow positive
- products being sold in several countries including the US
- Director buying on market
- Changes to the board with more experience being added.
- Large buyer coming on board
Surely whoever is selling now is doing so at a loss? Why hold this long with all of the above in play to sell out now?
What does the market want to see? Partner number 2 with products generating income?
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