what I meant was, I SP drop was expected with a below par quarterly, and the delay in launch for RR, sure 10% max. I understand we are in the dog house with China and that is going to cause some selling off, this has been consistent sell down, reloaded every time it get support, any larger buy orders are wiped out quickly to keep the downward momentum going. This is not a few disgruntled holders, so if it was to come to light that there was something going on the inside that we don’t yet know about, there would be hell to pay.
and yes our debt ratio at 1% is great.
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4 | 556000 | 0.017 |
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Price($) | Vol. | No. |
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0.021 | 210634 | 3 |
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