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I bought in originally at 1.4c but as the price increased, I...

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    I bought in originally at 1.4c but as the price increased, I couldn't help myself with the discount on the options. I converted and my average buy in is now 2.6c (also the current SP). I have a decent holding and it was nice watching their value boom over the last month and in my opinion, poor timing and poor communication from the directors has led to the share price retreat.

    I am at a crossroads. Trust what's in the ground and continue to hold while we wait for future results or sell with no profit based on the bad taste left by Vlad.

    I believe I'm probably not the only one in this predicament. What are others on here planning to do?

 
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