Compared to the trusty old desperation CR posts from the perma-bears?
So long as we all know/expect a serious re-rate on a 7 figure annual deal with the 2nd biggest software company in the world, that regularly acquires Nor-like companies for hundreds of millions.. Vs. a CR at a misely pip lower whenever it happens!
So much more to gain!
It's interesting that negative posters appear to believe APSEC and SG Hiscock recent sub holders (not to mention pinnacle clients/brokers) are buying up a dud.. Do you actually believe they would be constantly increasing their stake in a company that wasn't really on the verge of a huge company making deal with Oracle!? (And Metaswitch, telcos).
The ongoing cheap shot "CR" posts, even before having time to read the quarterly..
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