Presumably now is the most opportune time for you to sell? With all those negative outcomes looming, cash out now, make hay etc? Genuinely curious why you would continue to hold.
I too agree there is still huge risk. The main risk I see is the phase 2 not producing similar results to phase 1. But in the meantime is still see value add along the way.
You however see nothing but a string of upcoming negative news which will cause SP to fall. So are you selling now and backing your claims?
I'm all eyes for alternate views but balance and perspective is important. This isn't the canine scenario. MT is not Roger. But yes it is not a forgone positive conclusion.
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