So.. why is your sentiment SELL when you are making negative posts about options being exercised/dilution?
For such dilution, as you keep posting, the NOR SP would need to not only hit 8c strike, but exceed it comfortably for option holders to consider exercising.
Therefore, the SP would need to TRIPLE from here.. so, if you are posting the assurance there will be such scary dilution (and $8m pumped in to Nor, as if that's a bad thing!?), why would you have a SELL sentiment, if you're calling for the SP to TRIPLE?
Shouldn't it be Buy?
There shouldn't be anything or any juvenile reason to havethis post removed.
If you could clarify your previous posts please, as I believe they are extremely contradictive.
Just seems you're overly concerned about options smashing 8c. Cheers
Much appreciated
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So.. why is your sentiment SELL when you are making negative...
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Mkt cap ! $15.24M |
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No. | Vol. | Price($) |
---|---|---|
5 | 56249 | 3.2¢ |
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3.8¢ | 26342 | 1 |
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1 | 100000 | 0.031 |
1 | 13400 | 0.030 |
1 | 96000 | 0.028 |
1 | 180000 | 0.027 |
Price($) | Vol. | No. |
---|---|---|
0.038 | 26342 | 1 |
0.039 | 126001 | 1 |
0.040 | 123849 | 1 |
0.042 | 23833 | 1 |
0.044 | 44101 | 2 |
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