This is what I’m feeling these guys are the initial institutional investors. I’m happy to be wrong, but please can someone correct me? If they do raise at 70c and the new holders don’t dump on market when the shares are issued - is it really that bad? Especially given the track record of these lead managers to invest and consistently invest again on a path to production. We will have some short term pain, but longer term it’ll be a stronger tightly held register
If they flip when shares are issued, well call it as it is. It’s bad and share price suppression will persist.
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---|---|---|
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5 | 81502 | 0.190 |
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Price($) | Vol. | No. |
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