yes I know spec stock can go either way quickly, so that why you need to find a good entry point with good RvR and in case things don't go with your
plan. so at the moment the first drill hole (Surus) from CGR knocked its s/p down to 10c+, and RCR still hasn't release the Pokali drill result but from "CR before assay" it increase the chance of bad assay, and it's price is at (not recent high) but still much higher than what it was before the rise. so in term of RvR, don't you think CGR is better than RCR?
"but I consider this management was overly confident at the beginning but is confusing now"
isn't that RCR management looks pretty confident right now? and what if Avalon turns out not good?
one good thing about overly confident is that once they hit something good s/p should run fast (imo)
maybe that was the reason why CGR's M/C was always higher than RCR in the past
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Open | High | Low | Value | Volume |
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1 | 40000 | 0.125 |
2 | 104500 | 0.120 |
5 | 74990 | 0.110 |
2 | 215000 | 0.105 |
Price($) | Vol. | No. |
---|---|---|
0.140 | 18500 | 1 |
0.145 | 30000 | 1 |
0.150 | 68202 | 4 |
0.155 | 44300 | 2 |
0.165 | 94999 | 1 |
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