Look I am quite negative on the stock. But, even if I my options today I would still be way in front here given where I sold last year (heads) when I thought, and was bashed on this forum, that the SP when it hit 10c was over the top. From recollection, you have also posted on this forum that you are well in the green here based on your past plays so I am not sure why you post constantly nearly every minute of the day. Do the honourable thing and just post once or twice a day - rubbing it in constantly just stinks personally, it shows that you almost do not have empathy. I post here once every few days, no more than once or twice a day when I get excited when an Ann is released.
Now, I don't see the likes of T10 staying here that long as well - on a downward trend and where SP is right now not much money to be made since you cannot short and any news by the BOD will be treated with a large scale of skeptism by the market IMO (no more suckers here as even witnessed when about 1/4 of people took up the reward options - if they were to issue another round of reward options today suspect it would be less than 5% takeup).
What I am saying is the next set of news has to be big to get the SP moving because anything that doesn't have revenue in the bank will not do anything to SP. In other words 'the I told you so IMO' should probably stop now and let those in the red have some peace and quiet here. I will comment on Anns as they come but I'll leave it at that now.
All IMO
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