Assume some of the selling on low volume is a combination of tax loss and cool off of the IO 65% price. Last ann was the quarterly and a month prior an investor ann.
Guess that's an issue here with a high proportion of shares being held in a small group that they don't feel the need for updating and marketing.
100% need to sell some of the stockpile, surely after 6+ months of testing a BSM is close to signing a deal? Anyone with insight into how shipping rates are tracking?
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