So your advice is to forget discussing the facts/fundamentals and just pump the stock up so that the price doesn't go down short term?
Think I'll stick to the facts, i.e. that the last CR raise was done at a ridiculous discount (compare the CR discount to other miners and you'll see the point) and shut out retail, to unnamed insto's who obv don't have sticky hands judging by selling pressure and no substantial holders notices. Not to mention the debacle of how the CR was handled when we had to go into a prolonged trading halt as someone in the company didn't read the constitution properly and meant we had to sit on our hands whilst the copper price exploded and not trade. Apparently though asking for accountability on this process though is a "no-no" as it is considered winging.
Then of course there are all the other issues I have had i.e. slow speed of drilling, lack of rigs on site in 2020, and CE's inability to meet a single deadline he sets himself, and then his habit of going quiet.
But hey, I would prefer not to gloss over facts to hoodwink new investors or to try and convince other shareholders not to sell b/c it's all rosy, as that just kicks the can down the road....kind of like what CE does.
No doubting the deposit and it's value, which I never have. Just can't also help but doubt the way management have performed over the last 3 or so months...
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