I can't believe we are this close to the 52 week low (2.1c). Most of the other companies I watch (with less potential and progress) has come off their low and making good jump. What is currently holding the SP? Is it because our flagship project in Ghana? Is there too many retail SH who has lost faith? Is it due to no liquidity in microcap companies?
CDT has been making a lot of progress and there are still many catalyst this quarter. Our exploration licenses are prospective of battery minerals and Gold (which are highly in demand and hot) Yet, this has not been reflected well in the SP.
Sorry for the rant but I just for once want to see this above 3c where it should realistically be.
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I can't believe we are this close to the 52 week low...
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