I am trying to prepare myself for this week.
what does it look like if the US looks to have slowed, the UK continues to be a non starter, lots of cash remains at bank, but the expenses have continued to blow out at a higher ratio (net burn) to previous months, and quarters
a lot of these concerns are why the previous report was sold down, mixed with some hype and anticipation of announcements that never came, and rumours that weren’t dealt with.
do we have any concern for this week and what may be laid bare?
I took more off the table today at $7.20, just in case ( my recent $6.13 and $6.85 parcels).
Chart - Z1P, page-13134
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