I stand by my original post, can't see how risk/reward could have improved by buying now at 0.001 versus buying in the previous few weeks at 0.001 during which time probably only 5-10% of the 200-300 million selling at 0.002 were filled, all the while with half a billion buying at 0.001.
The depth now is vastly worse, hence so is the likelihood of selling at 0.002, yet people continue to buy. It just confounds me.
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