originally i posted it in frustration as the sp has been manipulated left right and center
i see it as the small holders, such as myself(600+ units)who derive an income from the market get the last bit of pie as dilution takes effect
take mak for example, less issue than cvi so thats why we see the volatile moves in it
now imagine cvi with the issue some have heard MS talk about being close to 1 billion
i can only imagine and expect the end result to be a stock on comparison but not entirely to oxr with less issue and a sp one can only guess
the mc grows and the sp drops
everyone knows that cvi needs a good mc to attract investment
a good mc doesn't really hurt big holders as much as smaller ones
in the end with the current market climate being tougher to make a dollar these days one such as myself can lose money trading others for the sake of it in these uncertain times especially in the specs end
i'm probably wasting my time here as my situation can go on for hours with my end plan in place and hence my reasons
anyway the email was from 9/3/08
CVI Price at posting:
0.0¢ Sentiment: None Disclosure: Held