Thought I would start this thread up again. It some constructive comments amongst some of the other posts lately.
I am losing out at the moment as well, although I haven't sold any shares yet so I'm holding tight.
I still however question and evaluate my investment, as I do with all in my portfolio. What has changed for me? Not much really!
I would love a bit of news from management as well, however I am happy to wait if when they deliver it is news that sticks and makes happy shareholders. I have no reason to believe it won't be.
Ticking off nViso would be nice but apart from that we are sitting on track. We have a steady trickle of supply from Patos, amongst others which is there for all to see in the broker data. Once that supply thins out I imagine we will have safer holders, be closer to commercialisation and have a steadier news flow.
Management of this company are highly experienced in their specific fields and time will tell how they come together to roll out this product. Whilst I don't like red days as much as Cal and Loosey, I'm sitting tight with every bit of confidence I had when I bought my first parcel!
Of course IMO and good luck to all.
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