Everybody should know NOR's primary business as defined by its primary or main source of funds is issuing scrip. NOR has received more than 500% in funds from issuing paper than they have selling their solutions to 200+ countries and territories.
And yet, there are some holders, even on these threads who have held for 8 years during all this dilution and 97% SP decline... and get this: they are still bullish and they still believe the hype.
But then again, another poster has held for 4 years, apart from those times his stop/loss was hit. This should have been a sign. But nope, he creates FOMO... for himself. And buys back in.
And then we have NOR's largest holder and newish Director who has a 7-figure exposure via debt and equity. The bulls say he must know something, that we do not. That may be the case. But I wonder if Tarrant has visited the product page on NOR's web site:
https://norwoodsystems.com/cogvoice
I do not know how anyone could read those Use Cases and think: I need this. And these are the best cases NOR could come up with.
The mind truly boggles.
All imo...
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