....why the speculation?
the market as we look at it bears no relationship to the company position across the time horizon at a snap shot point in time -
has the development pipeline and fundamental value potentially locked in the commercialisation of that pipeline changed in any way?
have the unmet market needs of that very same pipeline been addressed in some way over the last week to diminish the inherent value that is being progressively enhanced with each derisk event the company executes?
is his investment (Suds) now a far better proposition than it was at say 5c?
has the research team in any of the pipeline streams failed in some way to achieve a stated strategic goal at each benchmark?
has the management team been cruelled in some way to affect the value?
is my own capital value / investiture going to affected by what is occuring now at a snap shot point in time -----?
is the previous question relevant to my long term understanding and research on this company and what that investment may potentially achieve and return me across that time LT time horizon
these are more relevant questions perhaps - others smarter than me may have other points of view of course
Ive been on the hoover all day so you can guess my view pretty easily
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