When we run, we run hard.
In 52 weeks we went from .120 to .600 and we're still floating near our ATH.
As we've seen and as it's been discussed on this forum, there's signs of price manipulation. We're being held from running in an upwards trajectory for what seems to be with good purpose. As already said on this forum, a discount to the overseas investors maybe?
Consider this, if it's being held for a discount opportunity for overseas investors, doesn't this also mean it's currently a (last) discount opportunity for the rest of us before it runs?
GL